All Families v. State - Preliminary Injunction Affirmed
Summary
The Montana Supreme Court affirmed a preliminary injunction blocking enforcement of House Bill 937 (2023 Mont. Laws ch. 492) and Admin. R. M. 37.106.3101 through 37.106.3114 (2024), which restricted abortion care. The First Judicial District Court had found HB 937 and associated rules likely violate the Montana Constitution's equal protection provisions. The Supreme Court upheld the injunction in its entirety, keeping the restrictions blocked while litigation continues.
What changed
The Montana Supreme Court affirmed the District Court's preliminary injunction enjoining HB 937 and Administrative Rules 37.106.3101 through 37.106.3114 in their entirety. The lower court found that the abortion restrictions likely violate plaintiffs' equal protection rights under Montana's Constitution. The State appealed, arguing the District Court abused its discretion, but the Supreme Court disagreed. The case is Docket No. DA 25-0040, Citation 2025 MT 64.
Healthcare providers offering abortion services in Montana may continue operations without compliance with HB 937's restrictions or the associated administrative rules. The preliminary injunction remains in place throughout ongoing litigation. Plaintiffs must still satisfy the four preliminary injunction elements to maintain the injunction through final resolution. The State may continue pursuing the litigation to a final judgment on the merits.
What to do next
- Continue providing abortion services without HB 937 compliance pending final resolution
- Monitor for any changes to the preliminary injunction status
- Prepare for potential final adjudication of constitutional claims
Source document (simplified)
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March 31, 2026 Get Citation Alerts Download PDF Add Note
All Families v. State
Montana Supreme Court
- Citations: 2025 MT 64
- Docket Number: DA 25-0040
Nature of Suit: Direct Appeal
Syllabus
Opinion - Published - JUSTICE MCKINNON Affirms
Combined Opinion
03/31/2026
DA 25-0040
Case Number: DA 25-0040
IN THE SUPREME COURT OF THE STATE OF MONTANA
ALL FAMILIES HEALTHCARE; BLUE
MOUNTAIN CLINIC; and HELEN WEEMS,
MSN, APRN-FNP, on behalf of themselves,
and their employees, and their patients,
Plaintiffs and Appellees,
v.
STATE OF MONTANA; MONTANA
DEPARTMENT OF PUBLIC HEALTH
AND HUMAN SERVICES; and CHARLIE
BRERETON, in his official capacity as
Director of the Department of Public Health
and Human Services,
Defendants and Appellants.
APPEAL FROM: District Court of the First Judicial District,
In and For the County of Lewis and Clark, Cause No. DDV-2023-592
Honorable Christopher D. Abbott, Presiding Judge
COUNSEL OF RECORD:
For Appellants:
Austin Knudsen, Montana Attorney General, Michael D. Russell, Thane
Johnson, Michael Noonan, Assistant Attorneys General, Helena,
Montana
For Appellees:
Alex Rate, ACLU of Montana, Missoula, Montana
Hillary Schneller, Center for Reproductive Rights, New York, New York
Jacqueline Harrington, Nina S. Riegelsberger, Tabitha Crosier, Dechert
LLP, New York, New York
Hartley M.K. West, Iricel Payano, Dechert LLP, San Francisco,
California
Submitted on Briefs: November 17, 2025
Decided: March 31, 2026
Filed:
2
Justice Laurie McKinnon delivered the Opinion of the Court.
¶1 The State appeals the November 15, 2024 Opinion and Order on Motion for
Preliminary Injunction (“Order”) of the First Judicial District Court, Lewis and Clark
County. The District Court held that House Bill 937 (“HB 937”) and Admin. R. M.
37.106.3101 through 37.106.3114 (2024) (“the Rules”) likely violate the Plaintiffs’ equal
protection rights under the Montana Constitution. The District Court concluded that the
Plaintiffs properly demonstrated that each of the four elements of the preliminary
injunction standard were met and preliminarily enjoined HB 937 and the Rules in their
entirety. We affirm.
¶2 We restate the issue on appeal as follows:
Did the District Court abuse its discretion in granting a preliminary injunction that
enjoined HB 937 and the Rules in their entirety?
FACTUAL AND PROCEDURAL BACKGROUND
¶3 During the 2023 legislative session, the Montana legislature passed HB 937. 2023
Mont. Laws ch. 492. HB 937 subjects “abortion clinics” to various licensure and regulatory
requirements and directs the Department of Public Health and Human Services (“the
DPHHS”) to adopt various rules implementing HB 937. HB 937 was scheduled to take
effect on October 1, 2023.
¶4 On September 1, 2023, All Families Healthcare, Blue Mountain Clinic, and Helen
Weems, MSN, APRN-FNP (collectively, “the Plaintiffs”) filed a complaint on behalf of
themselves, their employees, and their patients against the State of Montana, the DPHHS,
and Charlie Brereton, in his official capacity as Director of the DPHHS (collectively, “the
3
State”). The Plaintiffs sought a temporary restraining order (“TRO”) and a preliminary
injunction enjoining HB 937 on the basis that it violates various provisions of the Montana
Constitution. On September 27, 2023, the District Court granted the Plaintiffs’ motion for
a TRO and ordered the parties to appear for a preliminary injunction hearing. On
October 18, 2023, based upon the parties’ stipulation, the District Court vacated the hearing
and extended the TRO for a period of sixty (60) days beyond the effective date of the final
rules issued by the DPHHS. On September 20, 2024, the DPHHS promulgated the final
rules, which were effective immediately. The Rules are codified at Admin. R. M.
37.106.3101 through 37.106.3114 (2024).
¶5 HB 937 is one of many laws passed by the Montana legislature aimed at monitoring
and regulating abortion. See, e.g., 2005 Mont. Laws ch. 519, § 27 (allowing only licensed
physicians and physician assistants-certified to perform pre-viability abortions); 2021
Mont. Laws ch. 307, § 3 (banning abortion at twenty weeks from the patient’s last
menstrual period); 2021 Mont. Laws ch. 309 (requiring new credentialing, informed
consent, and reporting requirements and eliminating telehealth for medication abortions);
2021 Mont. Laws ch. 308, § 1 (requiring abortion providers to offer patients the opportunity
to view an ultrasound and heartbeat); 2013 Mont. Laws ch. 307 (conditioning a minor’s
ability to obtain an abortion on parental consent); 2023 Mont. Laws ch. 490 (prohibiting
dilation and evacuation abortions and subjecting providers to penalties); 2023 Mont. Laws
ch. 389 (requiring an ultrasound prior to an abortion); 2023 Mont. Laws ch. 488 (barring
Medicaid from covering abortion services performed by certain providers); 2023 Mont.
Laws ch. 491 (prohibiting use of public funds for abortions and providing exceptions).
4
Because these laws impact the fundamental right to privacy under Article II of Montana’s
Constitution, they are not entitled to a presumption of constitutionality. Mont. Democratic
Party v. Jacobsen, 2024 MT 66, ¶ 11, 416 Mont. 44, 545 P.3d 1074 (“If the challenger
shows an infringement on a fundamental right, a presumption of constitutionality is no
longer available.”) As authority for the proposition that the presumption of
constitutionality must yield in the face of an infringement of a fundamental right, this Court
drew on the reasoning of Mont. Auto. Ass’n v. Greely, 193 Mont. 378, 632 P.2d 300 (1981),
wherein we analogously held that “[w]hen it has been demonstrated that a statute infringes
on First Amendment freedoms, a presumption of constitutionality is no longer available.”
Greely, 193 Mont. at 382-383, 632 P.2d at 303. In November 2024, voters approved by a
58% to 42% margin, Constitutional Initiative No. 128 (CI-128), the Right to Abortion
Initiative. Montanans now have an explicit amendment to the Montana Constitution that
enshrines the right to abortion.
¶6 HB 937 (codified in Title 50, Chapter 20, Part 9, MCA) defines “abortion clinic” as
a facility that “performs surgical abortion procedures” or “provides an abortion-inducing
drug” to at least five patients per year. Since All Families Healthcare and Blue Mountain
Clinic each offer abortions to at least five people per year, they fall within the definition of
“abortion clinics.” Under HB 937, All Families Healthcare and Blue Mountain Clinic
would not be able to legally offer their abortion services without a license issued by the
DPHHS. 2023 Mont. Laws ch. 492, § 2.
¶7 Section 5 of HB 937 amends § 50-5-101, MCA, and adds “abortion clinics” to the
definition of “health care facilities.” Consequently, HB 937 requires “abortion clinics” to
5
comply with the requirements “health care facilities” are subject to under Title 50,
Chapter 5, MCA. Prior to HB 937, the term “health care facility” specifically excluded the
“offices of private physicians, dentists, or other physical or mental health care workers
regulated under Title 37, including licensed addiction counselors.” Section
50-5-101(26)(b), MCA (2021). Abortion providers, including All Families Healthcare and
Blue Mountain Clinic, previously fell within this statutory exclusion and were not required
to be licensed by the DPHHS. While HB 937 retains the same language excluding certain
offices from licensing by the DPHHS, it affirmatively subjects all “abortion clinics” to the
requirements of “health care facilities.”
¶8 Section 3 of HB 937 directs the DPHHS to adopt numerous rules, including but not
limited to rules establishing minimum license qualifications; requirements for sanitation,
staff, emergency care, and the physical layout of the abortion clinic; and procedures and
standards for inspections. Section 4 also mandates the DPHHS to inspect an “abortion
clinic” at least once per year.
¶9 The Rules promulgated by the DPHHS implemented the language of HB 937.
Admin. R. M. 37.106.3101(1) (2024) states that “[t]he purpose of these rules is to establish
the minimum licensing requirements for the licensure of abortion clinics.” Importantly,
miscarriage treatment providers (who do not perform at least five abortions per year) do
not fall within the definition of “abortion clinics” and therefore are excluded from the
requirements under HB 937 and the Rules. While miscarriage treatment providers and
abortion providers were previously treated similarly under § 50-5-101(26)(b), MCA
(2021), “abortion clinics” are now treated differently than miscarriage treatment providers.
6
The Rules lay out various minimum standards of “abortion clinics” for licensing by the
DPHHS, relating to physical plant requirements, policies and procedures, medical director
qualifications, staff files, patient files, sanitation, emergency procedures, anesthesia,
quality assurance, infection prevention and control, safety, and emergency preparedness.
Admin. R. M. 37.106.3102-3114 (2024). None of these requirements apply to
miscarriage-only treatment providers who provide identical medications and procedures as
“abortion clinics.”
¶10 In support of their motion for a TRO and preliminary injunction, the Plaintiffs
submitted affidavits from Helen Weems, MSN, APRN-FNP; Joey Banks, MD; and
Jennifer Mayo, MD. Drawing from their respective medical backgrounds, these
individuals opine that the medications and procedures used for abortion care are identical
to the medications and procedures used to manage miscarriages. They maintain that HB
937 and the Rules promulgate various detailed requirements for “abortion clinics” but do
not apply those requirements to miscarriage treatment providers offering the same
medications and procedures. They also cite studies demonstrating that abortion care was
and still is very safe.
¶11 All Families Healthcare and Blue Mountain Clinic are already subject to various
federal, state, and professional oversight. For instance, individual providers must be
licensed by the Department of Labor and Industry (“the DLI”) under Title 37, MCA. The
Plaintiffs highlight that the State has identified no specific health or safety reason for now
subjecting “abortion clinics” to additional requirements under HB 937 and the Rules. They
also detail why the various requirements are not medically necessary and explain how
7
enforcement of HB 937 and the Rules could force All Families Healthcare and Blue
Mountain Clinic to shut down to come into compliance (if compliance with the Rules is
even possible), thereby inhibiting their patients’ access to abortion services temporarily
and/or permanently.
¶12 The Rules provide for waivers:
Certain of these requirements may be waived if not necessary in light of the
scope of, and any gestational limits on, the abortions to be performed or
provided by the applicant or licensed abortion clinic. . . . Unless otherwise
provided in these rules, general requirements and provisions and
requirements pertaining to the abortion services provided by the abortion
clinic may not be waived.
Admin. R. M. 37.106.3101(5)(a) (2024). However, the Rules fail to define “general
requirements and provisions” and fail to specify how exactly the DPHHS determines when
a waiver is appropriate.
¶13 Shortly after the Rules were finalized, All Families Healthcare and Blue Mountain
Clinic applied for licenses and requested waivers from the DPHHS. The State did not act
on these applications. On October 7, 2024, the Plaintiffs again moved for a TRO and
preliminary injunction, this time seeking to enjoin both HB 937 and the Rules. The District
Court held a hearing on the motion on November 8, 2024, and the State offered one witness,
Tara Wooten, the licensure bureau chief of the DPHHS. Neither she nor the State identified
any specific health or safety reason for singling out “abortion clinics” from miscarriage
treatment providers. Ms. Wooten testified that to her knowledge, “abortion clinics” were
operating without safety incidents prior to HB 937.
