Jessica Peck 10th Circuit Court of Appeals Opinion

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Appellate Case: 21-1125 Document: 010110722208 Date Filed: 08/09/2022 Page: 1

FILED
United States Court of Appeals
PUBLISH Tenth Circuit

UNITED STATES COURT OF APPEALS August 9, 2022

Christopher M. Wolpert
FOR THE TENTH CIRCUIT Clerk of Court
_________________________________

JESSICA PECK,

Plaintiff - Appellee,

v. No. 21-1125

BETH MCCANN, in her official capacity


as the District Attorney of the Second
Judicial District, State of Colorado,

Defendant - Appellant,

and

MICHELLE BARNES, in her official


capacity as Executive Director of the
Colorado Department of Human Services,

Defendant.

------------------------------

OFFICE OF THE CHILD


REPRESENTATIVE; DENVER HUMAN
SERVICES; LARIMER COUNTY
HUMAN SERVICES,

Amici Curiae.

–––––––––––––––––––––––––––––––––––

JESSICA PECK,

Plaintiff - Appellee,
No. 21-1127
v.
Appellate Case: 21-1125 Document: 010110722208 Date Filed: 08/09/2022 Page: 2

MICHELLE BARNES, in her official


capacity as Executive Director of the
Colorado Department of Human Services,

Defendant - Appellant,

and

BETH MCCANN, in her official capacity


as the District Attorney of the Second
Judicial District, State of Colorado,

Defendant.

------------------------------

OFFICE OF THE CHILD


REPRESENTATIVE; DENVER HUMAN
SERVICES; LARIMER COUNTY
HUMAN SERVICES,

Amici Curiae.
_________________________________

Appeal from the United States District Court


for the District of Colorado
(D.C. No. 1:19-CV-03450-RBJ)
_________________________________

Bianca E. Miyata, Assistant Solicitor General, Denver, Colorado, and Kendra K. Smith,
Hall & Evans LLC, Denver, Colorado (Philip J. Weiser, Attorney General; Anita M.
Schutte, Second Assistant Attorney General; Aaron J. Pratt and Leeah B. Lechuga,
Assistant Attorneys General, State of Colorado, Department of Law, Denver, Colorado;
and Andrew D. Ringel, Hall & Evans LLC, Denver, Colorado, with them on the briefs),
for Defendants-Appellants.

Thomas B. Kelley (David A. Lane, with him on the briefs), Killmer, Lane & Newman,
LLP, Denver, Colorado, for Plaintiff-Appellee.

Anna Ulrich, Crestone, Colorado filed an Amicus Curiae brief for the Office of the Child
Representative, on behalf of Appellants.

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Amy J. Packer and Robert A. Wolf, Assistant City Attorneys, Denver, Colorado, filed an
Amicus Curiae brief for Denver Human Services, in support of Appellants.

David P. Ayraud, Fort Collins, Colorado, filed an Amicus Curiae brief for Larimer
County, on behalf of Appellants.
_________________________________

Before MATHESON, EBEL, and PHILLIPS, Circuit Judges.


_________________________________

EBEL, Circuit Judge.


__________________________________

Plaintiff-Appellee Jessica Peck is an attorney who represents parents and other

family members in child abuse cases in Colorado juvenile courts. She brought this

suit against Defendant-Appellants, Colorado Executive Director of Health Services

Michelle Barnes and Second Judicial District Attorney Beth McCann, to challenge

the constitutionality of § 19-1-307 (“Section 307”) of the Colorado Children’s Code

Records and Information Act (“Children’s Code”). Section 307 requires that child

abuse records and reports be kept confidential, and has two separate subsections—

Section 307(1) and Section 307(4)—that impose penalties upon those who

improperly disclose information from child abuse reports.

Ms. Peck alleges that Section 307 violates her First Amendment rights by

restricting her disclosures and thereby chilling her speech on these matters. The

district court agreed and struck down both of Section 307’s penalty provisions. But

for the reasons explained herein, we think that Section 307(1) and Section 307(4)

have different scopes due to their distinct language and legislative histories. As a

result, we find that Ms. Peck may challenge Section 307(4)’s penalty as

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unconstitutional, but has not properly challenged Section 307(1). We thus

REVERSE the district court’s order insofar as it invalidated Section 307(1).

Proceeding with Ms. Peck’s challenge to Section 307(4), we find that the

Article III requirements for our subject matter jurisdiction are met. Because the

statute undisputedly imposes a burden on speech, we apply strict scrutiny and

conclude that this provision is not narrowly tailored to the state’s compelling interest.

Accordingly, we hold that Section 307(4) is unconstitutional and AFFIRM the

district court’s order to the extent that it struck down that provision. In light of these

dual conclusions, we also REMAND on the sole question of whether Section 307(4)

is severable from the rest of the statute.

BACKGROUND

Colorado’s child protection system is governed by the Children’s Code, which

was passed in 1975 to “balance the best interests of children and the privacy interests

of children and their families with the need to share information among service

agencies and schools and the need to protect the safety of schools and the public at

large.” Colo. Rev. Stat. § 19-1-302. At issue in this case is Section 307 of the

Children’s Code, which generally requires that “reports of child abuse or neglect and

the name and address of any child, family, or informant or any other identifying

information contained in such reports . . . be confidential.” Colo. Rev. Stat. § 19-1-

307(1)(a). This confidentiality requirement is enforced by two distinct penalties.

First is Section 307(1)(c), which states:

(c) Any person who violates any provision of this subsection (1)

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is guilty of a class 2 petty offense and, upon conviction


thereof, shall be punished by a fine of not more than three
hundred dollars.

Colo. Rev. Stat. § 19-1-307(1) (2021). The second penalty is codified at Section 307(4),

and reads:

(4) Any person who improperly releases or who willfully


permits or encourages the release of data or information
contained in the records and reports of child abuse or
neglect to persons not entitled to access such information
by this section or by section 19-1-303 commits a class 1
misdemeanor and shall be punished as provided in section
18-1.3-501, C.R.S.

Colo. Rev. Stat. § 19-1-307(4) (2021) (emphasis added).1 The statute also lists a

number of individuals and entities that may lawfully access the otherwise-

confidential reports. Colo. Rev. Stat. § 19-1-307(b).

