Dr. Bernd Wollschlaeger v. Governor of the State of Florida ( 2017 )


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  •                Case: 12-14009      Date Filed: 02/16/2017     Page: 1 of 90
    [PUBLISH]
    IN THE UNITED STATES COURT OF APPEALS
    FOR THE ELEVENTH CIRCUIT
    ________________________
    No. 12-14009
    ________________________
    D.C. Docket No. 1:11-cv-22026-MGC
    DR. BERND WOLLSCHLAEGER et al.,
    Plaintiffs/Appellees,
    versus
    GOVERNOR, STATE OF FLORIDA et al.,
    Defendants/Appellants.
    ________________________
    Appeal from the United States District Court
    for the Southern District of Florida
    ________________________
    (February 16, 2017)
    Before ED CARNES, Chief Circuit Judge, and TJOFLAT, HULL, MARCUS,
    WILSON, WILLIAM PRYOR, MARTIN, JORDAN, ROSENBAUM, JULIE
    CARNES, and JILL PRYOR, Circuit Judges.
    JORDAN, Circuit Judge: ∗
    ∗
    There are two majority opinions for the en banc Court, one by Judge Jordan and one by Judge
    Marcus. Judge Jordan’s opinion is joined by Chief Judge Ed Carnes and Judges Hull, Marcus,
    William Pryor, Martin, Rosenbaum, Julie Carnes, and Jill Pryor. Judge Marcus’ opinion is
    joined by Judges Hull, Wilson, Martin, Jordan, Rosenbaum, and Jill Pryor.
    Case: 12-14009    Date Filed: 02/16/2017   Page: 2 of 90
    Despite its majestic brevity—or maybe because of it—the freedom of speech
    clause of the First Amendment sometimes proves difficult to apply. See, e.g., Burt
    Neuborne, Madison’s Music: On Reading the First Amendment 5 (2015)
    (“Reading the First Amendment isn’t easy.”); Saxe v. State College Area Sch.
    Dist., 
    240 F.3d 200
    , 218 (3d Cir. 2001) (Rendell, J., concurring) (“[T]here are no
    easy ways in the complex area of First Amendment jurisprudence.”). Yet certain
    First Amendment principles can be applied with reasonable consistency, and one
    of them is that, subject to limited exceptions, “[c]ontent-based regulations [of
    speech] are presumptively invalid.” R.A.V. v. City of St. Paul, 
    505 U.S. 377
    , 382
    (1992).
    This particular principle looms large in this case, which concerns certain
    provisions of Florida’s Firearms Owners’ Privacy Act, Chapter 2011–112, Laws of
    Florida (codified at Fla. Stat. §§ 790.338, 456.072, 395.1055, & 381.026). And
    that is because some of FOPA’s provisions regulate speech on the basis of content,
    restricting (and providing disciplinary sanctions for) speech by doctors and
    medical professionals on the subject of firearm ownership.
    Shortly after FOPA was enacted in 2011, a number of doctors and medical
    organizations filed suit in federal court against various Florida officials,
    challenging some of the Act’s provisions as unconstitutional. Ruling on cross-
    motions for summary judgment, the district court held that FOPA’s record-
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    keeping, inquiry, anti-discrimination, and anti-harassment provisions violated the
    First and Fourteenth Amendments, and permanently enjoined their enforcement.
    See Wollschlaeger v. Farmer, 
    880 F. Supp. 2d 1251
    (S.D. Fla. 2012)
    (Wollschlaeger I). The state officials appealed, and a divided panel of this court
    issued three opinions—each using a different First Amendment standard of
    review—upholding the challenged provisions of FOPA. See Wollschlaeger v.
    Governor of Fla., 
    760 F.3d 1195
    (11th Cir. 2014) (Wollschlaeger II);
    Wollschlaeger v. Governor of Fla., 
    797 F.3d 859
    (11th Cir. 2015) (Wollschlaeger
    III); Wollschlaeger v. Governor of Fla., 
    814 F.3d 1159
    (11th Cir. 2015)
    (Wollschlaeger IV). We voted to rehear the case en banc and heard oral argument
    in June of 2016.
    Exercising plenary review, see ACLU of Fla., Inc. v. Miami-Dade County
    Sch. Bd., 
    557 F.3d 1177
    , 1206 (11th Cir. 2009), and applying heightened scrutiny
    as articulated in Sorrell v. IMS Health, Inc., 
    564 U.S. 552
    , 563–67, 571–72 (2011),
    we agree with the district court that FOPA’s content-based restrictions—the
    record-keeping, inquiry, and anti-harassment provisions—violate the First
    Amendment as it applies to the states. See U.S. Const. amend. I (“Congress shall
    make no law . . . abridging the freedom of speech[.]”); Stromberg v. California,
    
    283 U.S. 359
    , 368 (1931) (“[T]he conception of liberty under the due process
    clause of the Fourteenth Amendment embraces the right of free speech.”). And
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    because these three provisions do not survive heightened scrutiny under Sorrell,
    we need not address whether strict scrutiny should apply to them.         We also
    conclude, this time contrary to the district court, that FOPA’s anti-discrimination
    provision—as construed to apply to certain conduct by doctors and medical
    professionals—is not unconstitutional. Finally, we concur with the district court’s
    assessment that the unconstitutional provisions of FOPA can be severed from the
    rest of the Act.
    I
    As part of their medical practices, some doctors routinely ask patients about
    various potential health and safety risks, including household chemicals, drugs,
    alcohol, tobacco, swimming pools, and firearms.          See Joint Statement of
    Undisputed Facts, D.E. 87, at ¶ 18. A number of leading medical organizations,
    and some of their members, believe that unsecured firearms “in the home increase
    risks of injury, especially for minors and those suffering from depression or
    dementia.” 
    Id. at ¶
    20.
    In an effort to prevent and reduce firearm-related deaths and injuries,
    particularly to children, the American Medical Association “encourages its
    members to inquire as to the presence of household firearms as a part of
    childproofing the home and to educate patients to the dangers of firearms to
    children.” 
    Id. at ¶
    4. Health Policy H-145.990, enacted by the AMA in 1989,
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    “supports increasing efforts to reduce pediatric firearm morbidity and mortality by
    encouraging its members to (a) inquire as to the presence of household firearms as
    a part of childproofing the home; (b) educate patients to the dangers of firearms to
    children; (c) encourage patients to educate their children and neighbors as to the
    dangers of firearms; and (d) routinely remind patients to obtain firearm safety
    locks, to store firearms under lock and key, and to store ammunition separately
    from firearms[.]”
    The American Academy of Pediatrics and the American Academy of Family
    Physicians—as well as their Florida chapters—follow a similar approach. They
    “recommend that pediatricians incorporate questions about firearms into the patient
    history process and . . . have policies stating that firearm safety education to
    patients is a necessity.” Joint Statement of Undisputed Facts, D.E. 87, at ¶ 16.
    A
    In 2011, the Florida Legislature learned that a pediatrician in Ocala had
    reportedly told a mother that she would have to find a new physician for her child
    due to her refusal to disclose information about firearm ownership in the family
    home.     The pediatrician explained that he asked all of his patients the same
    questions “in an effort to provide safety advice in the event there was a firearm in
    the home.” 
    Id. at ¶
    3. He also said that he asked other similar questions, such as
    whether there was a pool in the home, to give safety advice to parents. The mother
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    felt that the question “invaded her privacy,” but the record is silent as to whether
    she ultimately answered the questions posed to her about firearms. 
    Id. The Florida
    Legislature also learned, anecdotally, about five other incidents
    in which patients complained that doctors and medical professionals had asked
    unwelcome questions or made purportedly improper comments regarding their
    ownership of firearms. A state representative said that his daughter’s pediatrician
    inquired if he owned a firearm, and then asked him to remove the firearm from the
    home. 
    Id. at ¶
    5. An email described how a mother “was separated from her
    children while medical personnel . . . interrogated” them about firearm ownership
    and put information about such ownership in their medical records. 
    Id. at ¶
    6. One
    doctor refused to treat a child because he wanted to know if there were firearms in
    the home. 
    Id. at ¶
    8. A patient, according to a state senator, was told that
    disclosing firearm ownership was a Medicaid requirement. 
    Id. at ¶
    9. And another
    patient was informed that Medicaid does not pay for care if patients refuse to
    answer firearm-ownership questions. 
    Id. at ¶
    10.
    A representative of the National Rifle Association reported that a child
    would not be examined if the parent refused to answer questions about firearms in
    the home.       That same representative testified at a subcommittee hearing that
    “[q]uestioning patients about gun ownership to satisfy a political agenda . . . needs
    to stop.” 
    Id. 6 Case:
    12-14009     Date Filed: 02/16/2017   Page: 7 of 90
    B
    Based on these six anecdotes, the Florida Legislature enacted FOPA, which
    did several things. First, the Act created Fla. Stat. § 790.338, entitled “Medical
    privacy concerning firearms; prohibitions; penalties; exceptions.” Second, the Act
    added language to Fla. Stat. § 456.072 to provide disciplinary measures for
    violations of its provisions. Third, the Act amended Fla. Stat. § 381.026 (the
    Florida Patient’s Bill of Rights and Responsibilities).
    The four FOPA provisions at issue here, all contained in § 790.338, are the
    record-keeping, inquiry, anti-discrimination, and anti-harassment provisions. The
    record-keeping provision, § 790.338(1), states that a doctor or medical professional
    “may not intentionally enter any disclosed information concerning firearm
    ownership into [a] patient’s medical record” if he or she “knows that such
    information is not relevant to the patient’s medical care or safety, or the safety of
    others.” The inquiry provision, § 790.338(2), states that a doctor or medical
    professional “should refrain from making a written inquiry or asking questions
    concerning the ownership of a firearm or ammunition by the patient or by a family
    member of the patient, or the presence of a firearm in a private home” unless he or
    she in “good faith believes that this information is relevant to the patient’s medical
    care or safety, or the safety of others[.]”      The anti-discrimination provision,
    § 790.338(5), states that a doctor or medical professional “may not discriminate
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    against a patient based solely” on the patient’s ownership and possession of a
    firearm.     The anti-harassment provision, § 790.338(6), states that a doctor or
    medical professional “should refrain from unnecessarily harassing a patient about
    firearm ownership during an examination.”1
    Through its use of a relevancy standard, FOPA’s record-keeping and inquiry
    provisions prevent doctors and medical professionals from asking all patients, or
    all patients with children, whether they own firearms or have firearms in their
    homes, or from recording answers to such questions. In the panel’s view, such
    inquiries (and record-keeping) are appropriate only if the doctor or medical
    professional has “some particularized information about the individual patient, for
    example, that the patient is suicidal or has violent tendencies[.]” Wollschlaeger 
    IV, 814 F.3d at 1179
    (record-keeping provision).                 See also 
    id. at 1180
    (inquiry
    provision). So a doctor or medical professional violates FOPA if he or she gives
    all new patients an intake questionnaire which asks about firearms in the home.
    FOPA provides that violations of the record-keeping and inquiry provisions,
    among others, “constitute grounds for disciplinary action” by Florida’s Board of
    Medicine. See § 790.338(8). Another Florida statute, as amended by FOPA, states
    that “violating any of the provisions” of FOPA, as set forth in § 790.338, “shall
    1
    For convenience, Fla. Stat. § 790.338 is reproduced in the appendix.
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    constitute grounds for which . . . disciplinary actions . . . may be taken.” See
    § 456.072(1)(nn) (emphasis added).
    Statutorily, FOPA violations are punishable by a fine of up to $10,000 per
    offense, a letter of reprimand, probation, suspension, compulsory remedial
    education, or permanent license revocation.        See § 456.072(2)(a)-(j); Joint
    Statement of Undisputed Facts, D.E. 87, at ¶ 11. In 2014, after the district court’s
    ruling, the Board of Medicine issued regulations that characterize transgressions of
    FOPA as minor administrative violations.         See Fla. Adm. Code § 64B13-
    15.005(1)(l). Two years later, in 2016, the Board promulgated regulations that
    provide mandatory penalties for first and second violations of FOPA. For a first
    violation of FOPA, the Board “shall impose a penalty of reprimand and a fine of
    $250,” and for a second violation it “shall impose a penalty of reprimand up to
    suspension, require continuing education, and a fine of $1,000.” Fla. Adm. Code
    § 64B18-14.002(61) (emphasis added).
    II
    The state officials argue that we lack subject-matter jurisdiction because two
    of Article III’s justiciability requirements—standing and ripeness—are absent. See
    Appellants’ En Banc Br. at 17–30. Like the district court, see Wollschlaeger 
    I, 880 F. Supp. 2d at 1257
    –61, and the panel, see Wollschlaeger 
    IV, 814 F.3d at 1172
    –77,
    we disagree.
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    To have standing under Article III, a plaintiff “must have suffered or be
    imminently threatened with a concrete and particularized ‘injury in fact’ that is
    fairly traceable to the challenged action of the defendant and likely to be redressed
    by a favorable judicial decision.”         Lexmark Int’l, Inc. v. Static Control
    Components, Inc., 
    134 S. Ct. 1377
    , 1386 (2014). “Proximate causation,” however,
    “is not a requirement of Article III standing[.]” 
    Id. at 1391
    n.6.
    Ripeness, which like standing originates from Article III, is a “justiciability
    doctrine designed ‘to prevent the courts, through avoidance of premature
    adjudication, from entangling themselves in abstract disagreements[.]’” Nat’l Park
    Hospitality Ass’n v. Dep’t of Interior, 
    538 U.S. 803
    , 807 (2003) (citation omitted).
    In assessing whether a dispute is concrete enough to be ripe, we “evaluate (1) the
    fitness of the issues for judicial decision and (2) the hardship to the parties of
    withholding court consideration.” 
    Id. at 808.
    This is one of those cases where “the Article III standing and ripeness issues
    . . . ‘boil down to the same question.’” Susan B. Anthony List v. Driehaus, 134 S.
    Ct. 2334, 2341 n.5 (2014) (citation omitted). And that question is whether the
    doctors who filed suit, in this pre-enforcement posture, are threatened with injury
    fairly traceable to the challenged provisions of FOPA—the record-keeping,
    inquiry, anti-discrimination, and anti-harassment provisions—such that there is a
    sufficient hardship to them if we withhold consideration until there is enforcement
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    action. See MedImmune, Inc. v. Genentech, Inc., 
    549 U.S. 118
    , 128 n.8 (2007);
    Cheffer v. Reno, 
    55 F.3d 1517
    , 1524 (11th Cir. 1995).
    A
    “When an individual is subject to [the threatened enforcement of a law], an
    actual arrest, prosecution, or other enforcement action is not a prerequisite to
    challenging the law.” 
    Driehaus, 134 S. Ct. at 2342
    (citing other Supreme Court
    cases as examples). A person “c[an] bring a pre-enforcement suit when he ‘has
    alleged an intention to engage in a course of conduct arguably affected with a
    constitutional interest, but proscribed by a statute, and there exists a credible threat
    of prosecution[.]’” 
    Id. (citation omitted).
    See also ACLU v. The Florida Bar, 
    999 F.2d 1486
    , 1494 & n.13 (11th Cir. 1993) (explaining that a plaintiff must have an
    objectively reasonable belief about the likelihood of disciplinary action).
    It is undisputed that the individual plaintiffs, as doctors, wish to say and do
    what they believe FOPA prevents them from saying and doing.                   They filed
    affidavits in the district court explaining that they routinely ask all patients (or their
    parents) about firearm ownership in order to assess safety risks, and some believe
    that “information about firearm safety is always relevant to a patient’s preventive
    care.”     Wollschlaeger 
    I, 880 F. Supp. 2d at 1257
    .            Due to the challenged
    provisions of FOPA, and in order to avoid discipline by the Board of Medicine,
    these doctors are engaged in self-censorship. Against their professional judgment,
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    they are no longer asking patients questions related to firearm ownership, no longer
    using questionnaires with such questions, and/or no longer maintaining written
    records of consultations with patients about firearms.               See Joint Statement of
    Undisputed Facts, D.E. 87, at ¶¶ 24–26, 32–39; Wollschlaeger 
    I, 880 F. Supp. 2d at 1257
    –58 (citing some of the affidavits).
    Where the “alleged danger” of legislation is “one of self-censorship,” harm
    “can be realized even without an actual prosecution.” Virginia v. Am. Booksellers
    Ass’n, Inc., 
    484 U.S. 383
    , 393 (1988). Given the undisputed facts presented to the
    district court, the doctors have established that, but for FOPA, they would engage
    in speech arguably protected by the First Amendment. As a result, they have
    satisfied the first prong of the Driehaus standard.          See Int’l Soc’y for Krishna
    Consciousness of Atlanta v. Evans, 
    601 F.2d 809
    , 821 (5th Cir. 1979) (“To insist
    that a person must break the law in order to test its constitutionality is to risk
    punishing him for conduct which he may have honestly thought was
    constitutionally protected.”). 2
    2
    Although we construe the anti-discrimination provision in a way that does not regulate
    speech, at the time the plaintiffs filed suit it was unclear whether that provision would reach
    questions, statements, or record-keeping related to firearm ownership. In the district court, the
    state officials noted that, like the anti-harassment provision, the anti-discrimination provision
    could apply to repeated inquiries about firearm ownership. See Defendants’ Response to Motion
    for Preliminary Injunction, D.E. 49, at 7–8. At no time did the state officials say, or represent,
    that the anti-discrimination provision was limited to conduct. Instead, they asserted that
    “discrimination and harassment can take many forms, not all involving speech.” See
    Defendants’ Second Amended Motion for Summary Judgment, D.E. 93, at 17. And so, like the
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    B
    The challenged FOPA provisions target speech and conduct by doctors and
    medical professionals, and violations of those provisions can result in disciplinary
    sanctions by the Board of Medicine. For the reasons that follow, the doctors who
    filed suit have shown a credible threat of prosecution, a standard which we have
    described as “quite forgiving.” Wilson v. State Bar of Ga., 
    132 F.3d 1422
    , 1428
    (11th Cir. 1998) (citation omitted).
    First, FOPA was challenged soon after it was enacted, and Florida has since
    vigorously defended the Act in court. As a result, “an intent to enforce [the
    challenged provisions] may be inferred.” Harrell v. The Florida Bar, 
    608 F.3d 1241
    , 1257 (11th Cir. 2010).
    Second, although the state officials insist that one of the provisions of
    FOPA—the          anti-harassment     provision—merely        contains     recommendations
    (because it uses the words “should refrain”), the same cannot be said for the
    record-keeping (“may not”), inquiry (“shall . . . refrain”), and anti-discrimination
    (“may     not”)    provisions.       More     fundamentally,       the   argument      ignores
    § 456.072(1)(nn), which states (emphasis ours) that “violating any of the
    provisions” of § 790.338—i.e., even the so-called suggestive ones—“shall
    panel, see Wollschlaeger 
    IV, 814 F.3d at 1175
    n.7, we conclude that the plaintiffs have standing
    to challenge the anti-discrimination provision.
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    constitute grounds for which . . . disciplinary actions . . . may be taken.” See also
    § 790.338(8) (providing that violations of subsections (1)–(4) “constitute grounds
    for disciplinary action”).    Indeed, the Board of Medicine’s recent regulations
    provide that certain disciplinary sanctions “shall” be imposed for violations of
    FOPA, see Fla. Adm. Code § 64B18-14.002(61), and that is enough to show a
    credible threat of enforcement. See Holder v. Humanitarian Law Project, 
    561 U.S. 1
    , 15–16 (2010).
    Third, as the panel correctly explained, “[l]aws that provide for disciplinary
    action in case of violation—such as [FOPA]—should generally not be interpreted
    as hortatory,” Wollschlaeger 
    IV, 814 F.3d at 1176
    , even if they do not contain
    prohibitory words. See also Powhatan Steamboat Co. v. Appomattox R.R. Co., 65
    U.S. (24 How.) 247, 252 (1860) (“[W]here [a] statute inflicts a penalty for doing
    an act, although the act itself is not expressly prohibited, yet to do the act is
    unlawful, because it cannot be supposed that the Legislature intended that a penalty
    should be inflicted for a lawful act.”). Notably, Florida law is in accord with this
    principle: “[A] penalty implies a prohibition, though there are no prohibitory words
    in the statute.” Bryan’s Heirs v. Dennis, 
    4 Fla. 445
    , 455 (Fla. 1852) (emphasis in
    original).
    Fourth, we are not persuaded by the state officials’ reliance on a July 18,
    2011, letter from the Board of Medicine, which purportedly “clarif[ied]” that
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    FOPA “does not prohibit the asking of . . . questions [about gun ownership] but
    rather recommends that health care providers and facilities should refrain from
    asking them.” Joint Statement of Undisputed Facts, D.E. 87, at ¶ 14. For starters,
    the Board has not engaged in any formal (i.e., binding) rulemaking interpreting the
    substantive provisions of FOPA, so the July 18 letter does not offer much solace to
    doctors and medical professionals who have to ascertain their meaning. Nor has
    the Board issued a declaratory statement dealing with FOPA’s application to a
    particular doctor’s unique set of circumstances, as it is allowed to do under Florida
    law. See Fla. Stat. § 120.565; Fla. Dep’t of Business & Prof’l Regulation v.
    Investment Corp. of Palm Beach, 
    747 So. 2d 374
    , 385 (Fla. 1999).
    In addition, and significantly, the July 18 letter—written after this action was
    filed—contradicts earlier positions taken by the Board. For example, on the very
    day that FOPA was signed into law, the Rules/Legislative Committee of the Board
    determined, “[a]fter discussion,” that a “violation of [FOPA] falls under a failure to
    comply with a legal obligation and the current disciplinary guidelines for this
    violation would apply.” Joint Statement of Undisputed Facts, D.E. 87, at ¶ 12.
    And on June 14, 2011, the Board mailed a letter to doctors informing them that,
    under FOPA, they were “prohibited from inquiring about the ownership of
    firearms or ammunition unless the information is relevant to the patient’s medical
    care or safety, or the safety of others.” 
    Id. at ¶
    13 (emphasis added). That same
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    letter further declared that FOPA “prohibits [doctors and health care facilities]
    from intentionally entering any disclosed information concerning firearm
    ownership into a patient’s health record if the information is not relevant to the
    patient’s medical care or safety, or the safety of others.” 
    Id. (emphasis added).
    In sum, “the Board has not been consistent in its position[,]” Wollschlaeger
    