8
¶14 The District Court granted the Plaintiffs’ motion and preliminarily enjoined HB 937
and the Rules in their entirety on the basis that HB 937 and the Rules likely violate the
Plaintiffs’ and their patients’ right to equal protection under the Montana Constitution.1
On January 14, 2025, the State filed a notice of appeal to this Court.
STANDARD OF REVIEW
¶15 A grant or denial of a preliminary injunction is reviewed for manifest abuse of
discretion. Weems v. State, 2019 MT 98, ¶ 7, 395 Mont. 350, 440 P.3d 4 (“Weems I”). A
manifest abuse of discretion exists if it is an “obvious, evident, or unmistakable” abuse of
discretion. Davis v. Westphal, 2017 MT 276, ¶ 10, 389 Mont. 251, 405 P.3d 73 (internal
quotations omitted). A district court abuses its discretion when it acts “arbitrarily, without
employment of conscientious judgment, or exceeds the bounds of reason resulting in
substantial injustice.” Planned Parenthood of Mont. v. State, 2022 MT 157, ¶ 5, 409 Mont.
378, 515 P.3d 301 (“Planned Parenthood I”) (internal quotations omitted). When a district
court’s decision regarding a preliminary injunction is based on legal conclusions, “we
review those conclusions to determine if the court’s interpretation of the law was correct.”
Montanans Against Irresponsible Densification, LLC v. State, 2024 MT 200, ¶ 8, 418
Mont. 78, 555 P.3d 759 (“MAID”).
1
For purposes of this appeal, the only relevant claim is the equal protection claim.
9
DISCUSSION
¶16 Did the District Court abuse its discretion in granting a preliminary injunction that
enjoined HB 937 and the Rules in their entirety?
Preliminary Injunction Standard
¶17 As a threshold issue, we must clarify which preliminary injunction standard applies
here. The State contends that the District Court abused its discretion by purportedly
following the sliding scale approach we adopted in Stensvad. See Stensvad v. Newman
Ayers Ranch, Inc., 2024 MT 246, 418 Mont. 378, 557 P.3d 1240. On appeal, the State
urges this Court to retroactively apply the 2025 amendment to § 27-19-201, MCA, which,
according to the State, abrogates any use of the sliding scale approach in Montana.
¶18 In 2023, the Montana legislature amended the standard for issuance of preliminary
injunctions under § 27-19-201, MCA. Prior to the 2023 amendments, the preliminary
injunction standard was a disjunctive test. Section 27-19-201, MCA (2021). Under the
2023 version, a party seeking a preliminary injunction is required to prove each of the
following four elements:
(a) the applicant is likely to succeed on the merits;
(b) the applicant is likely to suffer irreparable harm in the absence of
preliminary relief;
(c) the balance of equities tips in the applicant’s favor; and
(d) the order is in the public interest.
Section 27-19-201(1), MCA (2023). The legislature intended the foregoing statutory
language to “mirror the federal preliminary injunction standard, and that interpretation and
application of subsection (1) closely follow United States [S]upreme [C]ourt case law.”
Section 27-19-201(4), MCA (2023).
10
¶19 In 2024, after thoroughly evaluating the federal circuit splits regarding how each of
the four elements were weighed, we clarified Montana’s approach and adopted the Ninth
Circuit’s “serious questions test,” a version of the sliding scale approach. Stensvad,
¶¶ 12-25. Under the serious questions test, if an applicant demonstrates “serious questions
going to the merits” and shows that the “balance of hardships . . . tips sharply towards the
plaintiff,” the plaintiff need not prove the likelihood of success on the merits. Stensvad,
¶ 23 (internal quotations omitted). The applicant must still prove the other two elements—
that the applicant is likely to suffer irreparable harm and that the injunction is in the public
interest—before a district court may grant a preliminary injunction. Stensvad, ¶ 23.
¶20 The serious questions test adopted by this Court in Stensvad merely set the floor for
granting a preliminary injunction in Montana. Stensvad did not require district courts to
apply the serious questions test in lieu of finding that each of the elements in
§ 27-19-201(1), MCA, were independently met. See Stensvad, ¶ 26 (emphasizing the
importance of flexibility in the preliminary injunction context). Instead, this Court held in
Stensvad that the serious questions test was a sufficient means of showing that the
requirements of § 27-19-201(1), MCA, were met when it is particularly difficult for
applicants to prove they are likely to succeed on the merits. Stensvad, ¶ 29. Of course, an
individual showing that each of the four elements are met, without any weighing between
the elements, still satisfies the plain language of § 27-19-201(1), MCA (2023).
¶21 During the 2025 legislative session, the Montana legislature amended § 27-19-201,
MCA, again. Particularly, the legislature added a subsection that states:
11
When conducting the preliminary injunction analysis, the court shall
examine the four criteria in subsection (1) independently. The court may not
use a sliding scale test, the serious questions test, flexible interplay, or
another federal circuit modification to the criteria.
Section 27-19-201(4)(b), MCA (2025). The rest of the statute remains identical to the 2023
version.
¶22 While the District Court acknowledged Stensvad and the serious questions test in
its Order, it went on to find that each of the four elements of the preliminary injunction test
were individually met, namely that the Plaintiffs are likely to succeed on the merits. Thus,
we need not specify which preliminary injunction standard applies because the Plaintiffs
have satisfied their burden well beyond the requirements of the serious questions test, and
the District Court did not rely on the serious questions test in granting the preliminary
injunction. See State v. Tome, 2021 MT 229, ¶ 31, 405 Mont. 292, 495 P.3d 54 (explaining
that “‘if it is not necessary to decide more, it is necessary not to decide more’” (quoting
Morse v. Frederick, 551 U.S. 393, 431, 127 S. Ct. 2618, 2641-42 (2007) (Breyer, J.,
concurring in the judgment in part and dissenting in part))).
Likelihood of Success on the Merits
¶23 “Statutes are presumed to be constitutional, and we regard that presumed
constitutionality as a high burden to overcome.” Weems v. State, 2023 MT 82, ¶ 34,
412 Mont. 132, 529 P.3d 798 (“Weems II”). However, the presumption of constitutionality
does not exist if the challenger shows an infringement of a fundamental right under Article
II of Montana’s Constitution, such as an equal protection and right to privacy violation as
here alleged. Mont. Democratic Party, ¶ 11; Greely, 193 Mont. at 382-83, 632 P.2d at 303.
12
The burden of proof is on the party challenging the statute. Molnar v. Fox, 2013 MT 132,
¶ 49, 370 Mont. 238, 301 P.3d 824. So as not to infringe on the separation of powers, we
acknowledge that “it is the Legislature’s prerogative to legislate under their general police
power, and not merely in those areas we do not consider fundamental.” Weems II, ¶ 34.
¶24 Here, we conclude the District Court did not abuse its discretion by finding that the
Plaintiffs are likely to succeed on their equal protection claim.
¶25 Montana’s equal protection clause states: “No person shall be denied the equal
protection of the laws.” Mont. Const. art. II, § 4. The protections provided under
Montana’s equal protection clause are even broader than the protections provided under
the Fourteenth Amendment to the U.S. Constitution. Planned Parenthood of Mont. v.
State, 2024 MT 228, ¶ 29, 418 Mont. 253, 557 P.3d 440 (“Planned Parenthood IV”).
¶26 An equal protection analysis involves three steps. First, we identify the classes
involved and determine if they are similarly situated. Snetsinger v. Mont. Univ. Sys., 2004
MT 390, ¶ 16, 325 Mont. 148, 104 P.3d 445. After identifying the classes, we determine
which level of scrutiny applies: strict scrutiny, middle-tier scrutiny, or the rational basis
test. Snetsinger, ¶ 17. Finally, we apply the appropriate level of scrutiny to the challenged
law. Planned Parenthood of Mont. v. State, 2024 MT 178, ¶ 26, 417 Mont. 457, 554 P.3d
153 (“Planned Parenthood II”). We address each step in turn.
¶27 “The goal of identifying a similarly situated class is to isolate the factor allegedly
subject to impermissible discrimination.” Goble v. Mont. State Fund, 2014 MT 99, ¶ 29,
374 Mont. 453, 325 P.3d 1211. Discrimination does not exist in a vacuum: it is only
discovered when people in similar circumstances are treated unequally. Planned
13
Parenthood II, ¶ 27. “[T]wo groups are similarly situated if they are equivalent in all
relevant respects other than the factor . . . constituting the alleged discrimination.” Planned
Parenthood II, ¶ 27; Goble, ¶ 29. Even if the law contains an apparently neutral
classification, it may still violate Montana’s equal protection clause if in reality, it operates
as a device that imposes different burdens on different classes of people. Snetsinger, ¶ 16.
¶28 The District Court concluded, and we agree, that HB 937 divides providers into two
similarly situated classes, which are equivalent but for the alleged discrimination likely
inherent within the framework of HB 937 and the Rules. The first class includes healthcare
providers regulated by the DLI under Title 37, MCA, who prescribe mifepristone and/or
misoprostol or perform dilation and evacuation or vacuum aspiration procedures for the
purpose of managing miscarriages. The second class includes healthcare providers
regulated by the DLI under Title 37, MCA, who prescribe mifepristone and/or misoprostol
or perform dilation and evacuation or vacuum aspiration procedures for the purpose of
inducing at least five abortions annually. As the Plaintiffs explain, providers who fall into
the former class do not fall under HB 937 and the Rules, but as soon as those providers
offer the same medications and procedures for the purpose of inducing abortion for at least
five people in one year, they become subject to the requirements under HB 937 and the
Rules. Therefore, the single factor differentiating the classes is the purpose of the treatment
offered—either to treat a miscarriage or induce an abortion. HB 937 and the Rules single
out “abortion clinics.” None of the provisions apply to the class of miscarriage treatment
providers who do not offer abortions yet provide identical medications and procedures.
14
¶29 Importantly, the definition of “health care facility” remains unchanged in that it still
does “not include offices of private physicians, dentists, or other physical or mental health
care workers regulated under Title 37, including licensed addiction counselors.” 2023
Mont. Laws ch. 492, § 5. At the preliminary injunction hearing presided over by the
District Court, the State’s witness clarified that prior to HB 937, All Families Healthcare
and Blue Mountain Clinic fell within this statutory carve-out, meaning they were not
required to be licensed by the DPHHS. HB 937 removes “abortion clinics” from the
pre-existing statutory exception and affirmatively subjects All Families Healthcare and
Blue Mountain Clinic to requirements unique to “abortion clinics” and the requirements of
other “health care facilities.” As a result, HB 937 likely impermissibly discriminates
between two similarly situated classes that only differ in the purpose for which they are
offering identical medications and procedures.
¶30 The Plaintiffs produced affidavits supporting the District Court’s finding that the
medications and procedures used for managing miscarriages are basically identical to the
medications and procedures used to induce an abortion. This Court has also recently
recognized “that the protocols, procedures, and the attendant complications of abortion
care are identical to miscarriage care.” Weems II, ¶ 47. The State has not offered evidence
to demonstrate that the similarly situated classes involved here differ in any other factor
beyond the purpose for which the providers offer the treatment. While HB 937 and the
Rules make substantial changes to the requirements of “abortion clinics,” they fail to apply
those same changes to providers who offer the same kinds of services for the purpose of
managing miscarriages.
15
¶31 We note that for the purpose of identifying similarly situated classes within the equal
protection analysis, if the Montana legislature had decided to also include clinics who
provide only miscarriage care within the framework of HB 937 and not single out “abortion
clinics,” the equal protection analysis would differ. The Plaintiffs agree that such an
analysis would differ. Yet, here, the class distinctions are apparent: if a clinic provides the
same medications and procedures for the purpose of providing an abortion to at least five
people per year, it falls within HB 937 and the Rules, but if a clinic provides the same
medications and procedures for the purpose of miscarriage treatment, it is specifically
excepted from the law. The District Court did not abuse its discretion by finding that the
purpose of the services—abortion or miscarriage treatment—is the single factor of alleged
discrimination that differentiates the otherwise equivalent classes.
¶32 Our prior holdings further support the conclusion that the classes are similarly
situated but for the purpose of the treatment sought. In Planned Parenthood II, when
analyzing an act that conditioned a minor’s right to obtain an abortion on parental consent,
we defined the two similarly situated classes as “a class of pregnant minors who want to
obtain an abortion and a class of pregnant minors who do not want an abortion.” Planned
Parenthood II, ¶ 28. We reasoned that both classes involved pregnant minors, but the act
only applied to minors choosing to have an abortion. In other words, the classes differed
based on the purpose for which medical treatment was sought. If medical treatment was
sought for an abortion, a minor needed consent; if medical treatment was sought for
carrying a pregnancy to term, a minor needed no consent. Planned Parenthood II, ¶ 28.