1
A minor amendment to both Section 307(1) and Section 307(4) took effect on
March 1, 2022, after this case was argued. The Colorado legislature changed the
phrase “is guilty of a class 2 petty offense” in Section 307(1)(c) to read “commits a
civil infraction,” and changed the phrase “class 1 misdemeanor” in Section 307(4) to
read “class 2 misdemeanor.” S.B. 21-271, 73d Gen. Assembly, 1st Reg. Sess. (Colo.
2021). The parties did not address the effect of this amendment on Ms. Peck’s
claims, but we clarify that the changes do not impact the constitutional implications
of the statute and do not moot the case. These changes were made as part of a
broader reform reclassifying various criminal offenses in Colorado and adding civil
infractions as a new category in accordance with the recommendations of a state
sentencing commission. Id. Because the current provisions continue to impose some
penalty on disclosures, with fairly nominal differences in how the penalties are
classified, the amendment does not alter the central fact of Ms. Peck’s claim that the
penalties in Section 307(1) and Section 307(4) prevent her from speaking as she
wishes and thus violate her First Amendment rights. Her claim is not contingent on
the severity of either penalty. Consequently, our ensuing analysis applies the same to
the 2021 iteration of the statute as it does to the current iteration.
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One function of Section 307 is to fulfill Colorado’s obligations under the Child

Abuse Prevention and Treatment Act (“CAPTA”), which conditions federal funding

for state child protection systems on the state’s use of “methods to preserve the

confidentiality of all records in order to protect the rights of the child and the child’s

parents or guardians, including requirements ensuring that reports and records . . .

shall only be made available to [specified persons, entities, and agencies].” 42

U.S.C. § 5106a(b)(2)(B)(viii). Each year, the Colorado Department of Human

Services certifies that Section 307’s confidentiality requirement is being enforced in

order to ensure that the state receives CAPTA funding from the federal government.

Turning from the statutory background to the facts of this case,2 Ms. Peck is a

private attorney who represents family members in investigations of suspected child

abuse or neglect in Colorado. In January 2019, Ms. Peck represented the mother of a

three-year-old girl in a dependency and neglect case in Denver Juvenile Court.

While the case was ongoing, Ms. Peck made statements to the Denver weekly

newspaper Westword suggesting that Denver Human Services (“DHS”) filed the case

against her client “without a single shred of evidence, based on one family member

standing up for another family member in advance of trial when the accused is still in

jail.” App’x Vol. I at 55. Ms. Peck also provided Westword with an excerpt of a

caseworker supervisor’s email detailing the concerns DHS had about her client.

2
We rely on the parties’ joint statement of stipulated facts, as well as their attached
exhibits and declarations.
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Ms. Peck further told Westword the date, time, and location of an upcoming hearing

in the case.

After the Westword article was published, the Juvenile Court Magistrate

presiding over Ms. Peck’s case issued an order stating “that Counsel for Respondent

Mother . . . may have disclosed information to a non-party in violation of § 19-1-

307(1)(a),” and emphasizing that “any identifying information pertaining to this

dependency and neglect proceeding shall be kept confidential in accordance with

§ 19-1-307(1)(a) and § 19-1-303.” Id. at 231. The court took no further action

against Ms. Peck, nor was she contacted by any law enforcement authority. In fact,

records dating back to 1966 indicate that Denver’s District Attorney has never

prosecuted anyone under Section 307, and records dating back to 2010 similarly

show zero Section 307 prosecutions by the Denver City Attorney. Defendant

McCann disclaims any policy, custom, or practices of prosecuting violations of

Section 307, but Defendants have expressly chosen not to disavow an intent to

prosecute Ms. Peck or anyone else under Section 307.

Ms. Peck filed this action in the United States District Court for the District of

Colorado on December 9, 2019, and an amended complaint on January 29, 2020,

seeking a court order declaring that Section 307 is unconstitutional and enjoining its

enforcement. She initially named several state government defendants, but the

district court dismissed all except Ms. Barnes and Ms. McCann in their official

capacities. As Executive Director of the Colorado Department of Human Service,

Ms. Barnes “supervises and provides policy direction for Colorado’s child welfare

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system,” which provides services such as child protection, risk assessment, and case

management. App’x Vol. I at 222. As District Attorney for Colorado’s Second

Judicial District, Ms. McCann is in charge of enforcing Colorado criminal laws—

including the offenses under Section 307(1) and Section 307(4)—within the City and

County of Denver.

In July 2020, the parties filed a joint stipulation of facts for the district court to

rely on for the purposes of summary judgment in July 2020. Ms. Peck also filed a

sworn declaration stating that she desires in the future to rely on the child abuse

reports she comes across during her work to call out misconduct by government

officials and government employees to the public. She stated her belief that Section

307 unconstitutionally prohibits such speech, and that she would risk prosecution

under the statute by engaging in her desired speech.

Shortly thereafter, Ms. Peck and each Defendant filed cross-motions for

summary judgment. The district court granted Ms. Peck’s motion for summary

judgment, enjoining enforcement of both Section 307(1)(c) and Section 307(4) and

granting reasonable costs to Ms. Peck. Defendants now appeal that ruling.

DISCUSSION

The crux of Ms. Peck’s claim is a First Amendment challenge. But before we

can reach its merits, we address threshold legal questions of standing and ripeness,

which involve a predicate question of statutory interpretation. All of these issues,

including findings of constitutional fact and conclusions of law, are reviewed de

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novo. See Coalition for Secular Gov’t v. Williams, 815 F.3d 1267, 1275 (10th Cir.

2016); Sinclair Wyoming Ref. Co. v. United States Env’t Prot. Agency, 887 F.3d

986, 990 (10th Cir. 2017); United States v. Supreme Court of N.M., 839 F.3d 888,

898 (10th Cir. 2016); New Mexicans for Bill Richardson v. Gonzales, 64 F.3d 1495,

1498-99 (10th Cir. 1995). Additionally, when addressing Ms. Peck’s First

Amendment claim, we “perform an independent examination of the whole record in

order to ensure that the judgment protects the rights of free expression.” Williams,

815 F.3d at 1275 (quotation omitted).

I. Article III Jurisdiction

Though we have appellate jurisdiction to review the district court’s final order

under 28 U.S.C. § 1291, we must assess whether this court or any federal court has

subject matter jurisdiction to review Ms. Peck’s constitutional challenge to Section

307(4) under Article III of the Constitution. We turn first to standing, then ripeness,

both of which are necessary components of Article III jurisdiction. See Initiative and

Referendum Inst. v. Walker, 450 F.3d 1082, 1087 (10th Cir. 2006).