    IV, 814 F.3d at 1176
    , and its July 18 letter does not diminish the doctors’
    objectively reasonable fear of discipline. On this record the individual plaintiffs,
    who are looking down the barrel of the Board’s disciplinary gun, are not required
    to guess whether the chamber is loaded.3
    III
    Before tackling the four challenged provisions, we address the appropriate
    standard of review.
    A
    In cases at the margin, it may sometimes be difficult to figure out what
    constitutes speech protected by the First Amendment. But this is not a hard case in
    that respect. We conclude, as did the district court, see Wollschlaeger I, 880 F.
    Supp. 2d at 1261, and the panel, see Wollschlaeger 
    IV, 814 F.3d at 1183
    , that the
    record-keeping, inquiry, and anti-harassment provisions of FOPA constitute
    speaker-focused and content-based restrictions on speech.
    3
    Because the individual plaintiffs—the doctors—have Article III standing, we need not
    address the standing of the other plaintiffs. See Bowsher v. Synar, 
    478 U.S. 714
    , 721 (1986).
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    The record-keeping and inquiry provisions expressly limit the ability of
    certain speakers—doctors and medical professionals—to write and speak about a
    certain topic—the ownership of firearms—and thereby restrict their ability to
    communicate and/or convey a message. As a result, there can be no doubt that
    these provisions trigger First Amendment scrutiny.      “[S]peech is speech, and it
    must be analyzed as such for purposes of the First Amendment.” King v. Governor
    of New Jersey, 
    767 F.3d 216
    , 229 (3d Cir. 2014).
    The anti-harassment provision also limits speech on the basis of its content.
    Although it is certainly possible to harass through conduct, see, e.g., Black’s Law
    Dictionary 831 (10th ed. 2014), we think the limiting text of the anti-harassment
    provision (“during an examination”) is more normally read in this medical setting
    to refer to questions or advice to patients concerning the subject of firearm
    ownership. We therefore agree with the panel that the anti-harassment provision
    regulates speech based on content for the purposes of the First Amendment. See
    Wollschlaeger 
    IV, 814 F.3d at 1185
    (“A natural reading of the [anti-harassment]
    provision would seem to indicate that it is primarily concerned with verbal
    harassment . . . . [W]e think that on balance the provision substantially regulates
    speech[.]”). And anti-harassment laws, insofar as they regulate speech based on
    content, are subject to First Amendment scrutiny. See DeJohn v. Temple Univ.,
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    537 F.3d 301
    , 316 (3d Cir. 2008); 
    Saxe, 240 F.3d at 207
    ; DeAngelis v. El Paso
    Mun. Police Officers Ass’n, 
    51 F.3d 591
    , 596–97 (5th Cir. 1995).
    B
    The record-keeping, inquiry, and anti-harassment provisions of FOPA are
    speaker-focused and content-based restrictions. They apply only to the speech of
    doctors and medical professionals, and only on the topic of firearm ownership. See
    Reed v. Town of Gilbert, Ariz., 
    135 S. Ct. 2218
    , 2227 (2015); 
    Sorrell, 564 U.S. at 567
    ; Burk v. Augusta-Richmond County, 
    365 F.3d 1247
    , 1251 (11th Cir. 2004).
    Even if the restrictions on speech can be seen as viewpoint neutral—a point we
    need not address—that does not mean that they are content-neutral. “[A] speech
    regulation targeted at specific subject matter is content based even if it does not
    discriminate among viewpoints within that subject matter.” 
    Reed, 135 S. Ct. at 2230
    . “Innocent motives,” moreover, “do not eliminate the danger of censorship
    presented by a facially content-based statute, as future government officials may
    one day wield such statutes to suppress disfavored speech.” 
    Id. at 2229.
    Accord
    Cass R. Sunstein, Democracy and the Problem of Free Speech 169 (1993) (“When
    government regulates content, there is a large risk that the restriction really stems
    from something illegitimate: an effort to foreclose a controversial viewpoint, to
    stop people from being offended by certain topics and views, or to prevent people
    from being persuaded by what others have to say.”).
    18
    Case: 12-14009      Date Filed: 02/16/2017    Page: 19 of 90
    Content-based restrictions on speech normally trigger strict scrutiny. See
    