Similarly, here, HB 937 likely distinguishes between two classes on the basis of the intent
16
of the treatment sought: a woman seeking medical treatment for the purpose of an abortion
must use a provider who complies with HB 937 and the Rules, but a woman seeking the
same medical treatment for the purpose of managing a miscarriage can use a provider who
is not licensed under HB 937.
¶33 Similarly, in Planned Parenthood IV, when analyzing laws regarding Medicaid
funding of abortion, we defined the two similarly situated classes as a class of pregnant
women on Medicaid seeking medical care for an abortion and a class of pregnant women
on Medicaid seeking medical care to carry the pregnancy to term. Planned Parenthood IV,
¶ 31. Again, we concluded that the laws distinguished otherwise similarly situated classes
based on the purpose for which treatment was sought. At this preliminary stage of the
proceedings and considering the evidence put forth by the parties, the same conclusion is
likely merited here.
¶34 Now that we have defined the two similarly situated classes, we must analyze
whether the District Court erred in determining that strict scrutiny applied.
¶35 When reviewing a preliminary injunction, “we may review whether the district court
applied the proper level of judicial scrutiny to enjoin an allegedly unconstitutional statute.”
Mont. Cannabis Indus. Ass’n v. State, 2012 MT 201, ¶ 13, 366 Mont. 224, 286 P.3d 1161
(“MCIA I”). “Strict scrutiny applies to an equal protection challenge ‘when a law affects
a suspect class or threatens a fundamental right.’” Planned Parenthood IV, ¶ 23 (quoting
Reesor v. Mont. State Fund, 2004 MT 370, ¶ 13, 325 Mont. 1, 103 P.3d 1019). While
initially the burden resides with the Plaintiffs to show the challenged law is
unconstitutional, under strict scrutiny the burden shifts to the State to demonstrate that
17
“‘the law is narrowly tailored to serve a compelling government interest.’” Planned
Parenthood IV, ¶ 23 (quoting Reesor, ¶ 13). When the classifications affect a right
conferred by the Montana Constitution but not contained in the Constitution’s declaration
of rights, middle-tier scrutiny is appropriate. MCIA I, ¶ 16. Rational-basis review is
appropriate when neither strict scrutiny nor middle-tier scrutiny apply. MCIA I, ¶ 16.
¶36 The right to privacy is considered a fundamental right. Armstrong v. State, 1999 MT
261, ¶ 34, 296 Mont. 361, 989 P.2d 364. “It is, ‘perhaps, one of the most important rights
guaranteed to the citizens of this State, and its separate textual protection in our
Constitution reflects Montanans’ historical abhorrence and distrust of excessive
governmental interference in their personal lives.’” Armstrong, ¶ 34 (quoting Gryczan v.
State, 283 Mont. 433, 455, 942 P.2d 112, 125 (1997)). Legislation that infringes on the
right to privacy requires a strict-scrutiny analysis, and the burden shifts to the State to show
that the legislation is “justified by a compelling state interest and . . . narrowly tailored to
effectuate only that compelling interest.” Armstrong, ¶ 34; Planned Parenthood IV, ¶ 23.
Therefore, to determine the appropriate level of scrutiny, we must first determine if HB
937 and the Rules threaten the right to privacy—a fundamental right. We conclude that
they likely do by limiting the pool of qualified abortion providers. Accordingly, HB 937
is not entitled to a presumption of constitutionality and is subject to strict scrutiny.
¶37 The State argues that the District Court erred by creating a “new” fundamental right
for abortion providers to work free from any regulation. The State agrees that the right to
privacy is fundamental but argues that the bearers of that right are the patients, not the
providers. We find this distinction unhelpful and conclude that the fundamental right to
18
privacy of patients is implicated by the Plaintiffs’ equal protection challenge to HB 937
and the Rules. The District Court did not create a “new” fundamental right for providers.
¶38 Our past cases addressing the standing of providers to bring claims on behalf of their
patients helpfully show that no “new” fundamental right is implicated here. We have held
that abortion providers have standing to bring claims implicating the right to privacy on
behalf of their patients. See Armstrong, ¶¶ 4-13. In Armstrong, we concluded that the
plaintiff “health care providers have standing to assert on behalf of their women patients
the individual privacy rights under Montana’s Constitution of such women to obtain a
pre-viability abortion from a health care provider of their choosing.” Armstrong, ¶ 13
(emphasis added). Here, while the distinction between the two similarly situated classes
ultimately rests upon whether the providers fall under the definition of “abortion clinic,”
the differing treatment of the two classes of providers likely implicates the individual
privacy rights of the Plaintiffs’ patients. For example, if certain providers fall under the
definition of “abortion clinics” (which the Plaintiffs do), those providers may not operate
unless they meet the licensure and other requirements under HB 937 and the Rules. Under
HB 937 and the Rules, patients seeking an abortion would only be able to legally obtain
care from those facilities in compliance with the framework; however, patients seeking
miscarriage treatment would be able to choose from a larger pool of providers not subject
to the framework. While the classes themselves are defined as differentiating between
providers, HB 937 necessarily implicates an individual patient’s right to privacy because
it likely interferes with that patient’s free right to choose and access a qualified provider.
19
¶39 This conclusion is consistent with our analysis in Planned Parenthood IV regarding
Medicaid funding of abortion. The rule contested there sought, in part, to bar abortion
coverage provided by anyone other than a physician. Planned Parenthood IV, ¶ 5. The
State argued that the plaintiff providers lacked standing to sue on behalf of their patients
because the rule at issue did not “impact the constitutional rights of women patients.”
Planned Parenthood IV, ¶ 19. The State contended that the challenged rule regulated
providers not patients (similar to the argument advanced by the State here), dealt with
“simple funding issues,” and thus did not implicate the right to privacy so as to trigger strict
scrutiny. Planned Parenthood IV, ¶¶ 19-20, 22. We concluded that the State’s standing
challenge was without merit and agreed with the providers that the challenged rule, while
facially regulating which providers could perform abortions and which ones could not, still
implicated the constitutional rights of the patients. Planned Parenthood IV, ¶ 19. We
found that it was appropriate for the district court to apply strict scrutiny to the equal
protection claim because the rule went beyond “simple funding decisions” and implicated
“the constitutional rights of Medicaid-eligible Montanans.” Planned Parenthood IV, ¶ 24.
The same logic likely runs true here. While the State attempts to frame HB 937 and the
Rules as mere licensure and safety requirements, the State cannot avoid the conclusion that
the framework implicates the right to privacy of patients seeking an abortion by limiting
the eligible pool of abortion providers.
¶40 The State asserts that rational-basis review should apply here because not all
restrictions on abortion necessarily improperly infringe on the right to privacy. The State
refers to Weems II to support this contention. In Weems II, we indeed noted that “every
20
restriction on medical care does not necessarily impermissibly infringe on the right to
privacy.” Weems II, ¶ 38. We emphasized that the State retains general and inherent
authority to regulate for citizens’ health and safety. Weems II, ¶ 38. “Montanans do not
possess an unqualified right to obtain medical care free of State regulation.” Weems II,
¶ 38. The State has the power to “regulate and license health care professionals.” Weems
II, ¶ 38; Wiser v. State, 2006 MT 20, ¶ 18, 331 Mont. 28, 129 P.3d 133. These sentiments
remain true.
¶41 However, Weems II does not support the State’s position. In Weems II, we
addressed the constitutionality of a statute that made it illegal for any licensed provider
other than a physician or physician assistant (PA) to provide early abortion care. Weems
II, ¶ 4. We noted:
The State maintains that because the statute does not implicate the decision
to seek and obtain an abortion but, instead, implicates the State’s authority
to protect public health and safety, rational basis review should be applied to
assess its constitutionality. We easily conclude that ship has already sailed.
Weems II, ¶ 42. Similarly, here, the State maintains that rational basis review should apply
to the majority of HB 937 and the Rules. Specifically, the State contends that strict scrutiny
only applies in the right to privacy context when the law either directly regulates the
abortion procedures themselves or prohibits a category of providers from offering abortion
care. We have never held that the right to privacy in the abortion context is only implicated
when the challenged law lands in one of those two buckets. Weems II controls, and a law
implicates a patient’s fundamental right to privacy and triggers strict scrutiny when
21
qualified professionals are removed “from the pool of health care providers from which
women may choose to obtain lawful medical procedures.” Weems II, ¶ 43.
¶42 The Plaintiffs have demonstrated it is likely that if the licensure requirements of HB
937 and the Rules become enforceable, the Plaintiffs may be forced to stop providing
abortion care and removed from the pool of health care providers offering abortion
services. Therefore, the District Court did not abuse its discretion by determining that strict
scrutiny likely applies to the Plaintiffs’ equal protection claim.
¶43 We now turn to the final step in the equal protection analysis and consider if the
District Court properly applied strict scrutiny to HB 937 and the Rules.2 Since strict
scrutiny is likely triggered, the burden shifts to the State to show a compelling state interest
that is narrowly tailored to effectuate only that compelling interest. Planned Parenthood
IV, ¶ 21. “A narrowly tailored law is the least onerous path that can be taken to achieve
the state objective.” Planned Parenthood of Mont. v. State, 2024 MT 227, ¶ 24, 418 Mont.
226, 557 P.3d 471 (“Planned Parenthood III”) (internal quotations omitted).
¶44 The District Court did not abuse its discretion by concluding that the State has failed
to meet its burden at this preliminary stage. In its briefing, the State has failed to advance
any argument that shows it has a compelling state interest in promulgating HB 937 and the
Rules. At the hearing in front of the District Court, the State and the State’s witness offered
no evidence to support any compelling state interest. Instead, the State rests its argument
2
The State argues that even if certain provisions trigger strict scrutiny, we should review each
provision independently and apply rational basis review to the ones that do not trigger right to
privacy concerns. We disagree and address this argument in the severability section below.
22
on the proposition that strict scrutiny should not apply at all. The State took a similar
approach in Planned Parenthood IV and Weems II. See Planned Parenthood IV, ¶ 27;
Weems II, ¶ 42. While we acknowledge that “we are not obligated to develop arguments
on behalf of parties to an appeal, nor are we to guess a party’s precise position, or develop
legal analysis that may lend support to his position,” we will still conduct our own
preliminary review of HB 937 and the Rules under strict scrutiny as we have done before.
Planned Parenthood IV, ¶ 27 (internal quotations omitted).
¶45 “‘In narrowly defined instances, the state, by clear and convincing evidence, may
demonstrate a compelling interest in and obligation to legislate or regulate to preserve the
safety, health and welfare of a particular class of patients or the general public from a
medically-acknowledged, [bona fide] health risk.’” Planned Parenthood IV, ¶ 28 (quoting
Armstrong, ¶ 59); see Planned Parenthood II, ¶ 31. Even if the State had put forth evidence
to justify HB 937 and the Rules on the basis that they reflect a compelling state interest in
protecting pregnant women from a medically-acknowledged, bona-fide health risk, we
definitively rejected the argument in Weems II that abortion care can reasonably be singled
out as more dangerous than miscarriage care. Weems II, ¶¶ 46-48. In Weems II, benefiting
from a fully developed record, we readily concluded that the undisputed evidence
suggested “that abortion care is one of the safest forms of medical care in this country and
the world.” Weems II, ¶ 46. The State had failed to offer any evidence suggesting that
abortion care was any less safe than miscarriage care. Weems II, ¶ 47.
¶46 We recently analyzed a law requiring that providers possess a broad set of
credentials and be capable of handling a large list of complications that could potentially
23
arise in the context of abortion care. Planned Parenthood of Mont. v. State, 2025 MT 120,
¶¶ 101-106, 422 Mont. 241, 570 P.3d 51 (“Planned Parenthood V”). In Planned
Parenthood V, the State argued that the law advanced “maternal health and the integrity of
the medical profession by ensuring that practitioners are competent to address
complications that may result.” Planned Parenthood V, ¶ 102. However, the State
conceded that Planned Parenthood of Montana (“PPMT”) already had measures in place
that properly ensured abortion providers could competently provide emergency care.
Planned Parenthood V, ¶ 105. Thus, we concluded that the “State’s own arguments show
that the credentialing requirements do not appear to achieve any interest not already served
by PPMT procedures but instead ‘preclude qualified health care providers’ from providing
medication abortions and thus fail strict scrutiny.” Planned Parenthood V, ¶ 106 (quoting
Weems II, ¶ 43).
¶47 Similarly, here, the evidence suggests it is not as if “abortion clinics” currently
operate unregulated or unsafely. Apart from HB 937, Montana licensed providers who
provide abortion care, miscarriage care, or other gynecological care are all subject to
licensing and regulation by the DLI under Title 37 and oversight by various medical
licensing boards. The State’s own witness testified that to her knowledge, providers in
clinics offering this sort of care operated without incident. As in Planned Parenthood V,
the State’s witness’s own testimony undermines any purported compelling state interest
because rather than identifying a medically-acknowledged, bona-fide health risk, she
affirmatively suggested that “abortion clinics” have been operating without incident.