A. Statutory Interpretation & Standing

We begin by interpreting Section 307’s language and scope in order to

determine whether Ms. Peck has alleged any injury that would potentially give her

standing to challenge the statute.3 The only interpretive dispute in this case is

3
In the next subsection of this opinion, we address the separate question of whether
Ms. Peck’s alleged injury suffices as an “injury-in-fact” under our standing
precedent, see infra Section I.B. Here, we first address whether Ms. Peck has alleged
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whether the statute restricts the disclosure of non-identifying information contained

in child abuse reports, as well as the disclosure of identifying information.4 Ms. Peck

has disclaimed any desire to disclose identifying information, meaning that if the

statute reaches only those individuals who disclose identifying information, Ms. Peck

has not alleged a valid injury and would lack standing to sue because she would be

free to disclose non-identifying information, which is her sole stated intent, and the

case would end.5

The district court concluded that Section 307 generally reached non-

identifying and identifying information, thereby allowing Ms. Peck’s claim to

proceed against both Section 307(1) and Section 307(4). But the district court—and

the parties—read Section 307 as a whole, failing to explain and interpret key

differences between the separate penalties in Section 307(1) and Section 307(4). We

analyze each provision individually and find that although Section 307(1) reaches

only identifying information, Section 307(4) is broader, punishing the disclosure of

both identifying and non-identifying information. As a result, Ms. Peck lacks

any sort of injury under the statute, i.e., whether the statute reaches her desired
speech at all.
4
No party denies that the statute restricts the disclosure of identifying information.
Defendants provide only minimal argument to suggest that Section 307 does not
reach non-identifying speech. Nevertheless, resolving this question is a necessary
first step of the case and we analyze it initially.
5
Ms. Peck has not asserted on appeal that Section 307 is unconstitutionally vague or
overbroad, so we confine our analysis to ascertaining what the statute actually
prohibits and whether those prohibitions burden Ms. Peck’s desired speech.
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standing to challenge Section 307(1) because she is not injured by it. She can,

however, proceed with her claim challenging Section 307(4).

i. Section 307(1)

The first restriction on disclosures of child abuse information is contained in

Section 307(1), which we recite in full for clarity:

(1)(a) Identifying information—confidential. Except as


otherwise provided in this section and section 19-1-303,
reports of child abuse or neglect and the name and address
of any child, family, or informant or any other identifying
information contained in such reports shall be confidential
and shall not be public information.
(b) Good cause exception. Disclosure of the name and address
of the child and family and other identifying information
involved in such reports shall be permitted only when
authorized by a court for good cause. . . .
(c) Any person who violates any provision of this subsection (1)
is guilty of a class 2 petty offense and, upon conviction
thereof, shall be punished by a fine of not more than three
hundred dollars.

Colo. Rev. Stat. § 19-1-307(1) (2021) (emphasis added). The plain text of

Section 307(1)(a) limits its scope to identifying information only, as indicated by the

subheading “[i]dentifying information.” Id. Its construction suggests that two types of

disclosures are prohibited: first, disclosures of the “reports of child abuse or neglect”

themselves—that is, the literal documents that comprise a child abuse report—and

second, “the name and address of any child, family, or informant or any other

identifying information contained in such reports.” Id. Neither of these categories

address disclosures of exclusively non-identifying information that may be included

in child abuse records. Disclosures in the first category (the documents themselves)

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will necessarily reveal identifying information, given that the reports contain all

recorded information about the case, while the second category is limited by its own

terms to the identifying information contained in a report.

Legislative history and state-court case law support this narrow reading of

Section 307(1). Section 307(1) was amended to reflect approximately its current

wording in 1977, shortly after Gillies v. Schmidt, 556 P.2d 85 (Colo. App. 1976),

was decided. In Gillies, the state appellate court interpreted a 1975 version of

Section 307 (“the 1975 Act”) to determine whether it violated Colorado’s Public

Meetings Law. The court held that the 1975 Act covered “the Entire contents” of a

child abuse report, so prohibited the disclosure of non-identifying information. Id. at

86. But this reading was based on the 1975 Act’s text, which stated in relevant part:

“It is unlawful for any person or agency to solicit, encourage disclosure of, or

disclose the contents of any record or report made under this article.” Colo. Rev.

Stat. § 19-10-115 (1975) (emphasis added). The Colorado legislature amended the

statute in 1977 and deleted the phrase “the contents of any record or report,” so that

the statute effectively stated the same rule as Section 307(1) does today. H.B. 1266,

51st Gen. Assemb., 1st Reg. Sess. (Colo. 1977). This amendment thus suggests the

legislature’s desire to narrow the statute to cover only the reports themselves and

identifying information therein, not the “entire contents” of the reports. See City of

Colorado Springs v. Powell, 156 P.3d 461, 465 (Colo. 2007) (“[W]e presume that by

amending the law the legislature has intended to change it.”).

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Additionally, principles of statutory interpretation favor reading Section

307(1) to reach only identifying disclosures. If a statute being challenged on its face

“is readily susceptible to a narrowing construction that would make it constitutional,

it will be upheld.” Virginia v. Am. Booksellers Ass’n, Inc., 484 U.S. 383, 397 (1988)

(internal quotations omitted). See also Jennings v. Rodriguez, 138 S. Ct. 830 (2018)

(discussing the doctrine of constitutional avoidance). Ms. Peck does not contend that

a statute barring disclosure only of identifying information would be

unconstitutional, so we read ambiguities in favor of a narrower Section 307(1) in

order to preserve the law. Also, we seek to “avoid constructions that would render

any words or phrases superfluous.” McCoy v. People, 442 P.3d 379, 389 (Colo.

2019). A broader reading of Section 307(1) would render superfluous the phrase

“any other identifying information” in Section 307(1)(a), because such information

would already be covered by a reading of the word “reports” if that includes the

reports’ entire contents, as opposed to just the report document itself. Thus, we think

Section 307(1), on its own, prohibits and penalizes only the disclosure of identifying

information from child abuse reports—meaning it does not inhibit Ms. Peck’s stated

desire to disclose non-identifying information. Additional inquiry into the “injury-in-

fact” standing requirement as to Section 307(1) is therefore unnecessary, as she has

pleaded no injury under this provision at all.

ii. Section 307(4)

But of course, Section 307(1) is not the only relevant provision here. We also

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examine Section 307(4)’s separate ban and criminal penalty on disclosures:

(4) Any person who improperly releases or who willfully


permits or encourages the release of data or information
contained in the records and reports of child abuse or neglect
to persons not entitled to access such information by this
section or by section 19-1-303 commits a class 1 misdemeanor
and shall be punished as provided in section 18-1.3-501, C.R.S.

Colo. Rev. Stat. § 19-1-307(4) (2021) (emphasis added). The plain text of this provision

goes further than Section 307(1): it prohibits the disclosure not only of “reports” and

“identifying information,” as specified in Section 307(1), but also any “data or

information contained in the records and reports of child abuse or neglect.” Id. This

latter category is unambiguously broad, such that it would include non-identifying

information contained in those reports.