    Reed, 135 S. Ct. at 2231
    ; United States v. Playboy Entm’t Grp., Inc., 
    529 U.S. 803
    ,
    813 (2000); Humanitarian Law 
    Project, 561 U.S. at 27
    –28.                See also Am.
    Booksellers v. Webb, 
    919 F.2d 1493
    , 1500 (11th Cir. 1990) (“content-based
    restrictions on speech survive constitutional scrutiny only under extraordinary
    circumstances”). Such review is properly skeptical of the government’s ability to
    calibrate the propriety and utility of speech on certain topics. See Thomas v.
    Collins, 
    323 U.S. 516
    , 544 (1945) (Jackson, J., concurring) (“[T]he state may
    prohibit the pursuit of medicine as an occupation without [a] license but I do not
    think it could make it a crime publicly or privately to speak urging persons to
    follow or reject any school of medical thought.”). But we need not decide whether
    strict scrutiny applies here, because (as we discuss below) the record-keeping,
    inquiry, and anti-harassment provisions of FOPA fail even under heightened
    scrutiny as articulated in 
    Sorrell, 564 U.S. at 569
    –70 (“Vermont’s law imposes a
    content- and speaker-based burden on respondents’ own speech.                   That
    consideration . . . requires heightened judicial scrutiny.”).
    C
    According to the state officials, the First Amendment is not implicated
    because any effect on speech is merely incidental to the regulation of professional
    conduct. See Appellants’ En Banc Br. at 30–34. Keeping in mind that “[n]o law
    19
    Case: 12-14009     Date Filed: 02/16/2017   Page: 20 of 90
    abridging freedom of speech is ever promoted as a law abridging freedom of
    speech,” Rodney A. Smolla, Free Speech in an Open Society 58 (1992), we do not
    find the argument persuasive.
    Saying that restrictions on writing and speaking are merely incidental to
    speech is like saying that limitations on walking and running are merely incidental
    to ambulation. See Wollschlaeger 
    III, 797 F.3d at 918
    –19 (Wilson, J., dissenting).
    We concur with the Third Circuit’s assessment that the “enterprise of labeling
    certain verbal or written communications ‘speech’ and others ‘conduct’ is
    unprincipled and susceptible to manipulation.” 
    King, 767 F.3d at 228
    .
    The state officials, however, rely on Justice White’s framework for
    evaluating the speech of those who are engaged in a profession. In a concurrence
    he wrote 30 years ago, Justice White suggested that when a person is exercising
    judgment with respect to a particular client, he is “engaging in the practice of a
    profession” and his speech is “incidental to the conduct of the profession,” such
    that his First Amendment interests are diminished. See Lowe v. S.E.C., 
    472 U.S. 181
    , 232 (1985) (White, J., concurring in the judgment). So, if “the government
    enacts generally applicable licensing provisions limiting the class of persons who
    may practice [a] profession, it cannot be said to have enacted a limitation on
    freedom of speech or the press subject to First Amendment scrutiny.” 
    Id. In a
    later dissent, Justice White proposed that regulations of so-called professional
    20
    Case: 12-14009       Date Filed: 02/16/2017       Page: 21 of 90
    speech receive only rational basis review. See Thornburgh v. Am. College of
    Obstetricians & Gynecologists, 
    476 U.S. 747
    , 802 (1986) (White, J., dissenting).
    On the other hand, laws receive heightened First Amendment scrutiny if they reach
    a professional who does not have a “personal nexus” to a particular client and who
    is merely speaking generally. See 
    Lowe, 472 U.S. at 232
    (White, J., concurring in
    the judgment). 4
    Although we applied Justice White’s framework in Locke v. Shore, 
    634 F.3d 1185
    , 1191 (11th Cir. 2011), that case is not of much help here, as it involved a
    Florida law requiring that interior designers obtain a state license, and not one
    which limited or restricted what licensed interior designers could say on a given
    topic in practicing their profession.          The law, as we said, did “not implicate
    constitutionally protected activity under the First Amendment.” 
    Id. See also
    Moore-King v. County of Chesterfield, 
    708 F.3d 560
    , 563–64, 569–70 (4th Cir.
    2013) (applying Justice White’s approach to uphold local laws setting licensing,
    permitting, and zoning requirements for fortune tellers).
    4
    Justice White’s approach is supported by some First Amendment theorists and criticized
    by others. Compare, e.g., Robert C. Post, Democracy, Expertise, and Academic Freedom: A
    First Amendment Jurisprudence for the Modern State 24 (2012) (“[O]utside public discourse, the
    First Amendment permits the state to control the autonomy of speakers in order to protect the
    dignity of the targets of speech.”), with, e.g., Daniel Halberstam, Commercial Speech,
    Professional Speech, and the Constitutional Status of Social Institutions, 147 U. Pa. L. Rev. 771,
    840–41 (1999) (“[A]lthough a professional may be viewed as engaged in the transaction of
    selling his professional advice, one must, of course, distinguish between the offer . . . and the
    actual presentation of the professional advice, which is no more a ‘commercial transaction’ than
    is the actual writing or reading of a book or newspaper that is available for sale.”).
    21
    Case: 12-14009    Date Filed: 02/16/2017   Page: 22 of 90
    The Ninth Circuit also adopted Justice White’s approach, but in a case
    upholding a California law prohibiting mental health practitioners from providing
    sexual orientation change efforts (SOCE) therapy—meant to change a person’s
    sexual orientation from homosexual to heterosexual—to children under the age of
    18. See Pickup v. Brown, 
    740 F.3d 1208
    , 1225–29 (9th Cir. 2013) (as amended on
    rehearing). Importantly, however, the law in Pickup—like the law in Locke—did
    not restrict what the practitioner could say or recommend to a patient or client. See
    
    id. at 1223
    (explaining that the California law did not prevent mental health
    providers “from expressing their views to patients, whether children or adults,
    about SOCE, homosexuality, or any other topic” or from “recommending SOCE to
    patients, whether children or adults”). The Pickup panel, therefore, concluded that
    the law “regulate[d] conduct” even though it covered the verbal aspects of SOCE
    therapy. See 
    id. at 1229.
    There are serious doubts about whether Pickup was correctly decided. As
    noted earlier, characterizing speech as conduct is a dubious constitutional
    enterprise. See also 
    id. at 1215–21
    (O’Scannlain, J., dissenting from denial of
    rehearing en banc) (criticizing the Pickup panel for, among other things, not
    providing a “principled doctrinal basis” for distinguishing “between utterances that
    are truly ‘speech,’ on the one hand, and those that are, on the other hand, somehow
    ‘treatment’ or ‘conduct’”). In any event, Pickup is distinguishable on its facts and
    22
    Case: 12-14009        Date Filed: 02/16/2017        Page: 23 of 90
    does not speak to the issues before us. To the extent that Pickup provides any
    relevant insight, it recognizes that “doctor-patient communications about medical
    treatment receive substantial First Amendment protection,” 
    id. at 1227,
    and is
    therefore consistent with our approach.
    A more analogous—and more persuasive—Ninth Circuit case is Conant v.
    Walters, 
    309 F.3d 629
    (9th Cir. 2002), which struck down, on First Amendment
    grounds, a federal policy which threatened doctors with revocation of their DEA
    prescription authority if they recommended the medicinal use of marijuana to their
    patients. The Ninth Circuit recognized that doctor-patient speech (even if labeled
    professional speech) is entitled to First Amendment protection, and invalidated the
    policy because it was content- and viewpoint-based and did not have the requisite
    “narrow specificity.” See 
    id. at 637–39.
    In so doing, the Ninth Circuit rejected the
    government’s paternalistic assertion that the policy was valid because patients
    might otherwise make bad decisions. See 
    id. at 637.
    5
    The Supreme Court has never adopted or applied Justice White’s rational
    basis standard to regulations which limit the speech of professionals to clients
    based on content. See Wollschlaeger 
    IV, 814 F.3d at 1190
    ; 
    Pickup, 740 F.3d at 5
              The Fifth Circuit assumed the validity of Justice White’s approach to professional
    speech in Serafine v. Branaman, 
    810 F.3d 354
    , 359–60 (5th Cir. 2016), and struck down a Texas
    law which did not allow a candidate for political office to refer to herself as a psychologist on her
    campaign website. Because the candidate was communicating with the public at large and not
    providing advice to a client, the Fifth Circuit’s opinion in Serafine does not address the
    restrictions imposed by the FOPA provisions before us.
    23
    Case: 12-14009   Date Filed: 02/16/2017   Page: 24 of 90
    1218 (O’Scannlain, J., dissenting from denial of rehearing en banc). Indeed, on at
    least a couple of occasions, the Court has applied heightened scrutiny to
    regulations restricting the speech of professionals. See, e.g., Legal Servs. Corp. v.
    Velazquez, 
    531 U.S. 533
    , 542–48 (2001) (holding that a federal law—which
    prohibited attorneys working for entities receiving funds from the Legal Services
    Corporation from challenging existing welfare laws and from advising their clients
    about such challenges—violated the First Amendment because it limited
    “constitutionally protected expression” and “alter[ed] the traditional role of the
    attorneys”); N.A.A.C.P. v. Button, 
    371 U.S. 415
    , 438–44 (1963) (holding that a
    Virginia solicitation law, which prohibited organizations like the N.A.A.C.P. from
    finding or retaining lawyers for individual litigants and paying those attorneys a
    per diem fee for their professional services, violated the First Amendment because
    the state had not advanced any substantial regulatory interest to justify the
    prohibition).
    In Button, Virginia argued (much as the state officials do here) that it had a
    “subordinating interest in the regulation of the legal profession . . . which
    justifie[d] limiting [the N.A.A.C.P.’s] First Amendment rights,” but the Supreme
    Court rejected the argument out of hand, and essentially applied a form of
    heightened scrutiny: “[O]nly a compelling state interest in the regulation of a
    subject within the State’s constitutional power to regulate can justify limiting First
    24
    Case: 12-14009     Date Filed: 02/16/2017    Page: 25 of 90
    Amendment freedoms. Thus it is no answer to the constitutional claims . . . to say
    . . . that the purpose of [this law] was merely to insure high professional standards
    and not to curtail free expression.” 
    Id. at 438–39.
    What the Supreme Court said in
    concluding its analysis in Button seems to fit like a glove here: “[A] State may not,
    under the guise of prohibiting professional misconduct, ignore constitutional
    rights.” 
    Id. at 439.
    Given that the Supreme Court cited and discussed Button with approval
    recently in 
    Reed, 135 S. Ct. at 2229
    , the state officials cannot successfully rely on a
    single paragraph in the plurality opinion of three Justices in Planned Parenthood of
    Southeastern Pennsylvania v. Casey, 
    505 U.S. 833
    , 884 (1992) (upholding state
    requirement that doctors inform women seeking to terminate their pregnancies of
    the risks associated with both childbirth and abortion), to support the use of
    rational basis review here. In any event, as Judge Wilkinson correctly explained
    for the Fourth Circuit, the Casey “plurality did not hold sweepingly that all
    regulation of speech in the medical context merely receives rational basis review.”
    Stuart v. Camnitz, 
    774 F.3d 238
    , 249 (4th Cir. 2014).            See also District of
    Columbia v. Heller, 
    554 U.S. 570
    , 628 n.27 (2008) (“Obviously, the [rational
    basis] test could not be used to evaluate the extent to which a legislature may
    regulate a specific, enumerated right, be it the freedom of speech, the guarantee
    against double jeopardy, the right to counsel, or the right to keep and bear arms.”).
    25
    Case: 12-14009       Date Filed: 02/16/2017      Page: 26 of 90
    Our own circuit precedent also cuts against adoption of a rational basis
    standard for evaluating so-called professional speech. In Kingsville Independent
    Sch. Dist. v. Cooper, 
    611 F.2d 1109
    , 1113 (5th Cir. 1980), we held that a role-
    playing technique used by a public high-school history teacher in the classroom
    was “protected activity” under the First Amendment even if it was characterized as
    “private expression.” We then explained that the school district’s decision to not
    renew the teacher’s contract “for discussions conducted in the classroom [could
    not] be upheld unless the discussions ‘clearly . . . overbalance[d] [the teacher’s]
    usefulness as an instructor.’” Id.6
    In sum, we do not think it is appropriate to subject content-based restrictions
    on speech by those engaged in a certain profession to mere rational basis review.
    If rationality were the standard, the government could—based on its disagreement
    with the message being conveyed—easily tell architects that they cannot propose
    buildings in the style of I.M. Pei, or general contractors that they cannot suggest
    the use of cheaper foreign steel in construction projects, or accountants that they
    cannot discuss legal tax avoidance techniques, and so on and so on.
    6
    Cooper may not be applicable to the speech of public employees after Garcetti v.
    Ceballos, 
    547 U.S. 410
    , 421 (2006) (“when public employees make statements pursuant to their
    official duties, the employees are not speaking as citizens for First Amendment purposes, and the
    Constitution does not insulate their communications from employer discipline”), but its core
    First Amendment holding—that certain so-called professional speech is protected by the First
    Amendment—remains good law for those (like the doctors here) who are not public employees.
    Cooper relied in part on Givhan v. Western Line Consolidated Sch. Dist., 
    439 U.S. 410
    , 414
    (1979), for its First Amendment analysis, see 
    Kingsville, 611 F.2d at 1113
    , and the Supreme
    Court cited Givhan with approval in 
    Garcetti, 547 U.S. at 420
    –21.
    26
    Case: 12-14009    Date Filed: 02/16/2017   Page: 27 of 90
    IV
    We now turn to FOPA’s record-keeping, inquiry, and anti-harassment
    provisions. Because these provisions fail to satisfy heightened scrutiny under
    Sorrell, they obviously would not withstand strict scrutiny. We therefore need not
    decide whether strict scrutiny should apply.
    Under Sorrell, the state officials “must show at least that the [provisions]
    directly advance[ ] a substantial governmental interest and that the measure[s] [are]
    drawn to achieve that interest. There must be a ‘fit between the legislature’s ends
    and the means chosen to accomplish those 
    ends.’” 564 U.S. at 572
    (citation
    omitted). And “[u]nlike rational basis review, th[is] . . . standard does not permit
    us to supplant the precise interests put forward by the State with other
    suppositions.” Edenfield v. Fane, 
    507 U.S. 761
    , 768 (1993).
    “The quantum of empirical evidence needed to satisfy heightened judicial
    scrutiny of legislative judgments will vary up or down with the novelty and
    plausibility of the justification raised.” Nixon v. Shrink Missouri Gov’t PAC, 
    528 U.S. 377
    , 391 (2000). In Edenfield, for example, the Supreme Court struck down
    an anti-solicitation regulation for CPAs in part because the State Board of
    Accountancy had not presented any “studies that suggest personal solicitation of
    prospective business clients by CPAs creates the dangers . . . that the Board
    claim[ed] to fear,” and had not provided “any anecdotal evidence . . . that
    27
    Case: 12-14009    Date Filed: 02/16/2017   Page: 28 of 90
    validate[d] the Board’s 
    [interests].” 507 U.S. at 771
    . Two years later, the Court
    distinguished Edenfield and upheld a direct-mail solicitation regulation for Florida
    lawyers because the Florida Bar had “submitted a 106-page summary of its [two]-
    year study of lawyer advertising and solicitation . . . contain[ing] data—both
    statistical and anecdotal—supporting the Bar’s [position] that the Florida public
    view[ed] direct-mail solicitations in the immediate wake of accidents as an
    intrusion on privacy that reflect[ed] poorly upon the profession.” Florida Bar v.
    Went For It, Inc., 
    515 U.S. 618
    , 626–27 (1995) (describing the anecdotal record as
    “noteworthy for its breadth and detail”).
    Here the Florida Legislature, in enacting FOPA, relied on six anecdotes and
    nothing more. There was no other evidence, empirical or otherwise, presented to
    or cited by the Florida Legislature. See Joint Statement of Undisputed Facts, D.E.
    87, at ¶¶ 2–10. Although in some circumstances “[a]necdotal evidence is not
    shoddy per se,” Flanigan’s Enterprises., Inc. v. Fulton County, Ga., 
    596 F.3d 1265
    , 1279 (11th Cir. 2010) (citation and internal quotations marks omitted)
    (applying the less demanding test for content-neutral regulations from United
    States v. O’Brien, 
    391 U.S. 367
    , 376 (1968)), the question for us is whether, in a
    state with more than 18 million people as of 2010, see Florida Statistical Abstract 5
    (45th ed. 2011), six anecdotes (not all of which address the same concerns) are
    sufficient to demonstrate harms that are “real, [and] not merely conjectural,” such
    28
    Case: 12-14009       Date Filed: 02/16/2017   Page: 29 of 90
    that the FOPA provisions “will in fact alleviate these harms in a direct and material
    way.” Turner Broad. Sys., Inc. v. F.C.C., 
    512 U.S. 622
    , 664 (1994) (plurality
    opinion).
    A
    The first interest asserted by the state officials is protecting, from “private
    encumbrances,” the Second Amendment right of Floridians to own and bear
    firearms. See Appellants’ En Banc Br. at 45–46. We accept that the protection of
    Second Amendment rights is a substantial government interest, but nevertheless
    conclude that FOPA’s record-keeping, inquiry, and anti-harassment provisions fail
    to satisfy heightened scrutiny.
    The first problem is that there was no evidence whatsoever before the
    Florida Legislature that any doctors or medical professionals have taken away
    patients’ firearms or otherwise infringed on patients’ Second Amendment rights.
    This evidentiary void is not surprising because doctors and medical professionals,
    as private actors, do not have any authority (legal or otherwise) to restrict the
    ownership or possession of firearms by patients (or by anyone else for that matter).
    The Second Amendment right to own and possess firearms does not preclude
    questions about, commentary on, or criticism for the exercise of that right. So, as
    the district court aptly noted, see Wollschlaeger 
    I, 880 F. Supp. 2d at 1264
    , there is
    no actual conflict between the First Amendment rights of doctors and medical
    29
    Case: 12-14009     Date Filed: 02/16/2017    Page: 30 of 90
    professionals and the Second Amendment rights of patients that justifies FOPA’s
    speaker-focused and content-based restrictions on speech.
    We note that since 1989 Florida has made it a misdemeanor to fail to secure
    firearms which are obtained or possessed by minors without supervision, see Fla.
    Stat. § 790.174, and the general questioning of patients about firearm ownership is
    consistent with this state policy on firearm safety. The Florida Legislature has
    recognized that “a tragically large number of Florida children have been
    accidentally killed or seriously injured by negligently stored firearms; that placing
    firearms within the reach or easy access of children is irresponsible, encourages
    such accidents, and should be prohibited; and that legislative action is necessary to
    protect the safety of our children.” Fla. Stat. § 790.173(1) (legislative findings).
    Even if there were some possible conflict between the First Amendment
    rights of doctors and medical professionals and the Second Amendment rights of
    patients, the record-keeping, inquiry, and anti-harassment provisions do “not
    advance [the legislative goals] in a permissible way.” 
    Sorrell, 564 U.S. at 577
    .
    The record here demonstrates that some patients do not object to questions and
    advice about firearms and firearm safety, and some even express gratitude for their
    doctors’ discussion of the topic. See Joint Statement of Undisputed Facts, D.E. 87,
    at ¶ 21. Cf. 
    Edenfield, 507 U.S. at 772
    (highlighting that one of the reports
    contradicted rather than strengthened the State Board’s position). The record-
    30
    Case: 12-14009    Date Filed: 02/16/2017   Page: 31 of 90
    keeping, inquiry, and anti-harassment provisions do not provide for such patients a
    means by which they can hear from their doctors on the topic of firearms and
    firearm safety, and that is problematic under heightened scrutiny. See 
    Sorrell, 564 U.S. at 578
    (“The defect in Vermont’s law is made clear by the fact that many
    listeners find detailing instructive.”). See also Kleindienst v. Mandel, 
    408 U.S. 753
    , 762 (1972) (“In a variety of contexts this Court has referred to a First
    Amendment right to ‘receive information and ideas.’”) (citation omitted).
    In “the fields of medicine and public health . . . information can save lives.”
    