24
¶48 Even if the State can later justify why treating “abortion clinics” like other “health
care facilities,” such as “outpatient centers for primary care” or “outpatient centers for
surgical services,”3 makes medical sense, the State would still have to advance a
compelling state interest as to why providers who provide identical medications and
procedures for only miscarriage treatment are not covered by the challenged laws. At this
stage, this Court is unable to conceive of a compelling state interest that would justify
singling out “abortion clinics” in the way that HB 937 and the Rules do.
¶49 Furthermore, as the District Court emphasized, a challenged law is not considered
narrowly tailored if it is underinclusive or overinclusive in scope. Planned Parenthood II,
¶ 32 (citing IMDb.com Inc. v. Becerra, 962 F.3d 1111, 1125 (9th Cir. 2020)). Even if the
State shows a compelling state interest, that interest is likely not narrowly tailored. If the
State does indeed show that HB 937 and the Rules reflect a compelling state interest to
protect women from a medically-acknowledged, bona-fide health risk, then those same
regulations should also apply to offices where miscarriage treatment is performed using
the same medications and procedures. Thus, even assuming a compelling state interest
exists, HB 937 and the Rules are likely underinclusive in that they fail to cover all providers
who provide the same kinds of medications and procedures, regardless of the purpose.
3
It is worth noting that even if the State can show why “abortion clinics” are comparable to other
“health care facilities,” the State would have a difficult time justifying why “abortion clinics” are
subject to an annual $450 license fee under HB 937, while other “health care facilities” are only
required to pay $20 every one to three years (depending on the license). 2023 Mont. Laws ch. 492,
§ 3(2)(d)(ii). Therefore, “abortion clinics” are also singled out within HB 937 from other “health
care facilities” without any apparent explanation.
25
¶50 The State still has the opportunity to develop its arguments fully, but at this time,
we conclude that the Plaintiffs are likely to succeed on their equal protection claim on the
basis that HB 937 and the Rules improperly infringe on the fundamental right to privacy
of women seeking abortion care.4
Likelihood of Irreparable Harm
¶51 Under the second element of the preliminary injunction standard, we must
determine whether “the applicant is likely to suffer irreparable harm in the absence of
preliminary relief.” Section 27-19-201(1)(b), MCA. We have held that “‘[f]or the
purposes of a preliminary injunction, the loss of a constitutional right constitutes an
irreparable injury.’” Planned Parenthood III, ¶ 32 (quoting Driscoll v. Stapleton, 2020 MT
247, ¶ 15, 401 Mont. 405, 473 P.3d 386); see also MCIA I, ¶ 15. The Plaintiffs must prove
“that irreparable injury is likely, not merely speculative, in the absence of an injunction.”
MAID, ¶ 15 (citing Winter v. NRDC, Inc., 555 U.S. 7, 22, 129 S. Ct. 365, 375 (2008)).
Infringement on the right to privacy has been “commonly recognize[d]” as causing
irreparable injury. MAID, ¶ 16; Weems I, ¶ 25.
¶52 Here, the Plaintiffs are likely to be deprived of their right to equal protection, and
such a constitutional deprivation constitutes an irreparable injury. In the absence of a
4
The State argues that the District Court erred by stating in its Order that CI-128 “informs the
Court’s assessment of the Providers’ showing of a likelihood of success on the merits.” While
CI-128 is now currently effective, it was not in effect at the time of the Order. Although it is
unclear why the District Court referenced an unenforceable constitutional amendment at the time
of its Order, we conclude that the Plaintiffs have sufficiently shown they are likely to succeed on
the merits based on this Court’s equal protection and right to privacy precedent alone. CI-128
does not inform this Court’s reasoning of the Plaintiff’s likelihood of success on the merits.
26
preliminary injunction, HB 937 and the Rules would take effect, and the Plaintiffs would
be required to obtain a license and abide by a framework we have preliminarily deemed to
violate the Plaintiffs’ equal protection rights. Importantly, the Plaintiffs’ patients would
likely be prevented from accessing the care provided by the Plaintiffs. As the District Court
explained, this outcome will happen by operation of law as soon as HB 937 and the Rules
become enforceable: it is not merely speculative.
¶53 Unequal treatment is considered a constitutional injury. See Heckler v. Mathews,
465 U.S. 728, 739-40, 104 S. Ct. 1387, 1395-96 (1984). Since we have found that HB 937
and the Rules improperly distinguish between two similarly situated classes of providers,
the Plaintiffs are likely to suffer irreparable harm in the form of unequal treatment under
the law in contravention of Montana’s equal protection clause. In the absence of a
preliminary injunction, HB 937 and the Rules would become enforceable, thus
immediately subjecting the Plaintiffs to all of the requirements, while simultaneously not
subjecting miscarriage treatment providers who provide the same medications and
procedures to the requirements.5.
¶54 Beyond the harm inherent in being deprived of equal protection under the law,
abortion access is likely impeded without a preliminary injunction, which raises
right-to-privacy concerns. The potential for waivers within the Rules does not sufficiently
5
The State argues that the District Court was required to identify a specific irreparable harm for
each individual provision in HB 937 and the Rules. We conclude that the District Court did not
abuse its discretion by not undertaking such a detailed level of analysis because equal protection
concerns operate throughout all parts of the Rules. We further explain why such an analysis is not
required in the severability section below.
27
protect the Plaintiffs from irreparable injury nor prevent HB 937 from implicating the right
to privacy. The Plaintiffs have submitted applications for waivers to the DPHHS but have
received no response other than that the DPHHS received the application. While the State’s
witness testified that any of the regulations may be waived on a clinic-by-clinic basis, the
State’s witness was not aware of any uniform or standard waiver form. The indeterminate
waiver process makes the likelihood of the Plaintiffs’ irreparable injury more concrete in
that the Plaintiffs have no means of predicting or preparing for the DPHHS’s decision of
whether to grant waivers. Even if the DPHHS does eventually reach an agreement with
the Plaintiffs and waive certain requirements, in the interim, the Plaintiffs would be forced
to shut down their services or operate illegally, thus inhibiting access to abortion and
implicating the fundamental constitutional concerns addressed above.
¶55 Overall, we conclude that the Plaintiffs have shown they and their patients are likely
to suffer irreparable harm without a preliminary injunction.
Balance of Equities and the Public Interest
¶56 The third element is whether “the balance of equities tips in the applicant’s favor.”
Section 27-19-201(1)(c), MCA. The fourth element considers whether “the order is in the
public interest.” Section 27-19-201(1)(d), MCA. These two elements merge into a single
analysis when the government is the party opposing the preliminary injunction. Planned
Parenthood III, ¶ 34. Importantly, the purpose of a preliminary injunction is to maintain
the status quo and the parties’ rights until a final judgment is issued on the merits. Planned
Parenthood III, ¶ 16.
28
¶57 Here, the status quo has been that abortion providers are subject to the requirements
under Title 37, MCA, and the supervision of the respective licensing boards thereunder.
HB 937 departs from this status quo by subjecting “abortion clinics” to additional licensing
and other new requirements, while not requiring the same for miscarriage treatment
providers. For example, the Plaintiffs must now pay a $450 licensing fee to maintain their
operations, meet detailed physical plant standards, and abide by other various policies and
procedures under the Rules. Since HB 937 brings “abortion clinics” within the definition
of “health care facilities” under Title 50, Chapter 5, MCA, if the Plaintiffs operate without
a license, they become subject to civil penalties up to $1,000 per day. Sections
50-5-111(1), -112(1), MCA. The potential that the Plaintiffs will incur substantial fees is
another likely hindrance to their patients’ abortion care.
¶58 The analysis of the third and fourth elements is closely tied to the type of injury the
Plaintiffs are likely to suffer. “‘[T]he government suffers no harm from an injunction that
merely ends unconstitutional practices and/or ensures that constitutional standards are
implemented.’” Planned Parenthood III, ¶ 36 (quoting Doe v. Kelly, 878 F.3d 710, 718
(9th Cir. 2017)). Here, we have concluded that the challenged laws likely implicate
constitutional concerns under Montana’s equal protection clause by threatening the
fundamental right to privacy. Therefore, the State suffers no harm in being prevented from
enforcing likely unconstitutional rules, and the balance of equities tips in the Plaintiffs’
favor.
¶59 The State believes that the District Court failed to give proper weight to the harm
the State faces by having its laws preliminarily enjoined. The United States Supreme Court
29
has stated that whenever “a State is enjoined by a court from effectuating statutes enacted
by representatives of its people, it suffers a form of irreparable injury.” Maryland v. King,
567 U.S. 1301, 1303, 133 S. Ct. 1, 3 (2012) (order on stay application) (Roberts, C.J., in
chambers). We agree with this proposition and emphasize the importance of the State
enforcing democratically enacted laws in Montana. However, we cannot agree with the
State that the State’s potential injury in having its laws enjoined deserves the same or
greater weight than the injury that the public faces when the State is allowed to enforce
unconstitutional laws, especially when fundamental rights are likely infringed. “‘[I]t is
always in the public interest to prevent the violation of a party’s constitutional rights.’”
Planned Parenthood III, ¶ 36 (quoting Melendres v. Arpaio, 695 F.3d 990, 1002 (9th Cir.
2012)). We conclude that the balance of equities tips in the Plaintiff’s favor because they
and their patients are likely to suffer constitutional harm without a preliminary injunction.
Likewise, preventing constitutional injury is always in the public interest.
¶60 Since we conclude that the Plaintiffs meet each of the individual elements under
§ 27-19-201(1), MCA, we hold that the District Court did not manifestly abuse its
discretion by preliminarily enjoining all of HB 937 and the Rules.
Severability
¶61 Finally, the State argues that the District Court abused its discretion by subjecting
all the provisions to strict scrutiny and failing to identify an irreparable injury for each
specific provision. The Plaintiffs respond that the District Court properly analyzed HB 937
and the Rules as a “Scheme” because they operate as a single unit with equal protection
concerns pervading throughout. This Court agrees with the Plaintiffs.
30
¶62 “This Court attempts to construe statutes in a manner that avoids unconstitutional
interpretation whenever possible.” Williams v. Bd. of Cnty. Comm’rs, 2013 MT 243, ¶ 64,
371 Mont. 356, 308 P.3d 88. If a statute contains constitutional and unconstitutional
provisions, we examine it to determine if it contains a severability clause. Finke v. State
ex rel. McGrath, 2003 MT 48, ¶ 25, 314 Mont. 314, 65 P.3d 576. “[T]he inclusion of a
severability clause is an indication that the drafters desired judicial severability policy to
apply.” Sheehy v. Pub. Emps. Ret. Div., 262 Mont. 129, 141, 864 P.2d 762, 770 (1993).
¶63 In the absence of a severability clause, the “presumption is against the mutilation of
a statute.” Sheehy, 262 Mont. at 142, 864 P.2d at 770 (internal quotations omitted).
Without a severability clause, “we must determine whether the integrity of . . . [the law]
relies upon the unconstitutional provisions or whether the inclusion of these provisions
acted as inducement to its enactment.” Finke, ¶ 26. To sustain the remainder of the statute
once the unconstitutional provisions are removed, the remainder “must be complete in itself
and capable of being executed in accordance with the apparent legislative intent.” Finke,
¶ 26.
¶64 We agree with the District Court’s reasoning that HB 937’s requirements and the
Rules promulgated by the DPHHS are inexorably intertwined. HB 937 and the Rules
require the threshold consideration of whether a facility falls within the definition of
“abortion clinic.” If it does, HB 937 and all the Rules apply. If it does not, HB 937 and
the Rules do not apply. And as we analyzed above, the definition of “abortion clinic” likely
produces two similarly situated classes that only differ in the purpose of the treatments
provided. The State has failed at this stage to satisfy strict scrutiny and justify treating the
31
classes differently. Since each and every part of HB 937 and the Rules implicate equal
protection concerns, no singular provision is capable of being upheld as constitutional. We,
therefore, need not analyze HB 937 and the Rules in accordance with the severability
principles cited above.
¶65 Even if we could parse out certain constitutional provisions and conduct a
severability analysis, the principles of severability would favor viewing the entire
“Scheme” as a single unit. HB 937 contains no explicit severability clause. The Rules also
do not contain a severability clause. Therefore, the presumption is against piecemealing
HB 937 and the Rules.
¶66 We conclude that the District Court did not manifestly abuse its discretion by not
identifying a specific irreparable injury tied to each individual provision because equal
protection concerns are likely ingrained within all parts of HB 937 and the Rules.