Ms. Barnes posits that the only reason for the different language in Section 307(4),

as compared to Section 307(1), is not a broader scope but a different intent requirement—

she argues that Section 307(1)(c)’s penalty applies when someone “inadvertently, or

without knowing, discloses information,” while Section 307(4)’s harsher penalty applies

only when “a person who intentionally, or willfully releases information.” Barnes

Opening Br. at 12.6 This is not the only salient distinction between the two provisions,

6
It is not clear to us that “improperly releases” requires a mental state of
intentionality, as Ms. Barnes suggests. But we need not decide that issue, because no
party has contended that the mental state requirement is itself significant to the
statute’s constitutionality. Indeed, given that the First Amendment is intended to
facilitate the free expression of ideas, its protections generally extend to willful
speech as well as accidental speech. See generally Virginia v. Black, 538 U.S. 343,
358, 123 S. Ct. 1536, 1547, 155 L. Ed. 2d 535 (2003) (“The hallmark of the
protection of free speech is to allow free trade in ideas—even ideas that the
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though; the “willfully permits” language is separate from the “data or information”

language, which has nothing to do with the discloser’s intent but rather the content of the

disclosure itself. We think Section 307(4) is not only harsher (by making the act a

misdemeanor, not just a petty offense or civil infraction) on people who intentionally

disclose information; it is also broader, by punishing non-identifying disclosures as well

as identifying disclosures, thereby enabling Ms. Peck’s First Amendment challenge to it.

The key distinction between Section 307(1) and Section 307(4) is not in the penalties

imposed but in their substantive terms dictating what conduct is being penalized.7

The legislative history reinforces our view. Section 307(1), in its current form,

was enacted in 1977. Section 307(4), on the other hand, was not added until 2003 as part

of Colorado House Bill 03-1211, which overhauled the Children’s Code. H.B. 03-1211,

64th Gen. Assembly, Reg. Sess. (Colo. 2003). The 2003 changes were made in

connection with the legislature’s decision to repeal the state’s central registry, a system

for “record[ing] perpetrators and victims of child abuse or neglect in order to aid in

investigations and to screen potential employees in child care-related positions.” Id.

The repeal followed reports showing that the registry’s data was both incomplete and

inaccurate. For example, at least 191 people who had been acquitted of child abuse were

still listed on the registry in 2001, and up to forty percent of registered sex offenders who

overwhelming majority of people might find distasteful or discomforting.” (quotation


marks omitted)).
7
In any event, Ms. Peck does not base her complaint on the harshness of the respective
penalties; she claims that any government penalty for non-identifying disclosures of
information from child abuse records imposes a burden on her free speech rights that
does not pass constitutional muster.
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had committed sex crimes against children had been omitted from the registry. Id. And

frequent errors in how individuals were added to the registry made it impossible to match

a person to a registrant conclusively by a simple search. Id. In House Bill 03-1211, the

legislature expressed concerns that the registry was failing both to protect children and to

protect registrants’ due process rights, and so it expunged the list of names that were on

the registry and repealed all provisions concerning the registry, which were primarily

codified at Colo. Rev. Stat. § 19-3-313. Id.

Simultaneous to the repeal, the legislature amended other parts of the Children’s

Code to create alternative processes for processing and maintaining child abuse records.

See, e.g., Colo. Rev. Stat. § 19-3-313.5. This is the context of the 2003 amendments to

Section 307. First, all references to the registry were removed from Section 307, as from

all other parts of the Code. For instance, Section 307(2)(j) was altered. Before, it had

said the state department of human services could access child abuse records to

investigate a licensing applicant when the applicant gave “written authorization to the

licensing authority to obtain information contained in reports of child abuse or neglect or

to review the state central registry of child protection.” Colo. Rev. Stat. § 19-1-307(2)(j)

(2002) (emphasis added). The 2003 House Bill changed it to require the applicant’s

“written authorization to the licensing authority to obtain information contained in

records or reports of child abuse or neglect.” Colo. Rev. Stat. § 19-1-307(2)(j) (emphasis

added).

But Section 307(4) is the only subpart that was added wholesale to Section 307—

it simply did not exist prior to the 2003 amendments. The legislature provided no

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specific explanation for why it was added. We note, however, that the provision is nearly

identical to Colo. Rev. Stat. § 19-3-313(10) (2002), which was deleted as part of the

repeal and had stated that

Any person who willfully permits or who encourages the


release of data or information contained in the central registry
to persons not permitted access to such information by this part
3 commits a class 1 misdemeanor and shall be punished as
provided in section 18-1.3-501, C.R.S.

The only difference in Section 307(4) is that “central registry” was replaced with

“records and reports of child abuse or neglect,” and “this part 3” was changed to “this

section.”

From this background, we can infer that Section 307(4)’s purpose was to maintain

the confidentiality requirements that § 19-3-313(10) had previously imposed on the

registry—covering all “data or information” contained therein—as to all child abuse

records, especially in light of legislators’ concerns that the registry was not protecting the

due process rights of the accused in child abuse cases. It therefore makes sense that

Section 307(4) would reach disclosures of any information, not merely identifying

information, unlike the existing Section 307(1). See also Russello v. United States, 464

U.S. 16, 23 (1983) (“[W]here Congress includes particular language in one section of

a statute but omits it in another . . . it is generally presumed that Congress acts

intentionally and purposely in the disparate inclusion or exclusion.”).

Thus, we hold that Section 307(4) means what it says: disclosure of “data or

information in the records and reports of child abuse or neglect” to anyone not listed as

exempt in Section 307(2) is a crime, regardless of whether the information is identifying

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or non-identifying. As a result, Ms. Peck can challenge Section 307(4)’s prohibition on

disclosing non-identifying information as an unconstitutional restriction on her desired

speech. But Section 307(1) is still best interpreted to reach only disclosures of

identifying information. Thus, Ms. Peck has alleged an injury under only Section 307(4),

and we proceed by analyzing her challenge to that sole provision.

B. Injury-in-Fact

Standing is a prerequisite to a federal court’s exercise of Article III

jurisdiction, “serv[ing] to identify those disputes which are appropriately resolved

through the judicial process.” Lujan v. Defenders of Wildlife, 504 U.S. 555, 560

(1992) (quoting Whitmore v. Arkansas, 495 U.S. 149, 155 (1990)). The burden is on

the plaintiff to establish Article III standing by showing (1) an “injury in fact” that is

“concrete and particularized” and “actual or imminent,” (2) that the injury is

“fairly . . .trace[able] to the challenged action of the defendant,” and (3) that the

injury is likely to be “redressed by a favorable decision” of the court. Id. at 560–61.

Here, only the injury-in-fact requirement is at issue, as the statute’s alleged violation

of Ms. Peck’s First Amendment rights is undisputedly traceable to the statute itself

and could be redressed by this Court’s invalidation of the law.

The central problem for Ms. Peck is that she has not yet been subject to

Section 307(4)’s penalty, nor has any enforcement authority explicitly threatened to

charge her under the statute.8 But the First Amendment context creates unique

8
At the same time, neither Ms. Barnes, Ms. McCann, nor any other authority has
promised not to enforce the law against Ms. Peck should she violate its terms.
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interests that lead us to apply the standing requirements somewhat more leniently,

facilitating pre-enforcement suits. See Ward v. Utah, 321 F.3d 1263, 1267 (10th Cir.