    Sorrell, 564 U.S. at 566
    . Doctors, therefore, “must be able to speak frankly and
    openly to patients.” 
    Conant, 309 F.3d at 636
    . Cf. Trammel v. United States, 
    445 U.S. 40
    , 51 (1980) (noting that “the physician must know all that a patient can
    articulate” and that “barriers to full disclosure would impair diagnosis and
    treatment”). Florida may generally believe that doctors and medical professionals
    should not ask about, nor express views hostile to, firearm ownership, but it “may
    not burden the speech of others in order to tilt public debate in a preferred
    direction.” 
    Sorrell, 564 U.S. at 578
    –79.
    B
    The second interest, say the state officials, is the protection of patient
    privacy, i.e., keeping private facts away from the public eye. See Appellants’ En
    Banc Br. at 46–47.     We recognize that protection of individual privacy is a
    31
    Case: 12-14009     Date Filed: 02/16/2017   Page: 32 of 90
    substantial government interest, see, e.g., Falanga v. State Bar of Ga., 
    150 F.3d 1333
    , 1344 (11th Cir. 1998), but that is not enough to sustain the three provisions
    at issue given other privacy protections in Florida law and the record before us.
    One of the FOPA provisions that has not been challenged, § 790.338(4),
    states in relevant part that patients “may decline to answer or provide any
    information regarding ownership of a firearm . . . or the presence of a firearm in
    the domicile of the patient or a family member of the patient.” So any patients
    who have privacy concerns about information concerning their firearm ownership
    can simply refuse to answer questions on the topic. Because the state officials do
    not explain why § 790.338(4) is insufficient to protect the privacy of patients who
    do not want others (including doctors and medical professionals) to know that they
    own or possess a firearm, they have failed to meet their burden under heightened
    scrutiny. See 
    Sorrell, 564 U.S. at 575
    (“[T]he State offers no explanation why
    remedies other than content-based rules would be inadequate.”).
    According to the state officials, the three provisions also safeguard the
    privacy of patients’ firearm ownership from the chilling effect of disclosure and
    record-keeping. But Florida law already places significant limits on the disclosure
    of a patient’s confidential medical records, see Fla. Stat. § 456.057(7)(a), and there
    is no evidence that doctors or medical professionals have been improperly
    disclosing patients’ information about firearm ownership. None of the anecdotes
    32
    Case: 12-14009     Date Filed: 02/16/2017     Page: 33 of 90
    cited by the Florida Legislature involved the improper disclosure or release of
    patient information concerning firearm ownership.
    The state officials rely in part on the panel’s assertion that the challenged
    FOPA provisions are constitutional because there is a danger that information
    electronically stored by doctors and medical professionals about firearm ownership
    might be subject to hacking, theft, or some other intrusion. See Wollschlaeger 
    IV, 814 F.3d at 1195
    n.22 & 1197. Under heightened scrutiny, however, a court may
    not come up with hypothetical interests and rationales (or discover new evidence)
    that might support legislation that restricts speech. See 
    Edenfield, 507 U.S. at 770
    –
    71. The Florida Legislature did not rely on this rationale in enacting FOPA, and
    the state officials did not assert this rationale in the district court. As a result, they
    cannot raise it here.
    C
    The third interest, according to the state officials, is ensuring access to health
    care without discrimination or harassment. See Appellants’ En Banc Br. at 48–49.
    Florida certainly has a substantial interest in making sure that its residents are able
    to obtain health care without discrimination—and we uphold FOPA’s anti-
    discrimination provision below—but the three other content-based provisions are
    not narrowly tailored to further that interest.
    33
    Case: 12-14009     Date Filed: 02/16/2017    Page: 34 of 90
    Under Florida law, a doctor can terminate his or her relationship with a
    patient as long the patient has reasonable notice and can secure the services of
    another health care provider. See Saunders v. Lischkoff, 
    188 So. 815
    , 819 (Fla.
    1939); H.R. Final Bill Analysis, Bill No. CS/CS/HB 155, D.E. 49-1, at 4 n.10
    (citing Saunders). A couple of the anecdotes in the legislative record involve
    complaints that doctors threatened to end the physician-patient relationship or to
    refuse treatment if questions about firearm ownership were not answered. One
    would think that, if the prevention of such conduct was the goal, the Florida
    Legislature would have prohibited doctors and medical professionals from
    terminating their professional relationships with patients who decline to answer
    questions about firearm ownership.        That would certainly be a less speech-
    restrictive solution. But FOPA does the opposite, because the second sentence of
    § 790.338(4) provides that a “patient’s decision not to answer a question relating to
    the presence or ownership of a firearm does not alter existing law regarding a
    physician’s authorization to choose his or her patients.” At a hearing before the
    district court, the state officials confirmed that the Florida Legislature “decided
    that [it] didn’t want to interfere with the rights of . . . physicians to terminate the
    relationship with the patients if there was a refusal to answer.” Transcript of
    Evidentiary Hearing, D.E. 64, at 30 (Jul. 13, 2011).
    34
    Case: 12-14009    Date Filed: 02/16/2017   Page: 35 of 90
    We also reject the argument asserted by the panel, see Wollschlaeger 
    IV, 814 F.3d at 1197
    –98, and championed by the state officials, see Appellants’ En
    Banc Br. at 49, that FOPA’s speaker-focused and content-based restrictions on
    speech are justified because there is a significant power imbalance between doctors
    and their patients, who are in a vulnerable position. First, “the Constitution does
    not permit government to decide which types of otherwise protected speech are
    sufficiently offensive to require protection for the unwilling listener or viewer,”
    Erznoznik v. City of Jacksonville, 
    422 U.S. 205
    , 210 (1975), and where adults are
    concerned the Supreme Court has never used a vulnerable listener/captive audience
    rationale to uphold speaker-focused and content-based restrictions on speech. See
    Snyder v. Phelps, 
    562 U.S. 443
    , 459–60 (2011) (explaining that the “captive
    audience doctrine” has been applied “only sparingly” in a couple of cases
    concerning content-neutral regulations protecting a person’s home, and holding
    that a father attending his son’s funeral was not captive to picketers of the
    ceremony).     Second, doctors and patients undoubtedly engage in some
    conversations that are difficult and uncomfortable, and the first sentence of
    § 790.338(4) already gives patients the right to refuse to answer questions about
    firearm ownership. There is nothing in the record suggesting that patients who are
    bothered or offended by such questions are psychologically unable to choose
    another medical provider, just as they are permitted to do if their doctor asks too
    35
    Case: 12-14009     Date Filed: 02/16/2017   Page: 36 of 90
    many questions about private matters like sexual activity, alcohol consumption, or
    drug use. To borrow from Sorrell, “[i]t is doubtful that concern for ‘a few’
    [patients] who may have ‘felt coerced and harassed’ by [doctors] can sustain . . .
    broad content-based [regulations] like [FOPA’s record-keeping, inquiry, and anti-
    harassment provisions]. Many are those who must endure speech they do not like,
    but that is a necessary cost of freedom.”       
    Sorrell, 564 U.S. at 575
    (citation
    omitted).
    D
    The final interest put forth by the state officials is the need to regulate the
    medical profession in order to protect the public. See Appellants’ En Banc Br. at
    49. At an abstract level of generality, Florida does have a substantial interest in
    regulating professions like medicine. See Watson v. State of Maryland, 
    218 U.S. 173
    , 176 (1910). That interest, however, is not enough here.
    “When the [state] defends a regulation on speech as a means to redress past
    harms or prevent anticipated harms, it must do more than simply ‘posit the
    existence of the disease sought to be cured.’” 
    Turner, 512 U.S. at 664
    (plurality
    opinion). See also 
    Button, 371 U.S. at 439
    .       As Judge Wilson noted, a state’s
    authority to regulate a profession does not extend to the entirety of a professional’s
    existence. See Wollschlaeger 
    III, 797 F.3d at 909
    (Wilson, J., dissenting). See
    also 
    Thomas, 323 U.S. at 544
    (Jackson, J., concurring). Florida does not have
    36
    Case: 12-14009    Date Filed: 02/16/2017   Page: 37 of 90
    carte blanche to restrict the speech of doctors and medical professionals on a
    certain subject without satisfying the demands of heightened scrutiny. See 
    Button, 371 U.S. at 438
    –39.
    “Injuries are the leading cause of death and morbidity among children older
    than one year, adolescents, and young adults.” Joint Statement of Undisputed
    Facts, D.E. 87, at ¶ 25. As a result, the American Medical Association and the
    American Academy of Pediatrics each recommend that doctors and pediatricians
    routinely ask patients about firearm ownership, and educate them about the
    dangers posed to children by firearms that are not safely secured. 
    Id. at ¶
    ¶ 4, 16.
    These policies, however, do not justify FOPA’s speaker-focused and content-based
    restrictions on speech. There is no claim, much less any evidence, that routine
    questions to patients about the ownership of firearms are medically inappropriate,
    ethically problematic, or practically ineffective. Nor is there any contention (or,
    again, any evidence) that blanket questioning on the topic of firearm ownership is
    leading to bad, unsound, or dangerous medical advice. Cf. Eric J. Crossen et al.,
    Preventing Gun Injuries in Children, 36 Pediatrics Rev. 43, 47–48 (2015) (“safe
    storage of firearms and ammunition helps to insulate children against unintentional
    firearm injuries”).
    Two of the six anecdotes that prompted the Florida Legislature to enact
    FOPA involved patients falsely being told that Medicaid would not pay for
    37
    Case: 12-14009    Date Filed: 02/16/2017   Page: 38 of 90
    medical care unless firearm ownership questions were answered. If the Florida
    Legislature thought that these two anecdotes were symptomatic of a state-wide
    problem, it could have enacted a law which prohibited doctors and medical
    professionals from making such false and misleading statements. Cf. Ibanez v.
    Florida Dep’t of Bus. & Prof’l Regulation, Bd. of Accountancy, 
    512 U.S. 136
    , 142
    (1994) (“only false, deceptive, or misleading commercial speech may be banned”);
    Virginia State Bd. of Pharmacy v. Virginia Citizens Consumer Council, Inc., 
    425 U.S. 748
    , 771–72 (1976) (explaining that the First Amendment does not prohibit
    restrictions on false or misleading commercial speech). But it did not, instead
    choosing to pass provisions broadly restricting truthful speech based on content.
    See Rubin v. Coors Brewing Co., 
    514 U.S. 476
    , 490–91 (1995) (striking down a
    labeling provision under the Federal Alcohol Administration Act because “several
    alternatives, such as directly limiting the alcohol content of beers, prohibiting
    marketing efforts emphasizing high alcohol strength . . . or limiting the labeling
    ban only to malt liquors” were available). Given that the applicable standard of
    care encourages doctors to ask questions about firearms (and other potential safety
    hazards), and that the challenged FOPA provisions are not appropriately tailored to
    address the concerns identified by the anecdotes in the record, Florida’s general
    interest in regulating the medical profession is insufficient to satisfy heightened
    scrutiny.
    38
    Case: 12-14009     Date Filed: 02/16/2017   Page: 39 of 90
    E
    The anti-discrimination provision, § 790.338(5), is of a slightly different
    caliber, as it prohibits discrimination “against a patient based solely” on his or her
    ownership and possession of a firearm. Although we have recognized that “anti-
    discrimination laws are [not] categorically immune from First Amendment
    challenge[s],” Booth v. Pasco County, 
    757 F.3d 1198
    , 1212 (11th Cir. 2014)
    (citation and internal quotation marks omitted), § 790.338(5) does not, on its face,
    implicate the spoken or written word.
    When a statute is “susceptible” to an interpretation that avoids constitutional
    difficulties, that is the reading we must adopt. See S. Utah Mines & Smelters v.
    Beaver County, 
    262 U.S. 325
    , 331 (1923). To discriminate generally means to
    treat differently, see, e.g., The American Heritage Dictionary of the English
    Language 517 (4th ed. 2009), and here we can uphold FOPA’s anti-discrimination
    provision by construing it to apply to non-expressive conduct such as failing to
    return messages, charging more for the same services, declining reasonable
    appointment times, not providing test results on a timely basis, or delaying
    treatment because a patient (or a parent of a patient) owns firearms.          When
    § 790.338(5) is limited in this way, there is no First Amendment problem, as the
    plaintiffs conceded at oral argument. See Hurley v. Irish-Am. Gay, Lesbian &
    Bisexual Grp. of Boston, 
    515 U.S. 557
    , 572 (1995) (explaining that anti-
    39
    Case: 12-14009       Date Filed: 02/16/2017      Page: 40 of 90
    discrimination laws “do not, as a general matter, violate the First or Fourteenth
    Amendments”); Wisconsin v. Mitchell, 
    508 U.S. 476
    , 487–88 (1993) (compiling a
    list of cases upholding anti-discrimination laws against First Amendment
    challenges). We therefore conclude that FOPA’s anti-discrimination provision, as
    interpreted today, is not unconstitutional.7
    V
    FOPA does not contain a severability clause, but the district court held that
    the unconstitutional provisions can and should be severed from the rest of the Act.
    See Wollschlaeger 
    I, 880 F. Supp. 2d at 1269
    –70. Applying Florida law to this
    question, see Leavitt v. Jane L., 
    518 U.S. 137
    , 139 (1996) (explaining that the
    severability of state statutory provisions is “a matter of state law”), we agree with
    the district court.
    In Florida, where a law does not contain a severability clause,
    unconstitutional provisions will be severed if “(1) [they] can be separated from the
    remaining valid provisions[;] (2) the legislative purpose expressed in the valid
    provisions can be accomplished independently of those which are void[;] (3) the
    good and the bad features are not so inseparable in substance that it can be said that
    the Legislature would have passed the one without the other[;] and (4) an act
    complete in itself remains after the invalid provisions are stricken.”                 State v.
    7
    The plaintiffs do not challenge the district court’s ruling that the anti-discrimination
    provision is not unconstitutionally vague. See Wollschlaeger 
    I, 880 F. Supp. 2d at 1268
    .
    40
    Case: 12-14009     Date Filed: 02/16/2017   Page: 41 of 90
    Catalano, 
    104 So. 3d 1069
    , 1080 (Fla. 2012) (citation and internal quotation marks
    omitted). The “key determination is whether the overall legislative intent is still
    accomplished without the invalid provisions.” 
    Id. at 1080–81.
    We have concluded that FOPA’s record-keeping, inquiry, and anti-
    harassment provisions violate the First Amendment, and that the anti-
    discrimination provision, as construed, does not. Our ruling therefore does not
    affect five provisions of FOPA: the provision relating to firearm inquiries by
    emergency medical technicians and paramedics, § 790.338(3); the provision
    allowing patients to decline to answer questions or provide information about
    firearm ownership but explaining that a patient’s decision not to answer such
    questions “does not alter existing law regarding a physician’s authorization to
    choose his or her patients,” § 790.338(4); the provision prohibiting discrimination,
    § 790.338(5); the provision prohibiting insurers from denying coverage, increasing
    premiums, and otherwise discriminating against an applicant or insured based on
    the lawful ownership of firearms or ammunition, but allowing insurers to consider
    the fair market value of firearms or ammunition in setting premiums for scheduled
    personal property coverage, § 790.338(7); and the provision stating that violations
    of subsections (1)–(4) constitute grounds for disciplinary action, § 790.338(8).
    It is our “affirmative duty to preserve the validity of legislative enactments
    when it is at all possible to do so,” Coral Springs St. Sys., Inc. v. City of Sunrise,
    41
    Case: 12-14009     Date Filed: 02/16/2017    Page: 42 of 90
    