CONCLUSION
¶67 Article II, Section 4, of the Montana Constitution guarantees equal protection under
the law. The Plaintiffs have successfully demonstrated that they are likely to succeed on
the merits of their equal protection claim, are likely to suffer irreparable harm in the
absence of a preliminary injunction, the balance of equities tips in their favor, and a
preliminary injunction is in the public interest. The case will proceed to trial, and all the
parties will have the opportunity to further develop their arguments on the ultimate merits
of the case.
32
¶68 Affirmed.
/S/ LAURIE McKINNON
We Concur:
/S/ KATHERINE M. BIDEGARAY
/S/ INGRID GUSTAFSON
/S/ JAMES JEREMIAH SHEA
Justice James Jeremiah Shea, concurring.
¶69 I concur with the Court’s Opinion. I write separately because this case illustrates
the precise problem that occurs when we attempt to regulate activity based solely on what
motivated an individual to engage in that activity, particularly when it comes to the very
private activity of seeking medical treatment.
¶70 It is uncontested that both the procedures and medications prescribed for
miscarriage care and abortions are identical. Opinion, ¶¶ 10, 30. As acknowledged by
both the Court’s Opinion and the Dissent, the only distinguishing factor is the purpose for
which the woman may be seeking the procedure or medication. Opinion, ¶ 28; Dissent,
¶ 94. The Dissent asserts that this Court’s “continuing extremism on the abortion issue
leads it to conclude that even an effort by the State to require a rodent-free and vermin-free
medical environment for the abortion procedure is likely to be unconstitutional.” Dissent,
¶ 89. Rather than being indicative of extremism, this statement illustrates the very essence
of the equal protection issue at the heart of this case. Since it is uncontested that the
procedures and medications for both miscarriage care and abortion are identical, but these
33
requirements only apply when those procedures and medications are for the purpose of an
abortion, the Dissent’s assertion necessarily implies that the State has no interest in
requiring “a rodent-free and vermin-free medical environment” for miscarriage treatment.
Now that would be an extreme position. Certainly, the State must be opposed to rodents
and vermin in any medical environment. So what can be the compelling interest for
imposing these restrictions in one medical environment and not the identical other?
¶71 And when attempting to evaluate the practical applications of these statutes, what
of the situations where the intentions of medical provider and patient are not so neatly
defined? Consider a medical provider within an obstetric-gynecological or family
medicine private practice who treats pregnant patients experiencing a miscarriage, with no
intention of ever performing what the statute defines as an “abortion.” During the first
trimester, miscarriage symptoms like vaginal bleeding and uterine cramping are also
common during a normal pregnancy. Comm. on Prac. Bulls.—Gynecology, Am. Coll. of
Obstetricians & Gynecologists, Prac. Bull. No. 200: Early Pregnancy Loss (Nov. 2018),
https://perma.cc/4MVS-WKUJ [hereinafter ACOG, Early Pregnancy Loss]. Although
some miscarriages may be relatively easy to diagnose, others are not. ACOG, Early
Pregnancy Loss, supra. The diagnostic process is complicated by the ultrasound guidelines
published by the Society of Radiologists in Ultrasound (SORU), which are considerably
more restrictive than past recommendations and have stricter diagnostic cutoffs than the
large-scale clinical studies upon which they were based. ACOG, Early Pregnancy Loss,
supra. For this reason, the American College of Obstetricians and Gynecologists
emphasizes that it is “important to include the patient in the diagnostic process and to
34
individualize” the ultrasound guidelines “to patient circumstances.” ACOG, Early
Pregnancy Loss, supra (emphasis added).
¶72 When a patient is likely experiencing a miscarriage, and whose individualized
circumstances indicate the need for more active miscarriage treatment, the patient, in
consultation with her medical provider, may reasonably choose to pursue more active
treatment rather than waiting to meet the more rigid SORU diagnostic criteria. See ACOG,
Early Pregnancy Loss, supra. Consider a patient whose initial ultrasound shows a
gestational sac without a yolk sac. Under the SORU guidelines, a second ultrasound
showing the continued absence of a yolk sac or embryo is considered diagnostic of a
miscarriage only if performed 14 days after the initial scan. ACOG, Early Pregnancy Loss,
supra (citing Peter M. Doubilet et al., Diagnostic Criteria for Nonviable Pregnancy Early
in the First Trimester, 369 N. Eng. J. Med. 1443, 1446 tbl.2 (2013)). But according to the
study upon which the guidelines are based, the second ultrasound is considered diagnostic
after 7 days. ACOG, Early Pregnancy Loss, supra (citing Yazan Abdallah et al.,
Gestational Sac and Embryonic Growth Are Not Useful as Criteria to Define Miscarriage:
A Multicenter Observational Study, 38 Ultrasound in Obstetrics & Gynecology 503
(2011)). While some patients, in consultation with their provider and according to their
individualized circumstances, may opt to wait 14 days for the confirming ultrasound, other
individualized circumstances may call for prioritizing immediate treatment of the
miscarriage without waiting. In the latter circumstance it is, at best, unclear whether
treating the patient’s miscarriage according to the patient’s individualized circumstances
and consistent with ACOG guidelines, but before meeting the SORU criteria, would legally
35
constitute an abortion pursuant to § 50-20-104(1), MCA.1 This is precisely because the
treatments themselves are identical and the only distinguishing factor is the medical
provider’s intention. But the medical provider’s intention does not occur in a vacuum; it
is necessarily guided by the individual patient’s circumstances. ACOG, Early Pregnancy
Loss, supra.
¶73 Or consider the even more stark example of an ectopic pregnancy. An ectopic
pregnancy is a pregnancy that develops outside the uterus. Iris T. Lee & Kurt T. Barnhart,
JAMA Patient Page: What Is an Ectopic Pregnancy?, 329 J. Am. Med. Assoc. 434, 434
(2023), https://perma.cc/8YDF-7JA9. An ectopic pregnancy cannot develop normally to
term and may be life-threatening to the mother. Lee & Barnhart, supra, at 434. Even
though the pregnancy cannot be carried to term, it is, as the name indicates, a pregnancy.
Prompt treatment is necessary because, if left untreated, it can cause the fallopian tube to
rupture. Lee & Barnhart, supra, at 434. A ruptured ectopic pregnancy can result in death
if patients do not receive urgent medical evaluation and prompt surgical intervention. Lee
& Barnhart, supra, at 434. Although there can be a fetal heartbeat present in an ectopic
pregnancy, because an ectopic pregnancy can be life-threatening, patients are treated as
quickly as possible with either medication or surgery, “regardless of the presence of a fetal
heartbeat.” Lee & Barnhart, supra, at 434. If treated early, unruptured ectopic pregnancies
may be treated with the administration of a medication called methotrexate, or minimally
1
Section 50-20-104(1), MCA, defines “abortion” as “the use or prescription of any instrument,
medicine, drug, or other substance or device to intentionally terminate the pregnancy of a woman
known to be pregnant, with an intention other than to increase the probability of a live birth, to
preserve the life or health of the child after live birth, or to remove a dead fetus.”
36
invasive surgical procedures to remove the fetus. Lee & Barnhart, supra, at 434. Whether
by the administration of methotrexate or through surgical intervention, the treatment of an
ectopic pregnancy, particularly in situations where a fetal heartbeat is present at the time
of treatment, would meet the legal definition of an abortion pursuant to § 50-20-104(1),
MCA.2 So even in the case of an ectopic pregnancy, where the medication administered
or procedure performed would objectively not be for the “intention” of performing an
abortion, it would nevertheless meet the statutory definition of an “abortion.”3
¶74 In the examples of miscarriage treatment described above, once the medical
provider performs a single procedure to treat a miscarriage or provides medication to five
patients experiencing miscarriages, their private medical office would meet the “abortion
clinic” definition under HB 937. See § 50-20-901(1), MCA. So even when a provider’s
intention was to provide medically necessary miscarriage care, they may nevertheless be
2
Section 50-20-104(1), MCA, does not define “dead fetus,” but presumably the presence of a fetal
heartbeat would be the demarcation line.
3
Notwithstanding the absence of an exception for ectopic pregnancies contained within
§ 50-20-104, MCA, the Dissent notes that ectopic pregnancies are excluded from the definition of
abortion found in §§ 50-20-703(1)(c), 50-20-1002(1)(b)(i), and 50-4-1302(1)(b), MCA. Dissent,
¶ 96. But all of the statutes referenced by the Dissent as explicitly excluding the treatment of
ectopic pregnancies from the definition of abortion, also explicitly limit their definitions to the
respective parts of the MCA where they are found. See § 50-20-703(1)(c), MCA (defining
abortion “[a]s used in this part”); § 50-20-1002(1)(b)(i), MCA (defining abortion “[a]s used in this
part”); § 50-4-1302(1)(b)(iii), MCA (defining abortion “[a]s used in this part”). The rules
promulgated by DPHHS explicitly adopt the definition of “abortion clinics” and any other “[t]erms
used in these rules” as “the definitions provided in 50-20-901, MCA.” Admin. R. M.
37.106.3101(2), (3) (2024). Section 50-20-901, MCA, provides for no exclusion for ectopic
pregnancies and does not define abortion at all. Section 50-20-104(1), MCA, applies to the
entirety of Title 50, Chapter 20, MCA, and does not exclude ectopic pregnancies from its definition
of abortion. There exists no exception for the treatment of an ectopic pregnancy within either
§ 50-20-901, MCA, or § 50-20-104(1), MCA, and it is not the Court’s function to insert what has
been omitted but to ascertain and declare what, in terms of substance, is contained therein. Bryer
v. Accident Fund Gen. Ins. Co., 2023 MT 104, ¶ 42, 412 Mont. 347, 530 P.3d 801.
37
subject to the distinct licensure and regulatory requirements imposed on abortion clinics
by HB 937, the implementing rules promulgated by DPHHS, and the general provisions
governing health care facilities pursuant to Title 50, Chapter 5, MCA.
¶75 Abortion can be an emotionally charged issue, the implications with which many of
us may struggle on a personal level. But on a professional level, if we take the emotional
element out of this equation—as we are constrained to do—it lays bare the fundamental
equal protection problem of imposing different standards and requirements on doctors and
their patients who are seeking the identical medical treatment but for different reasons,
particularly when the circumstances and conditions leading to the decisions regarding these
treatments are inherently specific to the individual. By way of example, from an equal
protection standpoint, how would the State justify a compelling interest for imposing more
exacting standards and requirements on a doctor who prescribes Ozempic to patients for
weight loss rather than diabetes? Or, how would the State justify a compelling interest for
imposing more exacting standards and requirements on a doctor who performs breast
reduction surgery on patients seeking the procedure for cosmetic purposes rather than to
relieve back pain?
¶76 Decisions about medical care and the treatments sought and received based on those
decisions are about as private as private can get. In Montana, our citizens saw fit to
enshrine the right to privacy in our Constitution. Mont. Const. art. II, § 10. The framers
of our Constitution viewed the right to privacy as so important that Article II, Section 10,
was the only right that explicitly incorporated the highest level of scrutiny within the very
38
text of the provision.4 Before any of the current members of this Court were fitted for our
robes, this Court held the constitutional right to privacy included an individual’s right to
make medical decisions without government interference. Armstrong, ¶ 75. This is hardly
radical thinking. Under federal law, individuals can be criminally prosecuted, fined, and
imprisoned for merely divulging someone’s private medical information. 42 U.S.C.
§ 1320d-6. If there is something this Court has been absolutist about over the decades, it
is the appropriate protection of our citizens’ constitutional right to privacy and to make
decisions that are inherently private without government interference, regardless of our
personal feelings or reservations about those decisions. That is a badge of honor I will
proudly wear.
/S/ JAMES JEREMIAH SHEA
Justice Jim Rice, dissenting.
¶77 The Court affirms the District Court’s overbroad and incorrect analysis, resulting in
a decision which appears to recognize a constitutional right of abortion providers to
perform abortions free from usual regulation by the State, except by satisfying strict
scrutiny review, an untenable conclusion that perpetuates the Court’s flawed absolutist
approach to the abortion right. Planned Parenthood V, ¶ 157 (Rice, J., concurring in part
and dissenting in part) (“The Court continues to push in the direction of absolutism” of the
abortion right.); see also Noah Durnell & Rachael Dean, Significant Montana Cases,
4
Article II, Section 36, of the Montana Constitution also requires a compelling government
interest, but was not passed until 2024.
39
87 Mont. Law Rev. 223 (2026) (“As noted in the dissent [in Planned Parenthood V], since
Armstrong, the Montana Supreme Court has not ruled in favor of any legislation seeking
to regulate abortion. [Planned Parenthood V] reinforces that the Supreme Court is unlikely
to uphold pre-viability abortion regulations in the future.”). Before analyzing HB 937 and
discussing the merits of the Court’s conclusion, two preliminary matters are present:
whether the District Court applied the proper preliminary injunction standards and whether
HB 937 should be presumed to be constitutional.