2003). Specifically, a plaintiff bringing a First Amendment claim can show standing

by alleging “an intention to engage in a course of conduct arguably affected with a

constitutional interest, but proscribed by statute, and there exists a credible threat of

prosecution thereunder,” or by alleging “a credible threat of future prosecution” plus

an “ongoing injury resulting from the statute’s chilling effect on his desire to exercise

his First Amendment rights.” Id. (quoting Phelps v. Hamilton, 122 F.3d 1309, 1326

(10th Cir.1997), and Wilson v. Stocker, 819 F.2d 943, 946 (10th Cir. 1987)).9

Here, Ms. Peck’s claimed injury is that she is “chilled from criticizing official

conduct based on information contained in child abuse records and reports as a result

of the criminal prohibitions of § 307 and the State’s commitment to enforcing them.”

Aple. Br. at 22. To determine whether Ms. Peck has adequately alleged a “chilling

effect” that establishes an injury in fact, we apply the test pronounced by this Court

in Initiative & Referendum Institute v. Walker:

[P]laintiffs in a suit for prospective relief based on a


“chilling effect” on speech can satisfy the requirement that
their claim of injury be “concrete and particularized” by
(1) evidence that in the past they have engaged in the type
of speech affected by the challenged government action;
(2) affidavits or testimony stating a present desire, though
no specific plans, to engage in such speech; and
(3) a plausible claim that they presently have no intention to

9
Though these are listed as two distinct tests in Ward, they overlap and the analysis
will be similar under either. See, e.g., D.L.S. v. Utah, 374 F.3d 971, 975 (10th Cir.
2004).
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do so because of a credible threat that the statute will be


enforced.

450 F.3d 1082, 1088–89 (10th Cir. 2006) (en banc).

i. Whether Ms. Peck has previously “engaged in the type of


speech affected by the challenged government action”

Defendants do not contest that Ms. Peck meets this first requirement of the

Walker test due to her previous disclosure of information in a child abuse report to

the newspaper Westword, in apparent violation of Section 307(4)’s broad ban. This

prong is therefore satisfied.

ii. Whether Ms. Peck has adequately stated “a present desire,


though no specific plans, to engage in” the restricted
speech

Ms. Peck has submitted a sworn declaration stating that in her work as an

attorney, she frequently encounters child abuse “records and reports showing lapses,

neglect, or misconduct on the part of Social Workers, including, false and at times,

even fabricated information detrimental to my clients or challenging their parenting

skills on improper grounds.” App’x Vol. I at 176. She also declared that she has in

the past “and desire[s] in the future to make public statements, including through the

press, calling out public officials and public employees when they have issued

materially false or improper reports concerning my clients,” but she believes Section

307 prohibits her from doing so. Id. at 176–177. Neither Ms. Barnes nor Ms.

McCann have offered factual rebuttals to these claims. Facially, then, Ms. Peck’s

declaration suffices to state a present desire to engage in the speech prohibited by

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Section 307(4)—that is, a present desire to publicly disclose information from child

abuse reports that must be kept confidential under Section 307(4), as we have read it.

Ms. Barnes argues that Ms. Peck cannot meet this element because Ms. Peck’s

stated desire to engage in such speech is not “immediate and unconditional.” Barnes

Opening Br. at 25. She emphasizes that Ms. Peck has not “file[d] suit with a specific

employee, official, action, or statement in mind,” has not shown “that she is in

possession of information showing misconduct of a public official or employee on

which she presently desires to speak,” has not “explained how the statutory

exceptions for addressing any such misconduct are inadequate,” and has not

guaranteed that her clients will consent to the disclosure of the information. Id. at 27.

But Ms. Barnes’ vision of the “present desire” test is too strict, in light of our

precedent and the rationale behind a relaxed standing test for chilled speech in the

First Amendment context. Ms. Barnes extrapolates her stringent “immediate and

unconditional” standard from Susan B. Anthony List v. Driehaus, 573 U.S. 149

(2014); Holder v. Humanitarian Law Project, 561 U.S. 1 (2010); and Aptive

Environmental, LLC v. Town of Castle Rock, 959 F.3d 961 (10th Cir. 2020). In each

case, the court found the injury-in-fact requirement of standing met because the

plaintiffs had stated with certainty that they wished to engage in the proscribed

speech and definitively planned do so upon lifting of the government restriction. See

Driehaus, 573 U.S. at 161 (finding that plaintiffs had adequately “alleged an intention

to engage in a course of conduct arguably affected with a constitutional interest”

simply by “plead[ing] specific statements they intend to make in future election

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cycles”); Humanitarian Law Project, 561 U.S. at 15–16 (finding standing where

plaintiffs showed that they had engaged in the proscribed charitable support before

and stated “that they would provide similar support again if the statute's allegedly

unconstitutional bar were lifted”); Aptive, 959 F.3d at 975 (finding present desire

prong met where plaintiff showed its desire to solicit during the proscribed hours

because their salespeople were more profitable during those hours). But those cases

did not hold that immediacy and unconditionality were necessary to demonstrate an

intention to engage in the speech at issue; the plaintiffs’ plans were merely sufficient

in light of the particular facts of each case. Furthermore, neither Driehaus nor

Humanitarian Law Project were using the “present desire” test we apply in this

circuit, and the Supreme Court’s analysis of the issue in each case was brief.

Only Aptive was applying Walker’s language at issue here, and the facts were

quite different from Ms. Peck’s situation. The restricted speech in Aptive was in the

form of commercial door-to-door solicitation—something much more easily planned

in advance than speech about a caseworker’s conduct in a child abuse case. 959 F.3d

at 966. Cf. Rio Grande Found. v. City of Santa Fe, 7 F.4th 956, 959 (10th Cir.

2021), cert. denied sub nom., 142 S. Ct. 1670 (2022) (“All three prongs of the Walker

test center on the circumstances of the particular plaintiff before the court.”). Plus,

we do not think Aptive’s fact-specific discussion of the “present desire” prong

translates to a broad rule requiring the plaintiff to state an “immediate and

unconditional” desire to speak in the restricted manner.

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To the contrary, we have previously found the “present desire” prong met

where the plaintiff had not established the specific content and likely timing of their

desired speech. In Walker itself, we found the requirement satisfied even though the

plaintiffs had not pleaded “any certainty about their intentions” to bring a ballot

initiative in Utah that was affected by the challenged statute; it was enough that the

Court could “reasonably infer, based on [plaintiff’s prior] pattern of bringing wildlife

initiatives in Western states including three of Utah's neighbors, a present desire to

bring similar initiatives in Utah.” 450 F.3d 1082, 1091. Indeed, we explicitly held

that First Amendment plaintiffs generally need not state that they “have specific

plans to engage in XYZ speech next Tuesday” in order to show standing. Id. at 1089.