    371 F.3d 1320
    , 1347–48 (11th Cir. 2004) (citation and internal quotation marks
    omitted), and we believe that the Florida Legislature would have wanted the rest of
    FOPA to continue in effect. First, the remaining provisions, given their language
    and pronouncements, can operate independently of the invalid ones.            Second,
    some of the remaining provisions regulate a different group of persons (e.g.,
    insurers) than the ones which we have found constitutionally wanting. Third, the
    Legislature’s overall purpose in enacting FOPA—protecting the rights of firearm
    owners in the area of health care—can still be furthered by some of the provisions
    unaffected by our decision. For example, if the remaining provisions continue in
    effect, patients will be able to refuse to answer questions put to them in the medical
    setting about their ownership of firearms. And firearm owners will have protection
    against certain forms of discrimination by doctors and medical professionals. In
    the words of the district court, “it cannot be said that the [L]egislature would never
    have   passed”    the   valid   provisions    without    the   unconstitutional   ones.
    Wollschlaeger 
    I, 880 F. Supp. 2d at 1269
    . “A complete act remains even if the
    invalid portions of [FOPA] are stricken.” 
    Id. “We owe
    the work of the elected representatives of the people of Florida
    respect[,] and we will invalidate no more of [FOPA] than we must.” Frazier ex
    rel. Frazier v. Winn, 
    535 F.3d 1279
    , 1283 (11th Cir. 2008). We therefore sever the
    record-keeping (§ 790.338(1)), inquiry (§ 790.338(2)), and anti-harassment
    42
    Case: 12-14009       Date Filed: 02/16/2017      Page: 43 of 90
    (§ 790.338(6)) provisions of FOPA and permanently enjoin their enforcement. We
    express no view as to the interpretation or validity of the remaining provisions of
    FOPA, which are not before us.8
    VI
    The record-keeping, inquiry, and anti-harassment provisions of FOPA
    violate the First Amendment, but the anti-discrimination provision, as construed,
    does not. The district court’s judgment is affirmed in part and reversed in part, and
    the case is remanded so that the judgment and permanent injunction can be
    amended in accordance with this opinion.
    AFFIRMED IN PART, REVERSED IN PART, AND REMANDED.
    8
    Obviously, the portion of § 790.338(8) providing that violations of the record-keeping
    and inquiry provisions constitute grounds for disciplinary action no longer has any effect.
    43
    Case: 12-14009   Date Filed: 02/16/2017   Page: 44 of 90
    MARCUS, Circuit Judge:
    The Court has correctly determined that the record-keeping, inquiry, and
    anti-harassment provisions of Florida’s Firearm Owners’ Privacy Act (FOPA), Fla.
    Stat. § 790.338(1)–(2), (6), plainly target core First Amendment speech. Because
    the State has failed to demonstrate that these provisions are narrowly drawn to
    directly and materially advance a substantial government interest, they cannot
    withstand heightened scrutiny. See Florida Bar v. Went For It, Inc., 
    515 U.S. 618
    ,
    624 (1995).
    The anti-harassment provision, Fla. Stat. § 790.338(6), also suffers from a
    second constitutional infirmity. This provision says that health-care practitioners
    “shall respect a patient’s legal right to own or possess a firearm and should refrain
    from unnecessarily harassing a patient about firearm ownership during an
    examination.” Fla. Stat. § 790.338(6). In addition to failing heightened scrutiny,
    FOPA’s ban on only unnecessary harassment is incomprehensibly vague. While
    FOPA proscribes “unnecessarily harassing” behavior, a definition of what such
    conduct entails is markedly absent from the pages of the Florida Statutes.
    Reasonable doctors are thus left guessing as to when their “necessary”
    harassment crosses the line and becomes “unnecessary” harassment -- and wrong
    guesses will yield severe consequences. The statute provides that a violation of
    any provision “shall constitute grounds for which disciplinary actions . . . may be
    44
    Case: 12-14009        Date Filed: 02/16/2017   Page: 45 of 90
    taken.” 
    Id. at §
    456.072(1)(nn). Violators of the Act risk suspension or permanent
    revocation of their medical licenses; restriction of their practices to certain settings,
    conditions, or numbers of hours; fines of up to $10,000 for each separate offense;
    probation; refunds of fees billed; and remedial education, among others. 
    Id. at §
    456.072(2)(b)–(d), (f), (i)–(j). With so much at risk, a statute written in muted
    shades of gray will not suffice.
    It is, by now, a “basic principle of due process that an enactment is void for
    vagueness if its prohibitions are not clearly defined.”           Grayned v. City of
    Rockford, 
    408 U.S. 104
    , 108 (1972). A law “can be impermissibly vague for
    either of two independent reasons. First, if it fails to provide people of ordinary
    intelligence a reasonable opportunity to understand what conduct it prohibits.
    Second, if it authorizes or even encourages arbitrary and discriminatory
    enforcement.” Hill v. Colorado, 
    530 U.S. 703
    , 732 (2000) (citing City of Chicago
    v. Morales, 
    527 U.S. 41
    , 56–57 (1999)); see also Harris v. Mexican Specialty
    Foods, Inc., 
    564 F.3d 1301
    , 1311 (11th Cir. 2009) (stating that a law is
    unconstitutionally vague “if it is so vague and standardless that it leaves the public
    uncertain as to the conduct it prohibits or leaves judges and jurors free to decide,
    without any legally fixed standards, what is prohibited and what is not in each
    particular case”) (quoting Giaccio v. Pennsylvania, 
    382 U.S. 399
    , 402–03 (1966)).
    This doctrine reflects the basic principle that a statute either forbidding or requiring
    45
    Case: 12-14009      Date Filed: 02/16/2017    Page: 46 of 90
    an action “in terms so vague that persons of common intelligence must necessarily
    guess at its meaning and differ as to its application[ ] violates the first essential of
    due process of law.” 
    Harris, 564 F.3d at 1310
    (quotations omitted).
    “[S]tandards of permissible statutory vagueness are strict in the area of free
    expression.” NAACP v. Button, 
    371 U.S. 415
    , 432 (1963). Generally, the void for
    vagueness doctrine encompasses “at least two connected but discrete due process
    concerns: first, that regulated parties should know what is required of them so they
    may act accordingly; second, precision and guidance are necessary so that those
    enforcing the law do not act in an arbitrary or discriminatory way.” FCC v. Fox
    Television Stations, Inc., 
    132 S. Ct. 2307
    , 2317 (2012). “When speech is involved,
    rigorous adherence to those requirements is necessary to ensure that ambiguity
    does not chill protected speech.” Id.; see also Reno v. Am. Civil Liberties Union,
    