Preliminary Injunction Standards
¶78 The District Court’s analysis clearly included the wrong standards for issuance of a
preliminary injunction. Citing Stensvad v. Newman Ayers Ranch, Inc., 2024 MT 246,
418 Mont. 378, 557 P.3d 1240, the District Court stated that an applicant must make a
“sufficient showing as to each of the[] elements,” and that “the Montana Supreme Court
has recently adopted the ‘sliding scale’ approach articulated in Alliance for the Wild
Rockies v. Cottrell, 632 F.3d 1127 (9th Cir. 2011).” It then reasoned that “the strength of
the Providers’ showing is sufficiently strong” on this scale to justify entry of the injunction.
However, the District Court’s rationale has clearly been abrogated by the Legislature.
¶79 The Legislature rebuked this Court for adopting preliminary injunction standards
contrary to its clear intent in Stensvad. See Mont. Env’t Info. Ctr. v. Off. of the Governor
for State, 2025 MT 112, 422 Mont. 136, 569 P.3d 555 (Rice, J., dissenting) (“Faced with a
judicial holding that was directly contradictory to its intent, the Legislature acted
immediately to restore the statute,” and quoting the Legislature’s statement in the
restorative HB 409 that Stensvad’s “use of the serious questions test or any other sliding
40
scale test is contrary to [] legislative intent.”). Apparently attempting to convey that such
a rebuke was unnecessary, the Court reconstructs its holding in Stensvad by prevaricating
that, actually, “Stensvad did not require district courts to apply the serious questions test
in lieu of finding that each of the elements in § 27-19-201(1), MCA, were independently
met.” Opinion, ¶ 20 (emphasis in original). This is purely revisionist history, as Stensvad
provided no such flexibility, no matter how much the Court wishes now that it had. Rather,
Stensvad held that “the preliminary injunction standard sets forth a conjunctive test that
requires an applicant to make a sufficient showing as to each of the four factors. The
sufficiency of that showing is determined using the Ninth Circuit’s serious questions
framework.” Stensvad, ¶ 29 (emphasis added); see also Stensvad, ¶ 26 (“The serious
questions test is the best fit with Montana precedent.”). The Court thus remanded the case
to satisfy the Ninth Circuit’s standard. See Stensvad, ¶ 30. Stensvad left no room for
district courts to proceed with anything but the Ninth Circuit’s standards, and,
consequently, they have since applied sliding scales and the serious questions test, as did
the District Court here, explaining that it applied both of them because of Stensvad:
“the Montana Supreme Court has recently adopted the ‘sliding scale’ approach articulated
in Alliance for the Wild Rockies v. Cottrell, 632 F.3d 1127 (9th Cir. 2011).” See also
Anna Conley, Preliminary Injunctions and the 2025 Montana Legislature’s (Mostly
Unsuccessful) Attempt to Reshape the Judiciary, 87 Mont. Law Rev. 141 (2026) (“After
the 2023 legislative changes to the preliminary injunction standard in Montana, it was an
open question whether these sliding scale variations would apply in Montana courts. In
2024, the Montana Supreme Court answered this question in the affirmative by adopting
41
the serious questions test in Stensvad v. Newman Ayers Ranch, Inc.”). While the District
Court also addressed other factors, the Legislature is entitled to a preliminary injunction
determination on its challenged statute that is unadulterated by additional injunction
considerations it has now rejected twice. Thus, remand for a clean review would be
appropriately ordered here.
Presumption of Constitutionality
¶80 The Court contends that a law affecting a fundamental right is not entitled to a
presumption of constitutionality. Opinion, ¶¶ 5, 23. This is contrary to the law. The
presumed constitutionality of legislative acts has been an unwavering principle within the
jurisprudence of our State and Country, and we have unfailingly recognized this principle.
See Weems II, ¶ 34; Planned Parenthood II, ¶ 16. The citations provided by the Court,
namely Mont. Democratic Party, ¶ 11, and Greely, 193 Mont at 382-83, 632 P.2d at 303,
offer no actual authority supporting the position against a presumption of validity.
¶81 The relevant portion of Mont. Democratic Party, ¶ 11, is as follows:
Statutes are presumed constitutional, and the party challenging a statute has
the burden of proving it unconstitutional or showing that the statute infringes
on a fundamental right. Bd. of Regents of Higher Educ. of Mont. v. State,
2022 MT 128, ¶ 10, 409 Mont. 96, 512 P.3d 748; Weems v. State [Weems
II], 2023 MT 82, ¶ 34, 412 Mont. 132, 529 P.3d 798; Mont. Auto. Ass’n v.
Greely, 193 Mont. 378, 382–83, 632 P.2d 300, 303 (1981). If the challenger
shows an infringement on a fundamental right, a presumption of
constitutionality is no longer available. Greely, 193 Mont. at 382–83, 632
P.2d at 303.
Mont. Democratic Party, ¶ 11. There are three citations provided in paragraph 11 of Mont.
Democratic Party that were offered to support the assertion that laws burdening
42
fundamental rights are not presumed to be constitutional. The first citation, Bd. of Regents
of Higher Educ., ¶ 10, recites in its entirety:
Statutes enjoy a presumption of constitutionality, and the party challenging
a statute's constitutionality bears the burden of proving it unconstitutional
beyond a reasonable doubt. State v. Knudson, 2007 MT 324, ¶ 12, 340 Mont.
167, 174 P.3d 469. An as-applied challenge alleges that a particular
application of a statute is unconstitutional and thus depends on the facts of a
particular case. City of Missoula v. Mountain Water Co., 2018 MT 139, ¶ 25,
391 Mont. 422, 419 P.3d 685.
Bd. of Regents of Higher Educ., ¶ 10. The second citation, Weems II, ¶ 34, recites in its
entirety:
Statutes are presumed to be constitutional, and we regard that presumed
constitutionality as a high burden to overcome. Hernandez v. Bd. of County
Comm’rs, 2008 MT 251, ¶ 15, 345 Mont. 1, 189 P.3d 638 (citing Montanans
for the Responsible Use of the Sch. Tr. v. State ex rel. Bd. of Land Comm’rs,
1999 MT 263, ¶ 11, 296 Mont. 402, 989 P.2d 800). The challenging party
bears the burden of proving the statute is unconstitutional. Molnar v. Fox,
2013 MT 132, ¶ 49, 370 Mont. 238, 301 P.3d 824. Separately, we have also
recognized that “legislation infringing the exercise of the right of privacy
must be reviewed under a strict-scrutiny analysis,” which necessarily shifts
the burden to the State to demonstrate that the legislation is “justified by a
compelling state interest and [is] narrowly tailored to effectuate only that
compelling interest.” Armstrong, ¶ 34. While the analysis of a statute
pertaining to fundamental rights will generally require a strict scrutiny
review that ultimately shifts the burden, we still begin our review with the
same principle: statutes are presumed to be constitutional. To do otherwise
would infringe on the principle of separation of powers and the deference we
give to the Legislature, as it is the Legislature's prerogative to legislate under
their general police power, and not merely in those areas we do not consider
fundamental.
Weems II, ¶ 34 (emphasis added). The third and final citation, Greely, 193 Mont. at
382-83, 632 P.2d at 303, provides in pertinent part:
Whether enacted by the legislature or created by the people through
initiative, all statutes carry with them a presumption of constitutionality.
State v. Erickson, 75 Mont. 429, 438, 244 P. 287, 290 (1926). When a statute
43
is challenged as being unconstitutional, the challenger must show that it does
in fact infringe upon a right guaranteed by the Constitution. N.A.A.C.P. v.
Alabama, 357 U.S. 449, 78 (1958). When it has been demonstrated that a
statute infringes upon First Amendment freedoms, a presumption of
constitutionality is no longer available. United States v. Cong. of Indus.
Orgs., 335 U.S. 106, 140, 68 S.Ct. 1349, 1366 (Rutledge, J.,
concurring).
Greely, 193 Mont. at 382-83, 632 P.2d at 303.
¶82 Paragraph 10 of Bd. of Regents of Higher Educ. clearly fails to support the Court’s
position against a presumption of constitutionality for statutes burdening fundamental
rights—it says nothing against the presumption of constitutionality. Paragraph 34 of
Weems II stands directly contrary to the Court’s position. Then, even a generous reading
of the relevant portions of Greely reveals only that a law burdening the first amendment
right loses its pre-decision presumption after “it has been demonstrated” the right has been
infringed, but even that notion lacks presidential authority as it was a position argued in a
concurrence in Cong. of Indus. Orgs., and was not stated by the majority. Indeed, the
majority in Cong. of Indus. Orgs. took the opposite view. See Cong. of Indus. Orgs.,
335 U.S. at 120-21, 60 S. Ct. at 1356-57 (citing United States ex rel. Att’y Gen. v. Delaware
& Hudson Co., 213 U.S. 366, 407-08, 29 S. Ct. 527, 536 (1909)). In Delaware & Hudson
Co., the U.S. Supreme Court upheld a federal statute barring railroad companies from
transporting commodities they had produced, adopting a very narrow interpretation of the
statute and choosing to presume the statute constitutional rather than addressing “grave
constitutional questions” that would arise if it were to remove such a presumption:
It is elementary when the constitutionality of a statute is assailed, if the statute
be reasonably susceptible of two interpretations, by one of which it would be
44
unconstitutional and by the other valid, it is our plain duty to adopt that
construction which will save the statute from constitutional infirmity.
Delaware & Hudson Co, 213 U.S. at 407-08, 29 S. Ct. at 536 (citation omitted).
¶83 Moreover, in Montana, as explained in Weems II, we have clearly reasoned,
repeatedly, that even when a challenged statute burdens a fundamental right, it nonetheless
is given a presumption of constitutionality:
While the analysis of a statute pertaining to fundamental rights will generally
require a strict scrutiny review that ultimately shifts the burden, we still begin
our review with the same principle: statutes are presumed to be
constitutional. To do otherwise would infringe on the principle of separation
of powers and the deference we give to the Legislature, as it is the
Legislature’s prerogative to legislate under their general police power, and
not merely in those areas we do not consider fundamental.
Weems II, ¶ 34. Confusingly, the Court cites the above paragraph of Weems II in the same
paragraph that it asserts that statutes burdening fundamental rights are not presumed
constitutional. Paragraph 11 of Mont. Democratic Party, also cites paragraph 34 of
Weems II.
¶84 We have consistently recognized that challenged laws are presumed to be
constitutional, whether they burden a fundamental right or suspect class.1 E.g. Barrett v.
1
A presumption of constitutionality is the starting point, but the presumption can eventually yield
to heightened levels of scrutiny. See Greely, 193 Mont. at 382-83, 632 P.2d at 303. However,
before the presumption is removed, it is incumbent on the challenger to make a sufficient showing
that the law in fact employs or is motivated by a suspect classification or burdens a fundamental
right. See Mont. Democratic Party, ¶ 11; Greely, 193 Mont. at 382-83, 632 P.2d at 303. Federal
courts follow a similar approach and grant statutes a presumption of constitutionality; yet that
presumption can also be removed once the challenger makes a threshold showing of infringement
on a fundamental right. See Miller v. Johnson, 515 U.S. 900, 915, 115 S. Ct. 2475, 2489 (1995)
(“Although race-based decisionmaking is inherently suspect, . . . until a claimant makes a showing
sufficient to support that allegation the good faith of a state legislature must be presumed[.]”
(internal citations omitted)); Washington v. Davis, 426 U.S. 229, 241, 96 S. Ct. 2040, 2048 (1976)
(“With a prima facie case made out, the burden of proof shifts to the State to rebut the presumption
45
State, 2024 MT 86, ¶ 13, 416 Mont. 226, 547 P.3d 630 (Citizens challenged several house
bills as violating the Board of Regents’ authority under Article X, Section 9, of the Montana
Constitution. “Statutes are presumed to be constitutional, and the party challenging a
statute’s constitutionality bears the burden of proving it unconstitutional beyond a
reasonable doubt.”); Satterlee v. Lumberman’s Mut. Cas. Co., 2009 MT 368, ¶ 10,
353 Mont. 265, 222 P.3d 566 (A citizen challenged a workers compensation statute as
violating equal protection and substantive due process principles. “The constitutionality
of a legislative enactment is prima facie presumed, and every intendment in its favor will
be presumed, unless its unconstitutionality appears beyond a reasonable doubt.”);
Matter of S.M., 2017 MT 244, ¶ 10, 389 Mont. 28, 403 P.3d 324 (A citizen challenged a
Montana statute prohibiting waiver of counsel in civil commitment proceedings as
violating the Sixth and Fourteenth Amendments of the U.S. Constitution. “Legislative
enactments are presumed to be constitutional.”); Est. of McCarthy v. Mont. Second Jud.