Similarly, in Rio Grande Foundation, the plaintiff advocacy group merely

presented an affidavit from its president stating a general “desire to continue

speaking about municipal ballot measures in the future” as support for its challenge

to a law requiring disclosures about campaign expenditures. 7 F.4th at 960. We held

that this affidavit was sufficient, even though it did not specify a particular upcoming

ballot measure that it would speak about or what it wished to say about such a

measure. Id. (“Nothing more concrete than this general aspiration is needed to meet

[Walker’s] second prong.”). Ms. Peck’s declaration here is not meaningfully

different from the plaintiffs’ showings in Walker or in Rio Grande Foundation.

We thus decline to require categorically that Ms. Peck and other First

Amendment plaintiffs know exactly what they would say and when they want to say

it in order to challenge a speech-restrictive law. Such a barrier would be so daunting

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as to obviate the leniency we generally apply to First Amendment standing inquiries.

Ms. Peck’s sworn declaration clarified the type of speech she wishes to engage in:

non-identifying statements “calling out public officials and public employees when

they have issued materially false or improper reports concerning her clients.” App’x

Vol. I at 176–177. Ms. Peck also indicated that she would likely be in a position to

make such statements in the future. Id. at 180. Viewed in tandem with her apparent

prior violation of the statute, this declaration suffices to state a “present desire,

though no specific plans” to engage in speech that is restricted by Section 307(4).

iii. Whether there is “a credible threat that the statute will be


enforced”

To meet the requirement of showing a “credible threat” of Section 307(4)

being enforced against her, Ms. Peck must demonstrate “an objectively justified fear

of real consequences.” Winsness v. Yocom, 433 F.3d 727, 732 (10th Cir. 2006).

This Court has identified

at least three factors to be used in determining a credible


fear of prosecution: (1) whether the plaintiff showed ‘past
enforcement against the same conduct’; (2) whether
authority to initiate charges was ‘not limited to a prosecutor
or an agency’ and, instead, ‘any person’ could file a
complaint against the plaintiffs; and (3) whether the state
disavowed future enforcement.

303 Creative LLC v. Elenis, 6 F.4th 1160, 1174 (10th Cir. 2021) (quoting Driehaus,

573 U.S. at 164–65), cert. granted on other grounds, 142 S. Ct. 1106 (2022). Here,

the second factor weighs against Ms. Peck—only prosecutors can bring charges

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under Section 307.10 But our analysis of the other two factors show that they favor

Ms. Peck, and so we find that she has satisfied this prong of the Walker test as well.

The first factor’s application depends on whether the magistrate judge’s order

warning Ms. Peck against violating Section 307 following her disclosures to

Westword can be considered an “enforcement” of Section 307. Ms. Barnes argues

that this order was not “enforcement,” given that it stated only that Ms. Peck “may

have” violated Section 307 by speaking to Westword and did not hold any hearing or

impose any sanctions related to the disclosures. Barnes Opening Br. at 31. We

disagree. The order was intended to put Ms. Peck on notice that she would be

violating Section 307 if she spoke in this manner again. Being scolded by the judge

presiding over a client’s case is no small consequence, and we think it qualifies as

“enforcement” in the practical sense of the word.

We do acknowledge the lack of any recorded instances of past prosecutions

under Section 307, which weighs against Ms. Peck. But this dearth of prosecutions is

counterbalanced by the fact that each year, the Colorado Department of Human

Services certifies to the federal government that it is enforcing Section 307 in order

to obtain CAPTA funding. The state cannot have it both ways, and so we find the

“past enforcement” factor slightly favors Ms. Peck.

10
We note, however, that any prosecutor in the state of Colorado is empowered to
bring charges for a violation of Section 307(4), and Ms. Peck practices in several
different Colorado counties. Even if Ms. McCann and her successors never prosecute
Ms. Peck, someone in Jefferson County or Larimer County or other Colorado
counties might.
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Ms. Peck more clearly prevails on the third factor. Defendants do not disavow

an intent to prosecute Ms. Peck. Indeed, they could not do so, because they assert

that certifying enforcement of Section 307 is essential to their access to federal

funding under CAPTA. While an assurance of non-enforcement “is not necessary to

defeat standing,” Ward, 321 F.3d at 1268, a refusal to provide such an assurance

undercuts Defendants’ argument that Ms. Peck’s perception of a threat of prosecution

is not objectively justifiable.

Weighing these factors, we find that Ms. Peck has satisfied the “credible

threat” prong. Circuit and Supreme Court precedent tells us that this is not supposed

to be a difficult bar for plaintiffs to clear in the First Amendment pre-enforcement

context. See Wilson, 819 F.2d at 946–47 (“[T]he Supreme Court has often found a

case or controversy between a plaintiff challenging the constitutionality of a statute

and an enforcement official who has made no attempt to prosecute the plaintiff under

the law at issue.”); Virginia v. Am. Booksellers Ass’n, Inc., 484 U.S. 383, 393 (1988)

(“We are not troubled by the pre-enforcement nature of this suit. The State has not

suggested that the newly enacted law will not be enforced, and we see no reason to

assume otherwise.”); Mangual v. Rotger-Sabat, 317 F.3d 45, 57 (1st Cir. 2003) (“As

to whether a First Amendment plaintiff faces a credible threat of prosecution, the

evidentiary bar that must be met is extremely low. . . . The Supreme Court has often

found standing to challenge criminal statutes on First Amendment grounds even

when those statutes have never been enforced.”).

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Furthermore, we think the state’s staunch refusal to disavow prosecution has

heavy weight in this particular case. Section 307(4) enables Colorado prosecutors to

bring criminal charges against those who disclose even non-identifying information

from child abuse reports, and Ms. Peck’s prior disclosure to Westword falls in such a

category. There is nothing, not even their word, to prevent Ms. McCann or another

prosecutor from bringing charges against Ms. Peck for similar statements in the

future. This possibility makes Ms. Peck’s fear of consequences for disclosures of

information in violation of Section 307(4) objectively justifiable.

Accordingly, we conclude that Ms. Peck has met the Walker test, establishing

the injury-in-fact necessary for her to have Article III standing to challenge Section

307(4)’s constitutionality.

C. Ripeness

A case must also be ripe for this Court to exercise Article III jurisdiction over

it. Walker, 450 F.3d at 1097. “Standing and ripeness are closely related in that each

focuses on whether the harm asserted has matured sufficiently to warrant judicial

intervention.” Id. (internal quotations omitted). But unlike standing, ripeness issues

focus “not on whether the plaintiff was in fact harmed, but rather whether the harm

asserted has matured sufficiently to warrant judicial intervention.” Morgan v.