    521 U.S. 844
    , 871–72 (1997) (“The vagueness of [content-based regulations of
    speech] . . . raise[s] special First Amendment concerns because of its obvious
    chilling effect on free speech.”); Winters v. New York, 
    333 U.S. 507
    , 509 (1948)
    (“It is settled that a statute so vague and indefinite, in form and as interpreted, as to
    permit within the scope of its language the punishment of incidents fairly within
    the protection of the guarantee of free speech is void, on its face, as contrary to the
    Fourteenth Amendment.”). Vague laws force potential speakers to “‘steer far
    wider of the unlawful zone’ . . . than if the boundaries of the forbidden areas were
    46
    Case: 12-14009    Date Filed: 02/16/2017   Page: 47 of 90
    clearly marked,” thus silencing more speech than intended. Baggett v. Bullitt, 
    377 U.S. 360
    , 372 (1964) (quoting Speiser v. Randall, 
    357 U.S. 513
    , 526 (1958)).
    Content-based regulations thus require “a more stringent vagueness test.” See Vill.
    of Hoffman Estates v. The Flipside, Hoffman Estates, Inc., 
    455 U.S. 489
    , 499
    (1982). While “perfect clarity and precise guidance have never been required even
    of regulations that restrict expressive activity,” Ward v. Rock Against Racism, 
    491 U.S. 781
    , 794 (1989), “government may regulate in the area” of First Amendment
    freedoms “only with narrow specificity.” 
    Button, 371 U.S. at 433
    .
    FOPA’s anti-harassment statute is not vague merely because it is an anti-
    harassment statute. “Harass” has an ordinary, commonly understood meaning: “to
    annoy persistently.” Merriam-Webster (2016). While this common meaning alone
    might pass constitutional muster, other Florida statutes go further and supplement
    this familiar definition by including statute-specific descriptions to convey the
    precise scope of behavior that constitutes punishable harassment. For example,
    Florida’s anti-stalking statute defines prohibited harassment as “a course of
    conduct directed at a specific person which causes substantial emotional distress to
    that person and serves no legitimate purpose.”          Fla. Stat. § 784.048(1)(a).
    Likewise, Florida employees are forbidden from engaging in sexual harassment,
    which is defined as “unwelcome sexual advances, requests for sexual favors, or
    other verbal or physical conduct of a sexual nature from any person directed
    47
    Case: 12-14009    Date Filed: 02/16/2017   Page: 48 of 90
    towards or in the presence of an employee or applicant” in specific enumerated
    circumstances. Fla. Admin. Code r. 60L-36.004(1). Both of these provisions
    restrict harassment by providing some guidance regarding the specific conduct or
    speech that is banned.
    Thus, “harassment” has a common meaning standing alone, and laws
    proscribing harassing behavior can be further delimited in scope through context
    and formal definitions.    Had § 790.338(6) simply banned “harassment about
    firearm ownership during an examination,” our review would have revealed poor
    tailoring and inadequate state interests as the sole causes of its constitutional
    demise. But instead of defining a specific type of harassment or simply applying
    the term according to its common usage, the State takes the plain word and renders
    it incomprehensible by appending a wholly nebulous adverb.           Doctors are to
    refrain from “unnecessarily harassing” their patients about firearm ownership and
    safety. Fla. Stat. § 790.338(6). This locution allows that some harassment may be
    permissible or even necessary. Indeed, we expect doctors to doggedly exhort
    unhealthy patients to exercise more, eat less, or stop smoking, even when such
    admonishments may “annoy persistently.” Section 790.338(6) must -- but does not
    -- provide doctors with fair notice regarding either the level of harassment that may
    be permitted as a necessary element of medical care or the point at which
    harassment metamorphoses into illegal activity.
    48
    Case: 12-14009     Date Filed: 02/16/2017    Page: 49 of 90
    Demarcating this line with some clarity and precision is crucial. In the
    absence of any attempt at a statutory definition of what constitutes “unnecessarily
    harassing” conduct, it is not clear whether what is “unnecessary” is to be measured
    from the point of view of the doctor or the patient. If the former, how is a doctor to
    know when his advice has become “unnecessarily” harassing? A doctor who
    believes his counseling beneficial and thinks the advice necessary to fulfill his
    professional responsibilities might have a tendency to overestimate the amount of
    advice he can give before he has engaged in “unnecessarily harassing” conduct.
    This difficulty is exacerbated by the fact that the patients who are most irritated by
    a doctor’s advice are often those in greatest need of persistence. A doctor may feel
    professionally obligated to “necessarily harass” a patient who obstinately resists
    his pleas to wear a motorcycle helmet, to childproof household electrical outlets, or
    to store a loaded firearm beyond his toddler’s reach.          If the doctor’s well-
    intentioned advice is rebuffed, he may wish to repeat his warnings two, three, even
    four times. He may wish to provide literature documenting the risks and hazards
    associated with an improperly secured firearm in the home or to share a harrowing
    account of a child killed by an accidental discharge. The more likely a doctor may
    believe that a patient is in particular need of advice, the more likely the patient may
    believe that the plentiful advice constitutes “unnecessary” harassment.
    By contrast, if what is “unnecessary” is measured from the patient’s
    49
    Case: 12-14009     Date Filed: 02/16/2017    Page: 50 of 90
    perspective, how is a doctor to predict his patients’ individual tolerances for
    hearing firearm-safety advice? If a doctor gives the same firearm-safety advice to
    two patients, the patients might have drastically different responses given their
    ownership of firearms and their existing household safety precautions.             A
    particularly sensitive patient might have a very low threshold for firearm-safety
    advice from his doctor and might construe any amount of counseling as
    unnecessary. A patient more receptive to his doctor’s advice might tolerate more
    counseling before his threshold is reached. The anti-harassment provision utterly
    fails to provide any notice to a doctor who must predict his patients’ individual
    tolerances, because “[c]onduct that annoys some people does not annoy others.”
    Coates v. City of Cincinnati, 
    402 U.S. 611
    , 614 (1971).            These difficulties
    illuminate the vagueness problem before us: Who is to know -- and who is to
    decide -- when good-faith persistence devolves into unnecessary harassment?
    Without further guidance, doctors are left in the dark.
    The State’s attempts to define the term fail to burn through the fog. When
    asked to define “necessary harassment,” the State replied that “the term
    ‘unnecessary’ emphasizes that it’s in the discretion of the physician to determine if
    they need to push you on the issue that they’re inquiring about” and that “it’s left
    to the discretion and determination of the physician, their judgment in treating the
    patient.” The panel adopted a similar interpretation and remarked that “so long as
    50
    Case: 12-14009      Date Filed: 02/16/2017    Page: 51 of 90
    a physician is operating in good faith . . . and is providing only firearm safety
    advice that is relevant and necessary, he need not fear discipline at the hands of the
    Board.” Wollschlaeger v. Governor of the State of Florida, 
    814 F.3d 1159
    , 1182
    (11th Cir. 2015).
    But this interpretation stands in stark contrast to the plain text of the statute:
    “A health care practitioner . . . shall respect a patient’s legal right to own or possess
    a firearm and should refrain from unnecessarily harassing a patient about firearm
    ownership during an examination.” Fla. Stat. § 790.338(6). While the inquiry
    provision allows a doctor to ask about firearm ownership and safety if he “in good
    faith” believes the questions to be “relevant to the patient’s medical care or safety,”
    Fla. Stat. § 790.338(2), this safe harbor is notably absent from the anti-harassment
    provision.    Because a legislature “generally acts intentionally when it uses
    particular language in one section of a statute but omits it in another,” Dep’t of
    Homeland Sec. v. MacLean, 
    135 S. Ct. 913
    , 919 (2015), we must infer that a
    doctor’s good-faith belief permits inquiries -- but not harassment -- regarding
    firearm ownership and safety. The State’s interpretation completely ignores the
    differing construction of the inquiry and the anti-harassment provisions, and it
    must be rejected in favor of the plain text.         See Connecticut Nat’l Bank v.
    Germain, 
    503 U.S. 249
    , 253–54 (1992) (noting that in interpreting a statute, a court
    “must presume that a legislature says in a statute what it means and means in a
    51
    Case: 12-14009     Date Filed: 02/16/2017    Page: 52 of 90
    statute what it says there”). The panel nevertheless took the State at its word and
    concluded that a physician acting in good faith “need not fear discipline at the
    hands of the Board.” 
    Wollschlaeger, 814 F.3d at 1182
    . But we cannot find clarity
    in a wholly ambiguous statute simply by relying on the benevolence or good faith
    of those enforcing it. See, e.g., United States v. Stevens, 
    559 U.S. 460
    , 480 (2010)
    (“[T[he First Amendment protects against the Government; it does not leave us at
    the mercy of noblesse oblige. We would not uphold an unconstitutional statute
    merely because the Government promised to use it responsibly.”).
    Even if we were to entertain the State’s interpretation and add the words “in
    good faith” to the anti-harassment provision, such a construction would render the
    provision -- and the inquiry provision -- completely null. If a doctor may claim
    “good faith” in the face of criticism over how many times he repeats, how loudly
    he insists, how intrusively he inquires, and how offensively he counsels -- in short,
    how and when he harasses -- then the statute is toothless. If the State’s argument is
    followed to its logical conclusion, a doctor would be able to maintain full
    immunity from enforcement with a simple assertion that he believed his
    harassment to be necessary.
    However, doctors would find little solace in so generous a reading. A lone
    patient’s complaint is sufficient to initiate an investigation into a doctor’s conduct,
    Fla. Stat. § 456.073, and a disgruntled patient is likely to disagree with his doctor
    52
    Case: 12-14009   Date Filed: 02/16/2017   Page: 53 of 90
    about precisely how much harassment is truly necessary.          The risks of such
    proceedings are staggering.     Well-intentioned doctors may be hauled before
    disciplinary boards, their reputations diminished, and their medical careers
    tarnished. And it is of little comfort to note that “patients by themselves cannot
    subject physicians to discipline.” 
    Wollschlaeger, 814 F.3d at 1182
    . Even the mere
    filing of a complaint can have serious consequences for a doctor’s career. As one
    plaintiff testified, “[m]any job applications, hospital credentialing forms, and
    public service vetting forms require doctors to note if they have ever been reported
    to the Board, regardless of whether the complaint was well-founded.” Doctors
    deserve more notice before they are subjected to these consequences, but we can
    find nothing in this statute, whether taken as a whole or read piece by piece, that
    offers a conscientious physician any guidance in discerning when “necessary”
    harassment has devolved into “unnecessary” and actionable speech.
    In this quintessential First Amendment area, the State may not hinge liability
    on a phrase so ambiguous in nature. And it most certainly may not do so when
    devastating consequences attach to potential violations. Doctors are entitled to
    know how far they may press their points and how persistently they may make
    their cases.    The anti-harassment provision does not provide any guidance.
    Instead, it forces doctors to choose between adequately performing their
    professional obligation to counsel patients on health and safety on the one hand
    53
    Case: 12-14009    Date Filed: 02/16/2017   Page: 54 of 90
    and the threat of serious civil sanctions on the other. Doctors can choose silence
    and self-censorship, thereby shouldering the burden of knowing they could have
    said more, counseled more, and warned more before a tragic accident. Or they
    may proceed with their speech and potentially face punishment according to the
    arbitrary whims of annoyed patients or a Board of Medicine that is wholly
    unrestrained by clear statutory guidelines.     Because of the anti-harassment
    provision’s undeniable ambiguity, the risk of constitutional injury is simply too
    great. This vagueness is inconsistent with the command of the First Amendment.
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    WILSON, Circuit Judge, whom MARTIN, Circuit Judge, joins as to Part III,
    concurring:
    I was a member of the original panel in this case, in which I submitted three
    separate dissents arguing that Florida’s Firearm Owners’ Privacy Act (the Act)
    violates the First Amendment. Accordingly, I concur with the Majority that the
    Act is unconstitutional. However, the Majority applies intermediate scrutiny to
    strike down the Act. I would reach the same result by applying strict scrutiny.
    The Act imposes a content- and viewpoint-based restriction on physicians’
    speech. It restricts physicians’ communications with patients about a specific
    subject—the possession of firearms—to prohibit advocating a specific viewpoint––
    firearm safety. My reading of Supreme Court precedent leads me to believe that
    strict scrutiny is the appropriate level of scrutiny for such a restriction on speech.
    See, e.g., Reed v. Town of Gilbert, 576 U.S. ___, ___, 
    135 S. Ct. 2218
    , 2227
    (2015); Sorrell v. IMS Health Inc., 
    564 U.S. 552
    , 565–66, 
    131 S. Ct. 2653
    , 2664
    (2011); Holder v. Humanitarian Law Project, 
    561 U.S. 1
    , 45, 
    130 S. Ct. 2705
    ,
    2734 (2010). The record-keeping, inquiry, and anti-harassment provisions of the
    Act do not survive this demanding standard.
    I.    Strict Scrutiny
    I write separately to underscore the importance of applying the most
    demanding standard of scrutiny to this content-based law.           Under the First
    55
    Case: 12-14009    Date Filed: 02/16/2017   Page: 56 of 90
    Amendment, the “government has no power to restrict expression because of
    its . . . content.” Ashcroft v. ACLU, 
    535 U.S. 564
    , 573, 
    122 S. Ct. 1700
    , 1707
    (2002) (internal quotation marks omitted). The Supreme Court recently reiterated
    that laws that restrict speech “based on its communicative content . . . are
    presumptively unconstitutional.” See 
    Reed, 135 S. Ct. at 2226
    . A content-based
    speech restriction can stand only if it survives strict scrutiny. United States v.
    Playboy Entm’t Grp., Inc., 
    529 U.S. 803
    , 813, 
    120 S. Ct. 1878
    , 1886 (2000).
    While my previous dissents in this case evaluated the Act through the lens of
    intermediate scrutiny, after the Supreme Court’s decision in Reed last year
    reiterated that content-based restrictions must be subjected to strict scrutiny, I am
    convinced that it is the only standard with which to review this law. See 
    Reed, 135 S. Ct. at 2227
    . A law is content-based if it “applies to particular speech
    because of the topic discussed or the idea . . . expressed.” 
    Id. The Reed
    Court
    cited as an “obvious” content-based distinction “defining regulated speech by
    particular subject matter.” 
    Id. The restrictions
    imposed by the Act depend entirely
    on the content of speech.      The Act aims to suppress speech on only one
    topic: firearms. It is hard to imagine a more paradigmatic example of a content-
    based law.
    The state’s subversive attempt to stop a perceived political agenda chills
    speech based on not only content but also a particular viewpoint. The Act silences
    56
    Case: 12-14009     Date Filed: 02/16/2017     Page: 57 of 90
    doctors who advance a viewpoint about firearms with which the state disagrees.
    The Act’s legislative history indicates that the concern motivating the law was
    firearm-safety messages that were perceived as a political agenda against firearm
    ownership. Statements by government officials explaining the reasons for an
    action can indicate an improper motive. See Vill. of Arlington Heights v. Metro.
    Hous. Dev. Corp., 
    429 U.S. 252
    , 268, 
    97 S. Ct. 555
    , 565 (1977); see also 
    Sorrell, 564 U.S. at 565
    , 131 S. Ct. at 2663 (“[A] statute’s stated purposes may . . . be
    considered.”). This viewpoint discrimination is a “blatant” and “egregious form of
    content discrimination” and thus provides further support for an application of
    strict scrutiny. Rosenberger v. Rector & Visitors of Univ. of Va., 
    515 U.S. 819
    ,
    829, 
    115 S. Ct. 2510
    , 2516 (1995).
    Applying strict scrutiny to content-based speech restrictions is also essential
    to protecting the values that the First Amendment seeks to protect. We must make
    sure that there is “no realistic possibility that official suppression of ideas is afoot.”
    R.A.V. v. City of St. Paul, 
    505 U.S. 377
    , 390, 
    112 S. Ct. 2538
    , 2547 (1992). The
    government must not regulate speech “based on hostility––or favoritism––towards
    the underlying message expressed.” 
    Id. at 386,
    112 S. Ct. at 2545. Florida,
    perhaps guided by a paternalistic notion that it needs to protect its citizens from
    viewpoints they do not like, prohibits doctors from discussing an entire topic and
    advocating a position with which it does not agree. This it cannot do.
    57
    Case: 12-14009        Date Filed: 02/16/2017       Page: 58 of 90
    Content-based restrictions on speech are permitted only when they fall
    within a few historic and traditional categories, such as obscenity or defamation.
    See 
    Alvarez, 132 S. Ct. at 2544
    . Absent from any such category of unprotected
    speech is truthful speech by physicians. 1 However, the Supreme Court has not
    squarely addressed the appropriate level of protection for professional speech.
    While I agree with the majority that rational basis is not appropriate, I hesitate to
    compare this case to other professional speech situations in which the state has a
    valid interest in regulating a specialized profession. See, e.g., Gentile v. State Bar
    of Nevada, 
    501 U.S. 1030
    , 1051–52, 
    111 S. Ct. 2720
    , 2733 (1991). Proscribing
    access to a profession is entirely different than prohibiting the speech of an entire
    group of professionals. See Thomas v. Collins, 
    323 U.S. 516
    , 544, 
    65 S. Ct. 315
    ,
    329 (Jackson, J., concurring) (“[T]he state may prohibit the pursuit of medicine as
    an occupation without its license but I do not think it could make it a crime
    publicly or privately to speak urging persons to follow or reject any school of
    medical thought.”). Because, as the district court noted, other regulations in this
    1
    Admittedly, the Supreme Court has acknowledged that there may exist some categories
    of speech that have not yet been specifically identified in our case law. See United States v.
    Stevens, 
    559 U.S. 460
    , 470, 
    130 S. Ct. 1577
    , 1586 (2010). However, before allowing a category
    of speech to fall into the exemptions from the normal prohibition on content-based restrictions,
    “the Court must be presented with persuasive evidence that a novel restriction on content is part
    of a long (if heretofore unrecognized) tradition of proscription.” See 
    Alvarez, 132 S. Ct. at 2547
    (citing Brown v. Entm’t Merch. Assn., 
    564 U.S. 786
    , 792, 
    131 S. Ct. 2729
    , 2734 (2011)). Here,
    the government has failed to persuade us. Just because this regulation lies in the realm of private
    professionals, there is not a historic tradition that would warrant exempting regulation of truthful
    speech by doctors.
    58
    Case: 12-14009     Date Filed: 02/16/2017   Page: 59 of 90
    realm govern the access to or practice of a profession, they do not “prohibit
    truthful . . . speech within the scope of the profession.” Wollschlaeger v. Farmer,
    