Dist. Ct., Silverbow Cnty., 1999 MT 309, ¶ 13, 297 Mont. 212, 994 P.2d 1090 (A citizen
challenged a statute setting forth statute of limitations for medical malpractice as violating
equal protection principles and right to access the courts under Article II, Section 5, of the
Montana Constitution. “Statutes are presumed to be constitutional.”); State v. Nye,
of unconstitutional action by showing that permissible racially neutral selection criteria and
procedures have produced the monochromatic result.” (internal quotations and citations omitted));
Harris v. McRae, 448 U.S. 297, 299, 100 S. Ct. 2671, 2685 (1980) (“If a law impinges upon a
fundamental right explicitly or implicitly secured by the Constitution [it] is presumptively
unconstitutional. Accordingly, before turning to the equal protection issue in this case, we examine
whether the Hyde Amendment violates any substantive rights secured by the Constitution.”
(internal quotations and citations removed)).
46
283 Mont. 505, 510, 943 P.2d 96, 99 (1997) (Citizens challenged a statute as violating
federal and Montana free speech rights. “All statutes carry with them a presumption of
constitutionality and it is the duty of the courts to construe statutes narrowly to avoid an
unconstitutional interpretation if possible.”); Davis v. Union Pac. R. Co., 282 Mont. 233,
239, 937 P.2d 27, 30 (1997) (Out-of-state citizens challenged a Montana statute providing
specific venues for tort suits as violating Montana’s equal protection provisions.
“A legislative enactment is presumed to be constitutional and will be upheld on review
except when proven to be unconstitutional beyond a reasonable doubt.”); Weems II, ¶ 34
(Citizens challenged a statute as violating Montana’s right to privacy. “While the analysis
of a statute pertaining to fundamental rights will generally require a strict scrutiny review
that ultimately shifts the burden, we still begin our review with the same principle: statutes
are presumed to be constitutional.”); Planned Parenthood II, ¶ 16 (Citizens challenged a
statute as violating Montana’s right to privacy. “While the analysis of a statute pertaining
to fundamental rights will generally require a strict scrutiny review that ultimately shifts
the burden, we still begin our review with the same principle: statutes are presumed to be
constitutional.”).
¶85 Removing the presumption of validity guts a standing principle this Court has
unfailingly supported: the Legislature and Court are separate but equal branches. Planned
Parenthood II, ¶ 16; Davis, 282 Mont. at 239, 937 P.2d at 30. In Davis, we recognized
that:
The legislative and judicial are co-ordinate departments of the government
of equal dignity; each is alike supreme in the exercise of its proper functions,
and cannot directly or indirectly while acting within the limits of its authority
47
be subjected to the control or supervision of the other without an
unwarrantable assumption by that other of power which, by the Constitution,
is not conferred upon it. The Constitution apportions the powers of
governments but it does not make any one of the three departments
subordinate to another when exercising the trust committed to it.
Davis, 282 Mont. at 239, 937 P.2d at 30.
¶86 When the presumption of validity is removed, courts curtail the rightful power of
the legislature—a notion dating back as far as Justice Marshall. See Murray v. The
Charming Betsy, 6 U.S. (2 Cranch) 64, 118 (1804) (“[A]n act of Congress ought never to
be construed to violate the law of nations if any other possible construction remains.”);
Fletcher v. Peck, 10 U.S. (6 Cranch) 87, 128 (1810) (“But it is not on slight implication
and vague conjecture that the legislature is to be pronounced to have transcended its
powers, and its acts to be considered as void.”). In Montana, the burden the Court must
meet to strike down a law as unconstitutional is “beyond a reasonable doubt.” Powell v.
State Comp. Ins. Fund, 2000 MT 321, ¶ 13, 302 Mont. 518, 15 P.3d 877; Stratemeyer v.
Lincoln Cnty., 259 Mont. 147, 150, 855 P.2d 506, 508 (1993); Northwestern Mut. Life Ins.
Co. v. Lewis & Clark Cnty., 28 Mont. 484, ___, 72 P. 982, 987 (1903) (“It is a fundamental
rule that a reasonable doubt as to the constitutionality of a statute will be resolved in favor
of its validity, and that the judiciary will not declare an act of the Legislature
unconstitutional unless it is clear that such act is inhibited by the fundamental law.”)
(citations omitted). While it may be unclear what “beyond a reasonable doubt” means in
this context, it is undisputed that at the very least courts must give deference to the
Legislature and start with the presumption that a challenged law is constitutional.
Weems II, ¶ 34. Because most constitutional challenges to legislation implicate a
48
fundamental right, the Court’s contrary reasoning today effectively eliminates the
presumption of constitutionality and furthers its undermining of the Legislature’s proper
constitutional role.
Analysis of HB 937
¶87 Regarding the substance of the claims, the Court reaches the conclusion that HB 937
and accompanying Rules will likely be proven to be unconstitutional. Opinion, ¶ 50.
Courts should be ever cognizant that the power to declare a legislative enactment
unconstitutional is “the gravest and most delicate duty.” United States v. Raines, 362 U.S.
17, 20, 80 S. Ct. 519, 522 (1960) (quoting Blodgett v. Holden, 275 U.S. 142, 148, 48 S. Ct.
105, 107 (1927) (Holmes, J., concurring)). “Every possible presumption must be indulged
in favor of the constitutionality of a legislative act. . . . The party challenging a statute
bears the burden of proving that it is unconstitutional beyond a reasonable doubt and, if
any doubt exists, it must be resolved in favor of the statute.” Powell, ¶ 13 (emphasis added;
internal citations omitted). Even in the context of a preliminary injunction request,
plaintiffs must demonstrate the likelihood that the presumption of constitutionality will be
successfully overcome for any application of the challenged bills. See City of Billings v.
County Water Dist., 281 Mont. 219, 227, 935 P.2d 246, 250 (1997) (while petitioner for
injunctive relief need not “prove beyond a reasonable doubt” that a challenged statute is
unconstitutional, petitioner must nonetheless “must make out a prima facie case of
unconstitutionality”). This is because every decision striking down a statute undermines
the action of the Legislative branch and can “have a tendency over time to seriously weaken
the democratic process.” State v. Gibbons, 2024 MT 63, ¶ 80, 416 Mont. 1, 545 P.3d 686
49
(Rice. J., concurring in part and dissenting in part) (citing Alexander M. Bikel, The Least
Dangerous Branch 21 (1962)), overruled in part by State v. Cole, 2026 MT 52, ___ Mont.
__, __ P.3d ____.
¶88 Abortion is an issue of great concern in our democracy. Dobbs v. Jackson Women’s
Health Org., 597 U.S. 215, 223-24, 142 S. Ct. 2228, 2240 (2022) (“Abortion presents a
profound moral issue on which Americans hold sharply conflicting views.”); Planned
Parenthood II, ¶ 56 (“We also acknowledge that the State has a substantial interest in
preserving the family, protecting minors, and protecting the rights of parents to raise their
children.”); Planned Parenthood V, ¶ 129 (Rice, J., concurring in part and dissenting in
part) (“Protecting life was the first purpose in the founding of our democracy, and it should
continue to be recognized as the State’s highest interest.”). The Court lists “many laws
passed by the Montana Legislature aimed at monitoring and regulating abortion” over the
past 20 years. Opinion, ¶ 5. Yet, what remains unsaid is that this Court enjoined
enforcement of each of these laws, followed by striking them down as unconstitutional as
soon as it was presented with the opportunity. Though every one of them was supposed to
have a presumption of constitutionality, none survived. The Court seems to offer this list
as a badge of honor of what is, in collective totality, an extensive undermining of the
democratic process.
¶89 I would conclude that the State is likely to prevail on the merits because HB 937,
and the Rules accompanying thereto, do not violate the equal protection provision, and
further, they do not infringe on a patient’s fundamental rights and should be subject to
rational basis review. “‘The practice of medicine is a privilege, not a right, in Montana
50
and . . . it is generally subject to legislative oversight in order to protect the health, safety,
and welfare of the people of Montana.’” Weems II, ¶ 38 (quoting Armstrong, ¶ 79 (Gray, J.,
specially concurring)). HB 937 and the Rules implement basic health and safety
regulations on health care providers. For example, one licensure requirement provided in
the Rules is that “an abortion clinic must be constructed and maintained so as to prevent as
much as possible the entrance and harborage of insects, rodents, and other vermin capable
of transmitting disease including, without limitation, rats, mice, mosquitos, and flies.”
Admin. R. M. 37.106.3103(1) (2024). Such rules are plainly intended to protect the health,
safety, and welfare of patients who receive healthcare services. Implementing licensure
requirements for abortion clinics to enforce basic health and safety regulations are within
the police powers of the state and do not implicate a patient’s fundamental rights.
However, the Court’s continuing extremism on the abortion issue leads it to conclude that
even an effort by the State to require a rodent-free and vermin-free medical environment
for the abortion procedure is likely to be unconstitutional.
A. HB 937 and the Rules do not violate equal protection
¶90 A meritorious claim under the equal protection provision requires a showing that
the state has adopted a classification that affects two or more similarly situated groups in
an unequal manner. Powell, ¶ 22. To prevail on an equal protection challenge, a party
must demonstrate that the state has adopted a classification which discriminates against
individuals similarly situated by treating them differently on the basis of that classification.
Rausch v. State Comp. Ins. Fund, 2005 MT 140, ¶ 18, 327 Mont. 272, 114 P.3d 192. An
equal protection analysis involves three steps, the first of which is to identify the classes
51
involved and determine if they are similarly situated. Rausch, ¶ 18. If the classes are not
similarly situated, then the first criterion for proving an equal protection violation is not
met, and it is unnecessary to analyze the challenge further. Rausch, ¶ 18.
¶91 The Court’s rationale that “the single factor differentiating the classes is the purpose
of the treatment offered—either to treat a miscarriage or induce an abortion,” fails to
recognize the distinctions at issue in this case and, in my view, is plainly incorrect.
Opinion, ¶ 28 (emphasis added). HB 937 does not create similarly situated classes between
abortion providers and miscarriage treatment providers. I begin with technical distinctions
between the Court’s proffered classes and then address the primary error in the Court’s
analysis.
¶92 For a health care provider to be subject to HB 937 or the Rules, the facility must
perform at least five abortions annually. A facility that provides fewer than five abortions
annually is not subject to licensure under HB 937 or the Rules. 2023 Mont. Laws ch. 492,
§ 1(b)(iv). Therefore, the number of abortions provided annually by a clinic is also a factor
under the statute and thus the “the purpose of the treatment offered” cannot be the “single
factor” under the Court’s approach. Reducing the class distinctions under the statute to a
single factor necessarily requires defining the classes as providers who perform more than
five abortions annually and providers who perform fewer than five. The Court states that
“a women seeking medical treatment for the purpose of an abortion must use a provider
who complies with HB 937 and the Rules,” Opinion, ¶ 32 (emphasis added), but a woman
may well obtain an abortion at a facility that is not required to be licensed under HB 937
at all.
52
¶93 However, the Court’s focus is not on the options of the patient, but on the rights of
the provider, and therefore adopts the providers’ argument that HB 937 treats them
differently because the same licensing requirements do not apply to another kind of
treatment: miscarriage medical care. Neither HB 937 nor the Rules even mention
miscarriage care. Comparing abortion with miscarriage care in this context is a red herring
offered by the providers that the Court swallows whole. The Court reasons that because
the “same medications and procedures” are used for an abortion as are used in treating a
miscarriage, such is sufficient to conclude that HB 937 and the Rules create two similarly
situated classes. Opinion, ¶ 31. However, merely because there may be similar
characteristics between abortion and miscarriage care does not give rise to an obligation to
consider them to be the same or even similar in all respects. See Tigner v. Texas, 310 U.S.
141, 147, 60 S. Ct 879, 882 (1940) (“The Constitution does not require things which are
different in fact or opinion to be treated in law as though they were the same.”).
¶94 It is an undisputed fact here that the fundamental distinction between abortion and
miscarriage care is that, in the case of abortion, the provider uncontestably intends to, and
acts to, bring about the termination of existing fetal life. In stark contrast, the miscarriage
care provider neither intends to, nor acts to, terminate human life; rather, post-termination
of life care is provided to the patient. Consequently, the two medical services drastically
differ in intent, action, and in the consequential result, and the State’s interest in regulating
the procedures is also dramatically different. This is not a situation where the State’s
interest in the preservation of fetal life is minimized until viability. See Planned
Parenthood V, ¶ 35 (explaining “the State’s interest in preserving fetal life, or the fetus’s
53
right to life” does not “take[] precedence over all constitutional protections and dignities
of the mother” because “[t]he viability line [] strikes an appropriate balance of competing
interests”). Rather, the health and safety protocols necessary to legally terminate human
life must be in place for all stages. Thus, society is entitled to, and clearly does, have great
concerns about the provision of abortion services that do not likewise exist in the provision
of miscarriage care, as reflected by their elected representatives enacting HB 937.