McCotter, 365 F.3d 882, 890 (10th Cir. 2004) (quotation omitted). Ms. Barnes

would apply that principle here to require Ms. Peck to have the information she

wishes to disclose in hand before she is able to file a ripe lawsuit. We do not agree

with Ms. Barnes.

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The two central factors in ripeness inquiries are “the fitness of the issue for

judicial resolution” and “the hardship to the parties of withholding judicial

consideration.” Sierra Club v. Yeutter, 911 F.2d 1405, 1415 (10th Cir. 1990)

(quoting Abbott Labs v. Gardner, 387 U.S. 136, 149 (1967)). The test is not “rigid or

mechanical,” but instead “flexible and often context-specific.” Id. at 1417. And as

with standing inquiries, ripeness inquiries are “relax[ed]” in the context of facial

challenges on First Amendment grounds due to “the chilling effect that potentially

unconstitutional burdens on free speech may occasion.” New Mexicans for Bill

Richardson v. Gonzales, 64 F.3d 1495, 1500 (10th Cir. 1995).

In assessing hardship, we typically “focus on whether the challenged action

creates a direct and immediate dilemma for the parties.” Id. at 1499 (quotations and

alterations omitted). Ms. Peck has not identified specific, current confidential

information that she would like to disclose right this moment, so in the most literal

sense, she does not face a direct and immediate dilemma. But the speech context

again complicates our analysis of this factor. Our ripeness inquiries in First

Amendment cases often focus on the credibility of the threat of prosecution as an

indicator of hardship, as the specter of prosecution can be a hardship in itself because

it can chill future speech. See, e.g., id. at 1501. For the reasons described in our

standing analysis, we find a credible threat of prosecution here, which imposes a

hardship on Ms. Peck in the form of anxiety over and avoidance of her desired

speech. See App’x Vol. I at 181 (declaring that Ms. Peck is “not willing to disrespect

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the rule of law nor to risk” prosecution, so she will not make such restricted

statements in the future).

Additionally, the next time Ms. Peck wants to speak on these subjects, she

would likely not have time to bring an analogous suit asserting her First Amendment

rights because child protection proceedings move quickly. She has shown facts

demonstrating a likelihood that her desire to speak in this manner will arise in the

near future. Thus, Ms. Peck is likely to confront a scenario where she has to choose

between either following the law under Section 307 and forgoing prohibited speech,

or representing her clients and holding public officials accountable to the best of her

abilities moving forward by making her desired disclosures. This is a dilemma

directly caused by Section 307(4) and has the potential to occur imminently, at a

speed preventing her from seeking relief in a later suit. Ms. Peck’s free speech is

indisputably chilled by Section 307(4), as we discussed at length within our standing

inquiry. These facts indicate ripeness. See New Mexicans for Bill Richardson v.

Gonzales, 64 F.3d at 1500 (treating “chilling effect” as a separate ripeness factor for

First Amendment plaintiffs).

As for the second factor, this facial constitutional challenge is a purely legal

question, accompanied by a joint statement of stipulated facts. It is thus an ideal fit

for judicial review, favoring a conclusion that the case is ripe.

In sum, the two factors reflect ripeness and our case law encourages particular

lenience in First Amendment ripeness inquiries. See id. at 1499 (“Reasonable

predictability of enforcement or threats of enforcement, without more, [are]

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sometimes . . . enough to ripen a claim.”); Awad v. Ziriax, 670 F.3d 1111, 1125 (10th

Cir. 2012) (finding First Amendment challenge ripe); Walker, 450 F.3d at 1098

(same); U.S. West, Inc. v. Tristani, 182 F.3d 1202, 1208 (10th Cir. 1999) (same). We

therefore find Ms. Peck’s challenge to Section 307(4) to be ripe.

II. Strict Scrutiny

The Supreme Court has held that facially “[c]ontent-based laws—those that

target speech based on its communicative content—are presumptively

unconstitutional and may be justified only if the government proves that they are

narrowly tailored to serve compelling state interests.” Reed v. Town of Gilbert, 576

U.S. 155, 163 (2015). Here, Section 307(4) is a content-based restriction on speech

in that it targets and prohibits speech based on its content, that content being

information from child abuse reports. As such, it is subject to strict scrutiny.11

11
While Ms. Barnes concedes this point, Ms. McCann argues against applying strict
scrutiny. Ms. McCann’s argument lacks merit, however. She seeks a novel
application of the Garcetti/Pickering test, which is used to determine whether a
government employee is entitled to First Amendment protection for speech within the
scope of employment. Garcetti v. Ceballos, 547 U.S. 410 (2006). One of the test’s
elements asks “whether the employee spoke as a citizen on a matter of public
concern. . . . If the answer is no, the employee has no First Amendment cause of
action based on his or her employer’s reaction to the speech.” Id. at 418. Ms.
McCann suggests that the “public concern” element should be applied to this context
to allow restriction of Ms. Peck’s speech because Ms. Peck, as an attorney for parents
in child abuse proceedings, “is a critical and necessary actor in the judicial system,”
and so has no greater right to publicly speak on these matters than would a
government employee like a social worker. McCann Opening Br. at 31–32. We
reject Ms. McCann’s invitation to so drastically extend the doctrine. Her argument
has no foundation in our First Amendment jurisprudence and it would have disastrous
downstream results, depriving every individual who plays a so-called “critical” role
in some part of the government of First Amendment rights to some degree, for no
reason other than their civil service.
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It is undisputed that the state has a compelling interest “in protecting its child-

abuse information.” Pennsylvania v. Ritchie, 480 U.S. 39, 60 (1987). Conceding

this, Ms. Peck focuses only on the narrow tailoring requirement, arguing that

Defendants have failed to show that “a narrowed prohibition—banning only

disclosure of identifying information from child abuse records and reports—would

not substantially serve the compelling interest.” Aple. Br. at 40. The heavy burden

of demonstrating that a content-based restriction is “the least restrictive means among

available, effective alternatives” lies with the government. Ashcroft v. Am. C.L.

Union, 542 U.S. 656, 665–66 (2004).

Defendants contend that Section 307(4) is narrowly tailored because

mandating confidentiality as to all information within child abuse records is the only

feasible way to protect the compelling interest in privacy for children and their

families, because it is too difficult to draw a “bright line between identifying and

nonidentifying pieces of information.” Barnes Opening Br. at 55.12 Defendants

argue that removing identifiers from child abuse report disclosures would be

extremely difficult due to the case-by-case specificity of such reports. They further

suggest that the government’s compelling interest is not only to keep reports hidden

from the media and public, but also to shield the reports from abusers, who might

seek retribution, and from a “child’s own community, family members, friends,

12
Ms. McCann adopted in full Ms. Barnes’ argument regarding the tailoring issue.
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classmates, and neighbors,” who might stigmatize the identifiable individuals. Id. at

51–54.