    880 F. Supp. 2d 1251
    , 1262 (S.D. Fla. 2012); cf. Thompson v. W. States Med. Ctr.,
    
    535 U.S. 357
    , 374–75, 
    122 S. Ct. 1497
    , 1507–08 (2002); Legal Servs. Corp. v.
    Velazquez, 
    531 U.S. 533
    , 547–48, 
    121 S. Ct. 1043
    , 1052 (2001); Conant v.
    Walters, 
    309 F.3d 629
    , 637–38 (9th Cir. 2002).
    The Act does not survive strict scrutiny because it is not narrowly tailored to
    compelling state interests. I echo my previous dissents’ conclusions regarding the
    state’s interests: the Act does not survive even intermediate scrutiny.          See
    Wollschlaeger v. Governor of Florida, 
    760 F.3d 1195
    , 1256–67 (11th Cir. 2014)
    (Wilson, J., dissenting); Wollschlaeger v. Governor of Florida, 
    797 F.3d 859
    , 919–
    930 (11th Cir. 2015) (Wilson, J., dissenting).
    II.    The Anti-Harassment Provision
    I concur with Judge Marcus’s analysis of the anti-harassment provision and
    his conclusion finding it void for vagueness. As I stated in my previous dissents,
    even if medical intuition tells a doctor that persistence is necessary, he will not
    know at what point his persistent questions constitute the harassment barred by the
    Act. The Act fails to establish a line between medically necessary advice and
    unnecessary harassment, and thus requires doctors to self-censor or risk losing
    their license. Because people of “common intelligence” are left guessing as to the
    59
    Case: 12-14009        Date Filed: 02/16/2017       Page: 60 of 90
    meaning of the Act, see Harris v. Mexican Specialty Foods, Inc., 
    564 F.3d 1301
    ,
    1310 (11th Cir. 2009) (internal quotation marks omitted), the provision is void for
    vagueness.
    III.    The Anti-Discrimination Provision
    Although I concur with the majority’s conclusion regarding the
    anti-discrimination provision, I still have doubts regarding the provision’s
    constitutionality. If the provision was narrowed to encompass only conduct, such
    as adjusting office hours or rates,2 I would not find issue with it. However, as the
    legislative history makes clear, the anecdotes of discrimination that motivated the
    Act all stemmed from speech. And it strains credulity to imagine scenarios in
    which this Act will be used to punish only conduct, and not speech.
    Even if the Act is construed to apply only to conduct, leaving the anti-
    discrimination provision in place risks chilling speech. Doctors may be hesitant to
    inquire about firearm ownership, as inquiries are strong evidence of a
    discriminatory motive. See generally Barbano v. Madison Cnty., 
    922 F.2d 139
    (2d
    Cir. 1990). Doctors may be legitimately worried that, if their patients subsequently
    complain, their initial inquiries will be used as evidence of discrimination. Such
    fear of punishment could lead to doctors avoiding asking those questions––the
    2
    I still have doubts about how realistic these proposed hypotheticals are. There is no
    evidence in the record that the state’s proposed discriminatory ‘conduct’ (e.g., denying referrals,
    creating longer wait times, cancelling appointments) actually occurred, or is likely to occur.
    60
    Case: 12-14009       Date Filed: 02/16/2017      Page: 61 of 90
    precise type of chilling effect we should fear. “[I]n the field[] of medicine . . .
    where information can save lives,” 
    Sorrell, 564 U.S. at 566
    , 131 S. Ct. at 2664, this
    result is all the more dire. With safety at stake, we cannot afford to silence these
    voices.
    I also worry that the discrimination provision appears to be a variant of the
    harassment provision. Because the majority opinion strikes down the harassment
    provision, my concern is that the state will now use the discrimination provision to
    punish harassing conduct. The Act defines neither harassment nor discrimination.
    It seems to me that the same speech that constituted harassment could now
    constitute “discriminatory harassment” 3 and thus be prohibited.
    However, I also recognize that the Supreme Court has stated that
    anti-discrimination provisions prohibiting discriminatory conduct “do not, as a
    general matter, violate the First or Fourteenth Amendments.” See Hurley v. Irish-
    Am. Gay, Lesbian & Bisexual Grp. of Boston, 
    515 U.S. 557
    , 571–72, 
    115 S. Ct. 2338
    , 2346 (1995). Based on this guiding principle, and on a narrow reading of
    the provision, I would not strike down the discrimination provision. But I remain
    skeptical of the government’s motivation behind this Act. And I urge that in all
    future cases reviewing content- and viewpoint-based speech regulations we remain
    3
    Justice Alito, then circuit judge, once used the phrase “discriminatory harassment.” See
    Saxe v. State Coll. Area Sch. Dist., 
    240 F.3d 200
    , 204 (3d Cir. 2001).
    61
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    steadfast in our resolve to protect speech and be wary of any law that muzzles
    entire categories of speech.
    62
    Case: 12-14009     Date Filed: 02/16/2017   Page: 63 of 90
    WILLIAM PRYOR, Circuit Judge, joined by HULL, Circuit Judge, concurring:
    I concur in the majority opinion, but I write separately to reiterate that our
    decision is about the First Amendment, not the Second. The Second Amendment
    “guarantee[s] the individual right to possess and carry weapons,” District of
    Columbia v. Heller, 
    554 U.S. 570
    , 592 (2008), and enshrines a fundamental right
    “necessary to our system of ordered liberty” that applies to the states through the
    Fourteenth Amendment. McDonald v. City of Chicago, 
    561 U.S. 742
    , 778 (2010).
    Our decision recognizes that protecting that fundamental right also serves a
    substantial government interest. Majority Op. at 29. And for that reason, Florida
    can protect its citizens from discrimination on the basis of their exercise of their
    right to bear arms. Majority Op. at 39–40. But the profound importance of the
    Second Amendment does not give the government license to violate the right to
    free speech under the First Amendment.
    “[A]bove all else, the First Amendment means that government has no
    power to restrict expression because of its message, its ideas, its subject matter, or
    its content.” Police Dep’t of Chicago v. Mosley, 
    408 U.S. 92
    , 95 (1972). Content-
    based regulations of speech “pose the inherent risk that the Government seeks not
    to advance a legitimate regulatory goal, but to suppress unpopular ideas or
    information or manipulate the public debate through coercion rather than
    persuasion.” Turner Broad. Sys., Inc. v. FCC, 
    512 U.S. 622
    , 641 (1994). The
    63
    Case: 12-14009     Date Filed: 02/16/2017   Page: 64 of 90
    power of the state must not be used to “drive certain ideas or viewpoints from the
    marketplace,” even if a majority of the people might like to see a particular idea
    defeated. Simon & Schuster, Inc. v. Members of the N.Y. State Crime Victims Bd.,
    
    502 U.S. 105
    , 116 (1991).
    The First Amendment is a counter-majoritarian bulwark against tyranny.
    “Congress shall make no law . . . abridging the freedom of speech,” U.S. Const.
    Amend. I, cannot mean “Congress shall make no law abridging the freedom of
    speech a majority likes.” No person is always in the majority, and our Constitution
    places out of reach of the tyranny of the majority the protections of the First
    Amendment. The promise of free speech is that even when one holds an unpopular
    point of view, the state cannot stifle it. The price Americans pay for this freedom is
    that the rule remains unchanged regardless of who is in the majority. “He that
    would make his own liberty secure must guard even his enemy from oppression;
    for if he violates this duty, he establishes a precedent that will reach to himself.”
    Thomas Paine, Dissertation on First-Principles of Government 37 (1795).
    We would resolve this appeal in exactly the same way if the facts were
    reversed. Suppose doctors were inspired to ask patients about gun ownership
    because the doctors believed that possession of firearms is an important means of
    ensuring health and safety. One can easily imagine circumstances in which a
    medical professional might justifiably encourage a patient (or a third party) in a
    64
    Case: 12-14009        Date Filed: 02/16/2017         Page: 65 of 90
    dangerous situation to take measures to protect herself. In fact, following Tarasoff
    v. Regents of University of California, 
    551 P.2d 334
    (Cal. 1976), almost every state
    took action to require or allow mental health professionals to warn third parties of
    patients’ threats to their safety. See Mental Health Professionals’ Duty to Warn,
    National    Conference        of      State        Legislatures       (Sept.       28,   2015),
    http://www.ncsl.org/research/health/mental-health-professionals-duty-to-
    warn.aspx. A state legislature motivated by anti-gun sentiment might have passed
    the same inquiry, record-keeping, and anti-harassment provisions that are in the
    Firearm Owners’ Privacy Act to prevent doctors from encouraging their patients to
    own firearms, and those laws would be equally unconstitutional. The First
    Amendment does not discriminate on the basis of motivation or viewpoint—the
    principle that protects pro-gun speech protects anti-gun speech with equal vigor.
    That the Act focuses on doctors is irrelevant. The need to prevent the
    government from picking ideological winners and losers is as important in
    medicine as it is in any other context. See Thomas v. Collins, 
    323 U.S. 516
    , 544
    (1945) (Jackson, J., concurring) (“I do not think [the state] could make it a crime
    publicly or privately to speak urging persons to follow or reject any school of
    medical thought.”). The history of content-based restrictions on physicians’ speech
    provides a cautionary tale:
    During certain historical periods, . . . governments have overtly
    politicized the practice of medicine, restricting access to medical
    65
    Case: 12-14009     Date Filed: 02/16/2017    Page: 66 of 90
    information and directly manipulating the content of doctor-patient
    discourse. For example, during the Cultural Revolution, Chinese
    physicians were dispatched to the countryside to convince peasants to
    use contraception. In the 1930s, the Soviet government expedited
    completion of a construction project on the Siberian railroad by
    ordering doctors to both reject requests for medical leave from work
    and conceal this government order from their patients. In Nazi
    Germany, the Third Reich systematically violated the separation
    between state ideology and medical discourse. German physicians
    were taught that they owed a higher duty to the “health of the Volk”
    than to the health of individual patients. Recently, Nicolae
    Ceausescu’s strategy to increase the Romanian birth rate included
    prohibitions against giving advice to patients about the use of birth
    control devices and disseminating information about the use of
    condoms as a means of preventing the transmission of AIDS.
    Paula Berg, Toward a First Amendment Theory of Doctor-Patient Discourse and
    the Right to Receive Unbiased Medical Advice, 74 B.U. L. Rev. 201, 201–02
    (1994) (footnotes omitted). Health-related information is more important than most
    topics because it affects matters of life and death. Doctors help patients make
    deeply personal decisions, and their candor is crucial. If anything, the doctor-
    patient relationship provides more justification for free speech, not less.
    If we upheld the Act, we could set a precedent for many other restrictions of
    potentially unpopular speech. Think of everything the government might seek to
    ban between doctor and patient as supposedly “irrelevant” to the practice of
    medicine. Without the protection of free speech, the government might seek to ban
    discussion of religion between doctor and patient. The state could stop a surgeon
    from praying with his patient before surgery or punish a Christian doctor for asking
    66
    Case: 12-14009     Date Filed: 02/16/2017   Page: 67 of 90
    patients if they have accepted Jesus Christ as their Lord and Savior or punish an
    atheist for telling his patient that religious belief is delusional. Without the
    protection of free speech, the government might seek to censor political speech by
    doctors. The state might prevent doctors from encouraging their patients to vote in
    favor of universal health care or prohibit a physician from criticizing the
    Affordable Care Act. Some might argue that such topics are irrelevant to a
    particular patient’s immediate medical needs, but the First Amendment ensures
    that doctors cannot be threatened with state punishment for speech even if it goes
    beyond diagnosis and treatment.
    These examples do not even begin to address the number of highly
    controversial topics that doctors discuss as a direct part of their medical
    responsibilities. Could a state prohibit a pro-life doctor from discouraging a patient
    from aborting her unborn child? Could a state prohibit a doctor from advising a
    patient about sex-reassignment surgery? Could a state prohibit a doctor from
    advising parents to vaccinate their children? Could a state prohibit a doctor from
    recommending abstinence or encouraging safe sexual behavior? What about organ
    donation or surrogacy or terminal care? What about drugs or alcohol or tobacco?
    Could a state legislature prevent a doctor from explaining the risks or benefits of a
    vegan diet? Or prevent a doctor from explaining the risks or benefits of playing
    football? This type of thought experiment should give us pause. If today the
    67
    Case: 12-14009     Date Filed: 02/16/2017    Page: 68 of 90
    majority can censor so-called “heresy,” then tomorrow a new majority can censor
    what was yesterday so-called “orthodoxy.”
    We should not be swayed by the argument that the First Amendment may be
    curtailed when other constitutional rights need “protection.” In this context,
    “protection” is a misnomer. The Constitution protects individual rights from
    government infringement, but freedom thrives on private persuasion. That the
    government may not establish a religion, U.S. Const. Amend. I., or ban handguns,
    U.S. Const. Amend. II, does not suggest that private individuals may not start a
    church or give away their guns. The Second Amendment is not infringed when
    private actors argue that guns are dangerous any more than when private actors
    support the positions of the National Rifle Association. The “theory of our
    Constitution” is that “the best test of truth is the power of the thought to get itself
    accepted in the competition of the market.” Abrams v. United States, 
    250 U.S. 616
    ,
    630 (1919) (Holmes, J., dissenting). The Florida Legislature overstepped the
    boundaries of the First Amendment when it determined that the proper remedy for
    speech it considered “evil” was “enforced silence,” as opposed to “more speech.”
    Whitney v. California, 
    274 U.S. 357
    , 377 (1927) (Brandeis, J., concurring).
    And we should keep in mind that the Second Amendment is not the only
    constitutional right that might receive such “protection” at the expense of the
    freedom of speech. If we say that we must “place the doctors’ right to question
    68
    Case: 12-14009     Date Filed: 02/16/2017    Page: 69 of 90
    their patients on the scales against the State’s compelling interest in fully effecting
    the guarantees of the Second Amendment,” Wollschlaeger v. Governor of the State
    of Fla. (Wollschlaeger IV), 
    814 F.3d 1159
    , 1200 (11th Cir. 2015) reh’g en banc
    granted, opinion vacated, 649 Fed. App’x 647 (11th Cir. 2016), others can say that
    “[w]e must place students’ right to express” unpopular views about race, religion,
    or sex “against the State’s compelling interest in fully effecting the guarantees of
    the Equal Protection Clause.” Eugene Volokh, Can Florida Restrict Doctors’
    Speech to Patients About Guns?, Wash. Post (Feb. 4, 2016), https://
    www.washingtonpost.com/news/volokh-conspiracy/wp/2016/02/04/can-florida-
    restrict-doctors-speech-to-patients-about-guns. The precedent that would allow the
    government to restrict speech any time its officials can identify a different right
    they believe more important is dangerous indeed.
    “If there is any fixed star in our constitutional constellation, it is that no
    official, high or petty, can prescribe what shall be orthodox in politics, nationalism,
    religion, or other matters of opinion . . . .” W. Va. State Bd. of Educ. v. Barnette,
    