Regulation is vital. See e.g. Planned Parenthood of Wisconsin, Inc. v. Van Hollen,
738 F.3d 786, 802 (7th Cir. 2013) (Manion, J., concurring in part) (explaining that “a
Philadelphia abortion doctor, Dr. Kermit Gosnell, was convicted of three counts of
first-degree murder for the death of three infants delivered alive but subsequently killed at
his clinic” utilizing egregious health care practices amidst grossly unsanitary conditions).
¶95 These distinctions were neither considered nor resolved in our previous holdings.
Weems II discussed “protocols, procedures, and the attendant complications” of abortions
in connection with the question of which healthcare professionals were qualified to perform
the procedure. Weems II, ¶ 47. Planned Parenthood II involved a law prohibiting a
minor’s ability to obtain an abortion without parental consent. Planned Parenthood II, ¶ 6.
Planned Parenthood IV addressed two laws and a rule adopted by DPHHS relating to
Medicaid funding for abortion. Planned Parenthood IV, ¶ 4. We decided these cases
without considering whether the provision of abortion and miscarriage treatments
themselves necessitated the same facilities, regulations, and protections.
¶96 The Concurrence rests on an assertion that “the treatment of an ectopic
pregnancy . . . would meet the legal definition of an abortion pursuant to § 50-20-104(1),
54
MCA.” Concurrence, ¶ 73. This is incorrect, as Montana law explicitly excludes treatment
of ectopic pregnancies from the definition of abortion. See e.g. §§ 50-20-703(1)(c),
50-20-1002(1)(b)(i), 50-4-1302(1)(b), MCA. The Concurrence proffers that regulating
based on motivation could raise privacy issues, but that is not an issue here because HB 937
does not probe individual motives. It imposes basic licensure requirements on facilities
performing the acknowledged procedure of abortion, when performing more than five
abortions per year, and, to the main point, abortions are different than miscarriage
treatment, so thus are not similarly situated procedures. See Hensley v. Mont. State Fund,
2020 MT 317, ¶ 19, 402 Mont. 277, 477 P.3d 1065. The two procedures clearly differ in
intent, action, and, significantly, result. One procedure provides care in response to a
natural loss; the other is an intentional termination of a developing pregnancy, i.e., human
life, in which the State has an enhanced interest. See Planned Parenthood V, ¶ 35. Thus,
the two procedures are not distinguished by mere motivation, but rather by significantly
different outcomes. To illustrate by analogy, the same skin cut could be made by a surgeon
and by an assailant, but the purposes and results are nonetheless different and necessitate
different regulation: one is made to improve health, and the other to harm it.2
2
The Concurrence obviously errs by suggesting an implication herein that the State has no interest
in preventing rodents and vermin in facilities where miscarriage treatment occurs. Concurrence,
¶ 70. HB 937 seeks to classify abortion facilities as health care facilities subject to Title 50,
Chapter 5 licensing requirements, the same chapter that already governs hospitals and clinics
where miscarriage treatment takes place. See 2023 Mont. Laws ch. 492, § 5 (updating the
definition of “heath care facility” to include abortion clinics). Equal protection does not require
the legislature to solve every related problem in a single bill. See Williamson v. Lee Optical of
Okla., Inc., 348 U.S. 483, 489, 75 S. Ct. 461, 465 (1955) (“Evils in the same field may be of
different dimensions and proportions, requiring different remedies. . . . The legislature may select
one phase of one field and apply a remedy there, neglecting the others.”) (internal citations
omitted). The State can care about rodents in every medical setting and still rationally decide to
55
¶97 Accordingly, in my view, it is likely that HB 937 and the Rules do not violate equal
protection. On their face, HB 937 and the Rules do not address miscarriage care and do
not treat facilities differently based upon provision of abortion or miscarriage care alone.
As HB 937 is applied, a facility that treats miscarriages need not be subject to HB 937 and
the Rules to provide equal protection under the law because abortion and miscarriage care
are very different. These distinctions establish that HB 937 does not discriminate between
similarly situated classes. Because the State is likely to prevail on the first criterion for
proving an equal protection violation, a prima facie case of an equal protection violation
has not been established.
B. HB 937 and the Rules do not implicate the right to privacy and are subject to
rational basis review
¶98 The analysis again should begin with the genuine presumption that the challenged
bill is constitutional. Weems II, ¶ 34. We employ a three-step analysis for bills challenged
as a violation of the right to privacy: (1) does the law infringe on a fundamental right to
privacy; (2) does the State assert a compelling interest; and (3) if the State’s interest is
compelling, is the law narrowly tailored to achieve that interest? Planned Parenthood V,
¶ 48 (citing Wiser v. State, 2006 MT 20, ¶ 19, 331 Mont. 28, 129 P.3d 133).
¶99 HB 937 and the Rules impose no restrictions upon patients, but only upon providers.
The providers’ arguments that they are already so burdened by the health-related
regulations that the Constitution should protect them from the requirements of facility
further enact a targeted measure classifying abortion facilities as health care facilities subject to
Title 50, Chapter 5 licensing requirements without violating, in cases such as this, equal protection.
56
licensing raise a claim under our established jurisprudence governing the State’s police
powers. Specifically, the right to privacy provides no right to practice any profession free
of state regulations promulgated to protect the public’s welfare. Mont. Cannabis Indus.
Ass’n v. State, 2012 MT 201, ¶ 21, 366 Mont. 224, 286 P.3d 1161. Rather, the State may
regulate and license the health care profession for the safety of its citizens. Wiser, ¶¶ 18-19;
Planned Parenthood V, ¶ 103 (“This Court acknowledged [in Weems II] the State’s police
power to regulate for the health and safety of its citizens and reasoned that the ‘Legislature
does not lose its authority to legislate in areas that have been delegated to the oversight of
a board.’”). Therefore, not every restriction on medical care necessarily impermissibly
infringes on the right to privacy. Weems II, ¶ 38. Other jurisdictions have broadly reached
the same conclusion. See Doane v. Dep’t of Health & Hum. Servs., 2017 ME 193, ¶ 29,
170 A.3d 269, 278 (“It is through the professional licensing of physicians . . . that the State
exercises its police power on behalf of all Maine citizens to ‘preserv[e] . . . the health,
safety and comfort of [its] citizens’ from unqualified, incompetent, or unethical
physicians.”); Goldfarb v. Virginia State Bar, 421 U.S. 773, 792, 95 S. Ct. 2004, 2016
(1975) (“We recognize that the States have a compelling interest in the practice of
professions within their boundaries, and that as part of their power to protect the public
health, safety, and other valid interests they have broad power to establish standards for
licensing practitioners and regulating the practice of professions.”).
¶100 Further, a patient’s fundamental right to privacy is not infringed by licensing
requirements imposed upon the medical profession by the Legislature. See e.g. Wiser,
¶¶ 18-20 (rejecting the argument that “Montanans have a fundamental right to seek medical
57
care from un-licensed professionals” because such a conclusion “would force the State and
its licensing boards to demonstrate a compelling state interest in order to license and
regulate health care professionals”); Watson v. Maryland, 218 U.S. 173, 176, 30 S. Ct. 644,
646 (1910) (affirming the constitutionality of a Maryland law requiring, in part, that all
medical providers apply for a license, noting that “there is perhaps no profession more
properly open to such regulation than that which embraces the practitioners of medicine”);
N.Y. State Ophthalmological Soc’y v. Bowen, 854 F.2d 1379, 1389 (D.C. Cir. 1988) (“We
disagree that the constitutional right to privacy comprehensively protects all choices made
by patients and their physicians or subjects to ‘strict scrutiny’ all government interference
with choice of medical treatment.”).
¶101 The Court reasons that HB 937 “implicates a patient’s fundamental right to privacy
and triggers strict scrutiny” because “qualified professionals are ‘removed from the pool
of health care providers from which women may choose to obtain lawful medical
procedures.’” Opinion, ¶ 41 (quoting Weems II, ¶ 43). To the contrary, under HB 937,
there are no qualified professionals who are removed or prohibited from lawfully providing
medical care, which was the issue with the law addressed in Weems II. The law challenged
in Weems II directly impacted providers by narrowing the pool of qualified health care
providers who were lawfully permitted to provide abortions to only physicians and
physician assistants, whereas providers who were otherwise professionally qualified but
not a physician or physician assistant were excluded. Weems II, ¶ 4. This is a far cry from
the provisions of HB 937 and the Rules, which do not restrict any professional from the
provision of abortion services. HB 937 regulates facilities. Indeed, rather than limiting
58
the pool of providers, the licensure requirements outlined in HB 937 and the Rules may
well have the opposite effect than in Weems II: any health care facility wishing to provide
abortions can take the affirmative step of becoming licensed to do so, and soliciting patients
based upon their licensure. Licensure requirements do not equate to prohibiting certain
professionals from providing a service.
¶102 Rather than prohibiting certain abortion providers from delivering services, HB 937
and the Rules adopt basic health safety regulations for that service. In addition to those
mentioned above, and others, the Rules require that abortion facilities performing more
than five abortions per year have sufficient emergency exits, store garbage safely, and
dispose of medicine appropriately. If such fundamental health and safety rules cannot be
validly enforced upon an abortion clinic, then the Court is apparently holding that it is
likely the Legislature is without police power to regulate abortion service providers. While
the Court offers that providers of abortion are already regulated by the DLI under Title 37,
MCA, this provides no justification beyond policy preferences for its decision. Many
occupations and businesses are regulated by more than one agency, and the Court cites
no authority that necessarily limits regulation of any particular economic activity to a
single agency. See Weems II, ¶ 40 (“The Legislature retains its police power when it
creates agencies and boards and delegates power to them.”). The Court is simply
constitutionalizing the providers’ policy argument that they prefer no further regulation.
¶103 Rational basis review is appropriate when neither strict scrutiny nor middle-tier
scrutiny apply. Mont. Cannabis Indus., ¶ 16. Rational basis review is appropriate for
health and safety regulation. Wiser, ¶¶ 18-20. The rational basis test requires a statute to
59
bear a rational relationship with a legitimate governmental interest. Goble v. Mont. State
Fund, 2014 MT 99, ¶ 36, 374 Mont. 453, 325 P.3d 1211 (citing Satterlee, ¶ 18). Here, the
State has a legitimate government interest in regulating facilities that provide more than
five abortions annually to ensure that basic health and safety measures are taken to protect
its patients, congruent with its compelling interest to ensure that human life is protected.
Facilities that provide more than five abortions annually serve a larger number of patients,
prepare more patient records, undertake more medical risk, and generate more medical
waste than facilities that provide fewer than five abortions, making regulation thereof
rationally related to these government interests. See e.g. Planned Parenthood of
Wisconsin, 738 F.3d at 802 (Manion, J., concurring in part) (explaining the egregious
health practices at the Gosnell clinic). The framework set out by HB 937, and the
accompanying Rules, are legitimately intended to prevent such tragic practices, and would
likely satisfy rational basis review.
Severability
¶104 Consideration of whether portions of a law are severable is applicable when a law
contains both constitutional and unconstitutional provisions. Williams v. Bd. of Cnty.
Comm’rs, 2013 MT 243, ¶ 64, 371 Mont. 356, 308 P.3d 88 (citation omitted). The Court
reasons that no parts of HB 937 and the Rules are severable because “equal protection
concerns are likely ingrained within all parts of HB 937 and the Rules.” Opinion, ¶ 66. As
explained above, the core framework on HB 937 and the Rules should not be held to violate
the equal protection provision, but further, the simple but necessary health and safety
requirements are likely to be clearly permissible. Only absolutism in construing the
60
abortion right would lead to the conclusion that all such basic protections are likely to be
unconstitutional. The District Court’s order was likewise overbroad, concluding that every
regulation implicated the fundamental rights of abortion providers, and failed to consider
whether parts of HB 937 and the Rules could be upheld. To be sure, the State bears the
burden at trial of demonstrating a basis for each regulation, and in that process, it is likely
that many of the regulations will survive review if properly considered under rational basis
review. However, some regulations may not survive. For example, depending on the
State’s proof, it may or may not be rational to require facilities to have patient rooms to be
100 square feet in size or hallways that are six feet wide. See Admin. R. M. 37.106.3103
(2024). Therefore, on remand, I would require consideration of whether individual rules
can likely be upheld under rational basis review, again, with the requisite presumption that
HB 937 is constitutional.
¶105 Therefore, I would conclude the State is likely to prevail on the merits, and likely to
suffer irreparable harm if it is prohibited from adopting basic regulations. See Planned
Parenthood of Wisconsin, 738 F.3d 786 at 802 (Manion, J., concurring in part). The
balance of equities leans in the State’s favor because the enjoinder of democratically
enacted and constitutionally supported laws harms the State and the public interest in
properly regulated abortion services. I would reverse the injunction and remand for
application of the correct injunction standards.
/S/ JIM RICE
Chief Justice Cory J. Swanson joins in the dissenting Opinion of Justice Jim Rice.
/S/ CORY J. SWANSON
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