We agree that separating identifying information from non-identifying

information would often be a difficult task. But whether the alternative means are

“difficult” is not the standard we apply in tailoring inquiries. The touchstone is

whether the state has shown that no alternative exists that is both “less restrictive”

than the existing law and would effectively achieve the state’s compelling interest.

Ashcroft, 542 U.S. at 665. We need not draw a “bright line” between identifying and

non-identifying information at this point in time, when the central question before us

is only whether a law limiting identifying disclosures alone—a law that would be

enforced case-by-case—could accomplish the state’s compelling interest. Defendants

have not presented any actual evidence for their assertion that Ms. Peck’s proposed

alternative would be ineffectual. In response to the various hypothetical examples

listed by the district court in which information from a report would be

straightforwardly non-identifying, such as the steps a caseworker took to respond to a

report, Defendants merely insist that someone out there could, in theory, still identify

the child based on that information. This is not proof; it is merely speculation, which

is not enough to meet Defendants’ burden under strict scrutiny.

Additionally, Defendants have failed to demonstrate that their understanding

of what qualifies as “identifying” information—that is, information that would allow

anyone, including friends and family, to identify the individuals involved—is the

right definition. It is possible that “identifying information” should be construed to

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cover only such information that would allow members of the public to figure out the

individuals’ identities, which would make distinguishing between identifying and

non-identifying information much easier.13 Defendants have not provided any

authority or principles in support of their interpretation, and so they have simply

failed to convince us that their definition is correct. It is their burden to do so for

Section 307(4) to survive strict scrutiny

Furthermore, other sections of the Children’s Code directly contemplate the

possibility of public disclosures of information from child abuse reports that do not

identify individuals. Section 19-3-308 provides for the creation of Child Protection

Teams, which are directed to “publicly review the responses of public and private

agencies to each reported incident of child abuse or neglect” and “publicly report

nonidentifying information relating to any inadequate responses.” Colo. Rev. Stat.

§ 19-3-308(6)(f) (emphasis added). If Child Protection Teams are capable of

distinguishing between identifying and non-identifying information, then so too are

courts and prosecutors tasked with enforcing confidentiality requirements.

Defendants argue that the Child Protection Team provision is not inconsistent

with their claim because § 19-3-308 requires that the Child Protection Teams

publicly disclose information only “after a thoughtful dialogue and determination

regarding what details of a case may be identifying,” which does not endanger the

state’s interest in the same way that unilateral disclosure “by an individual or

13
We do not express an opinion on which definition of “identifying” is the correct
one, as this would require a detailed exercise of statutory interpretation.
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advocate with a subjective agenda” would. Barnes Opening Br. at 58. But that is

again Defendants’ subjective, unproven understanding of § 19-3-308. The statute

itself does not include procedural safeguards to guarantee such a “thoughtful

dialogue,” and Child Protection Teams include members of the lay community who

are no less likely to have an agenda than someone like Ms. Peck. At bottom, the

allowance of disclosures of non-identifying information by Child Protection Teams

necessarily implies that it is possible to distinguish between identifying and non-

identifying information, rebutting the central argument proffered by Ms. Barnes

against Ms. Peck’s less-restrictive alternative.

Section 307’s enumerated exceptions to the confidentiality requirement are

also not sufficient to establish narrow tailoring. There is no dispute that Ms. Peck’s

proposed alternative of allowing non-identifying disclosures by private parties

narrows the confidentiality protections of Section 307(4), even when accounting for

the exceptions. Likewise, the fact that forty-eight other states have laws similar or

identical to Section 307, without any explanation of why those laws are written that

way, does not persuasively support a conclusion that allowing non-identifying

disclosures would be an unworkable accommodation to Colorado’s compelling

interests.14

14
Tennessee, the outlier state, makes confidential only information that “directly or
indirectly identif[ies] a child or family receiving services from the department or that
identify the person who made a report of harm.” Tenn. Code. Ann. § 37-5-107(a).
This statute’s existence undermines Defendants’ argument that Section 307(4) is
narrowly tailored, especially in the absence of any indication that Tennessee has lost
CAPTA funding as a result of its narrower statute.
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In a final effort to convince us that Section 307(4) is narrowly tailored,

Defendants emphasize Section 307’s relationship with CAPTA, because they believe

that continued enforcement of Section 307 in its entirety is necessary for Colorado to

receive federal funds for its child protection system. However, that does not resolve

the question of whether Section 307(4) is narrowly tailored, either. It is no excuse

for a state that is violating the constitutional rights of its citizens to say “the federal

government is paying us to do it.” And in any event, Defendants have produced no

affirmative evidence that the federal government would in fact withhold CAPTA

funding were Section 307(4) to be taken off the books or narrowed to allow private

parties to disclose non-identifying information from child abuse records. To the

contrary, it appears to us that Colorado qualified for CAPTA funding before Section

307(4) was enacted in its current form in 2003.

Thus, Defendants have failed to disprove that a narrower version of Section

307, prohibiting and punishing only disclosures of identifying information from child

abuse reports, would adequately serve Colorado’s compelling interest. Because there

is a feasible and less restrictive alternative, Section 307(4) is not narrowly tailored to

the state’s compelling interest, so is facially unconstitutional and void.

III. Severability

The district court held, erroneously, that Section 307(1)(c) and Section 307(4)

covered the same speech and were both unconstitutional. As a result, the court did

not have occasion to address below whether Section 307(4) could be severed from

the rest of the statute, leaving Section 307(1)’s penalty—which we find to be

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narrower, reaching only disclosures of identifying information from child abuse

reports—intact. See generally Colo. Rev. Stat. § 2-4-204 (imposing rules for

severing unconstitutional provisions of Colorado statutes); Seila Law LLC v.

Consumer Fin. Prot. Bureau, 140 S. Ct. 2183, 2208–09 (2020) (discussing federal

severability rules). The parties also did not provide any briefing on severability, as

they apparently assumed that the two provisions would have the same scope.

Because we have held that only Section 307(4) is unconstitutional, whereas Section

307(1) was not properly challenged by Ms. Peck, we order a limited remand to allow

the district court to determine the severability of Section 307(4) in the first instance.

CONCLUSION

Based on the foregoing, we AFFIRM in part, striking down Section 307(4) as

unconstitutional; REVERSE in part, finding that Ms. Peck has not stated a valid

challenge to Section 307(1) and leaving that provision in effect; and REMAND for

the district court to assess whether the invalid Section 307(4) is severable from the

rest of the statute.

36

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