    319 U.S. 624
    , 642 (1943) (Jackson, J.). Our decision applies this timeless principle
    to speech between doctors and patients, regardless of the content. The First
    Amendment requires the protection of ideas that some people might find distasteful
    because tomorrow the tables might be turned.
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    TJOFLAT, Circuit Judge, dissenting:
    Although I strongly disagree with the result reached by the majority, I write
    separately to directly address a question studiously avoided by this Court—What
    level of First Amendment scrutiny applies to the challenged provisions of the
    Florida Firearm Owners Privacy Act (the “Act”)1 targeting speech? 2
    I fully agree with my colleagues that the inquiry, record-keeping, and anti-
    harassment 3 provisions of the Act constitute content-based regulations of speech
    specifically targeting medical professionals.               Accordingly, these challenged
    provisions must survive some level of First Amendment scrutiny under the Free
    1
    Fla. Stat. § 790.338(1)–(2), (5), (6).
    2
    I join the majority’s extensive and well-reasoned finding that the group of physicians
    and physician-advocacy groups (the “Plaintiffs”) mounting a facial challenge to the Act have
    standing to pursue that challenge. Further, the majority correctly holds that the Act’s anti-
    discrimination provision, Fla. Stat. § 790.338(5), applies to non-expressive conduct, making that
    provision immune from the First Amendment challenge brought here.
    3
    The majority holds that the anti-harassment provision of the Act, Fla. Stat.
    § 790.338(6), is unconstitutionally vague. This provision requires health-care practitioners to
    “respect a patient’s legal right to own or possess a firearm and should refrain from unnecessarily
    harassing a patient about firearm ownership during an examination.” According to the majority,
    the use of the adverb unnecessarily is sufficient to render this provision incomprehensible. I
    disagree. Perhaps in isolation, the adverb unnecessarily creates some level of confusion, but
    statutory construction is a holistic endeavor, and we are commanded to interpret words in light of
    our “reading the whole statutory text [and] considering the purpose and context of the statute” as
    a whole. Dolan v. U.S. Postal Serv., 
    546 U.S. 481
    , 486, 
    126 S. Ct. 1252
    , 1257, 
    163 L. Ed. 2d 1079
    (2006). As the panel opinion explains, the broader context of the Act establishes that the
    necessity requirement insures that a medical professional has made a particularized
    determination of medical relevance before harassing a patient about firearm ownership. See
    Wollschlaeger v. Governor of Fla., 
    814 F.3d 1159
    , 1181 (11th Cir. 2015), vacated, 649 F. App’x
    647 (11th Cir. 2016). Like the rest of the Act, this provision merely obliges health-care
    providers to focus on providing medical care of the highest quality in the exam room rather than
    pursuing some other agenda. See 
    id. at 1182.
    Even in the First Amendment context, we do not
    require “perfect clarity and precise guidance.” Ward v. Rock Against Racism, 
    491 U.S. 781
    , 794,
    
    109 S. Ct. 2746
    , 2755, 
    104 L. Ed. 2d 661
    (1989). I would find that the anti-harassment provision
    is sufficiently clear that a person of ordinary intelligence would understand what it forbids. That
    is all the clarity the constitution requires.
    70
    Case: 12-14009    Date Filed: 02/16/2017   Page: 71 of 90
    Speech Clause. I also agree that rational basis review is inapplicable here for
    largely the same reasons ably outlined by majority opinion. However, by declining
    to elucidate and apply a particularized standard of review, the majority missed a
    critical opportunity to provide much needed doctrinal clarification in the wake of
    the Supreme Court’s recent decision in Reed v. Town of Gilbert, Ariz., —U.S.—,
    
    135 S. Ct. 2218
    , 
    192 L. Ed. 2d 236
    (2015). Given the uncertainty introduced by
    Reed, I write separately to lay out what is, in my view, the logical path forward for
    First Amendment doctrine.
    To understand Reed’s pernicious and far reaching effects, I first provide a
    brief overview of Free Speech principles as they existed prior to the decision. As
    any fledgling lawyer quickly realizes during bar preparation, the judicial approach
    to the Free Speech Clause notably emphasizes categorization, with each category
    designed to address the unique legal considerations posed by a specific form of
    speech. See Rodney A. Smolla, Professional Speech and the First Amendment,
    
    119 W. Va. L
    . Rev. 67, 82–84 (2016); Kovacs v. Cooper, 
    336 U.S. 77
    , 97, 69 S.
    Ct. 448, 459, 
    93 L. Ed. 513
    (1949) (Jackson, J., concurring) (summarizing the
    numerous jurisprudential labels deployed in service of protecting speech under the
    First Amendment by noting that “[t]he moving picture screen, the radio, the
    newspaper, the handbill, the sound truck and the street corner orator have differing
    natures, values, abuses and dangers. Each, in my view, is a law unto itself”). But
    71
    Case: 12-14009    Date Filed: 02/16/2017   Page: 72 of 90
    despite its apparent complexity, the myriad categories of contemporary First
    Amendment jurisprudence are united by a common focus on distinguishing
    regulations that target speech based on content from those that do not. See, e.g., 1
    Rodney A. Smolla, Smolla and Nimmer on Freedom of Speech, § 2:66 (2016).
    As a general rule, if the government seeks to regulate speech based on
    content, “the usual presumption of constitutionality afforded congressional
    enactments is reversed; content-based regulations are presumptively invalid under
    the First Amendment.” 16A Am. Jur. 2d Constitutional Law § 476 (2016). See
    also One World One Family Now v. City of Miami Beach, 
    175 F.3d 1282
    , 1286
    (11th Cir. 1999) (explaining that government regulations that discriminate against
    protected speech based on content are subject to strict scrutiny). The Supreme
    Court justified this intense level of scrutiny on two theoretical grounds. First,
    content-based regulations of speech threaten the existence of “an uninhibited
    marketplace of ideas in which truth will ultimately prevail.” McCullen v. Coakley,
    —U.S.—, 
    134 S. Ct. 2518
    , 2529, 
    189 L. Ed. 2d 502
    (2014) (quotations omitted).
    Indeed, these regulations “raise[] the specter that the Government may effectively
    drive certain ideas or viewpoints from the marketplace” altogether. Davenport v.
    Washington Educ. Ass’n, 
    551 U.S. 177
    , 188, 
    127 S. Ct. 2372
    , 2381, 
    168 L. Ed. 2d 72
                  Case: 12-14009       Date Filed: 02/16/2017      Page: 73 of 90
    71 (2007) (quotations and citation omitted). 4 Second, content-based regulations of
    speech suggest that the government may act out of “hostility—or favoritism—
    towards the underlying message expressed.” R.A.V. v. St. Paul, 
    505 U.S. 377
    , 386,
    
    112 S. Ct. 2538
    , 2545, 
    120 L. Ed. 2d 305
    (1992).                    Under our system of
    government, this assessment is simply not one appropriate “for the government to
    make . . . [because] civic discourse belongs to the people.” Citizens United v.
    Federal Election Comm’n, 
    558 U.S. 310
    , 372, 
    130 S. Ct. 876
    , 917, 
    175 L. Ed. 2d 753
    (2010).
    On the other hand, content neutral regulations likely fail to directly implicate
    such core First Amendment concerns, and so, “strict scrutiny is [typically]
    unwarranted.” 
    Davenport, 551 U.S. at 188
    , 127 S. Ct. at 2381. Instead, courts
    usually subject content neutral regulations to intermediate scrutiny. See, e.g.,
    Turner Broad. Sys., Inc. v. F.C.C., 
    512 U.S. 622
    , 662, 
    114 S. Ct. 2445
    , 2469, 129
    4
    Although I do not deny that the Supreme Court long described the policy goal at the
    heart of the First Amendment as protecting the free marketplace of ideas, I wonder whether we
    have carried that ideal too far. As many commentators have noted, a flurry of recent First
    Amendment cases relying on this language has effectively constitutionalized the market-based
    ideology underlying neoliberalism.        See Jedediah Purdy, Neoliberal Constitutionalism:
    Lochnerism for a New Economy, 77 Law & Contemp. Probs. 175, 198 (2014) (explaining the
    close parallel between a neoliberal conception of individual freedom concentrating on “making
    consumption decisions, and deciding how to spend money more generally to advance one’s
    preferences” and the First Amendment). This market-based approach to the First Amendment
    effectively obliterates the classic distinction between heavily-protected political speech and
    other, lesser forms of expressive activity, like consumer spending. 
    Id. By conceptualizing
    the
    First Amendment as unique protection for a “marketplace of ideas,” we implicitly accept that no
    real distinction exists between politics and markets, and so our ideas of freedom are
    interchangeable between these two spheres. 
    Id. at 202.
    I admit to serious personal qualms
    regarding constitutionalizing any particular ideological framework, but I hope the alternative
    doctrinal framework I suggest infra satisfactorily resolves this creeping problem.
    73
    Case: 12-14009    Date Filed: 02/16/2017   Page: 74 of 
    90 L. Ed. 2d 497
    (1994); Bell v. City of Winterpark, Fla., 
    745 F.3d 1318
    , 1322 (11th
    Cir. 2014). Under this level of scrutiny, courts sustain content neutral regulations
    if they “further[] an important or substantial governmental interest; if the
    governmental interest is unrelated to the suppression of free expression; and if the
    incidental restriction on alleged First Amendment freedoms is no greater than is
    essential to the furtherance of that interest.” United States v. O’Brien, 
    391 U.S. 367
    , 377, 
    88 S. Ct. 1673
    , 1679, 
    20 L. Ed. 2d 672
    (1968).
    Under our precedent, the test for content neutrality turns on “‘whether the
    government has adopted a regulation of speech because of disagreement with the
    message it conveys. The government’s purpose is the controlling consideration.’”
    
    Bell, 745 F.3d at 1322
    n.6 (quoting Ward v. Rock Against Racism, 
    491 U.S. 781
    ,
    791, 
    109 S. Ct. 2746
    , 2754, 
    104 L. Ed. 2d 661
    (1989)). A regulation is content
    neutral as long as it “serves purposes unrelated to the content of expression” even
    if the regulation imposes incidental effects on particular speakers or messages.
    
    Ward, 491 U.S. at 791
    , 109 S. Ct. at 2754. In short, regulation of expressive
    activity protected under the First Amendment is content neutral if the regulation is
    “‘justified without reference to the content of the regulated speech.’” 
    Id. (emphasis original)
    (quoting Clark v. Community For Creative Non-Violence, 
    468 U.S. 288
    ,
    293, 
    104 S. Ct. 3065
    , 3069, 
    82 L. Ed. 2d 221
    (1984)). Given the significantly less
    74
    Case: 12-14009   Date Filed: 02/16/2017    Page: 75 of 90
    stringent scrutiny that content neutral regulations receive, this initial determination
    plays a critical role in the survival of a law challenged under the First Amendment.
    On its face, Reed announced a sea change in the traditional test for content
    neutrality under the First Amendment, and, in the process, expanded the number of
    previously permissible regulations now presumptively invalid under strict scrutiny.
    In Reed, the Supreme Court explained that “[g]overnment regulation of speech is
    content based if a law applies to particular speech because of the topic discussed or
    the idea or message expressed.” 
    Reed, 135 S. Ct. at 2227
    . Under this new
    approach to content neutrality, the reviewing court must “consider whether a
    regulation of speech ‘on its face’ draws distinctions based on the message a
    speaker conveys.” 
    Id. (quoting Sorrell
    v. IMS Health Inc., —U.S.—, 
    131 S. Ct. 2653
    , 2664, 
    180 L. Ed. 2d 544
    (2011)). Courts subject regulations that facially
    discriminate against speech on the basis of content to strict scrutiny, “regardless of
    the government’s benign motive, content-neutral justification, or lack of ‘animus
    toward the ideas contained’ in the regulated speech.”          
    Id. at 2228
    (quoting
    Cincinnati v. Discovery Network, Inc., 
    507 U.S. 410
    , 429, 
    113 S. Ct. 1505
    , 1516,
    
    123 L. Ed. 2d 99
    (1993). Courts consider even facially neutral regulations content-
    based if they cannot be “justified without reference to the content of the regulated
    speech.” 
    Id. 75 Case:
    12-14009    Date Filed: 02/16/2017   Page: 76 of 90
    The concurring Justices in Reed noted the astonishing breadth of this newly
    announced standard for identifying content-based regulations and its potential to
    greatly expand the number of laws subjected to presumptive invalidity under strict
    scrutiny. 
    Id. at 2235
    (Breyer, J., concurring) (expressing concern that the new rule
    announced in Reed will unavoidably result in “the application of strict scrutiny to
    all sorts of justifiable governmental regulations”);     
    Id. at 2239
    (Kagan, J.,
    concurring) (arguing that the majority approach in Reed forces lower courts to
    “strike down [reasonable] democratically enacted local laws even though no one—
    certainly not the majority—has ever explained why the vindication of First
    Amendment values requires that result.”). The experiences of our sister circuits
    show these Justices’ concerns were well founded.           See Norton v. City of
    Springfield, Ill., 
    806 F.3d 411
    , 412–13 (7th Cir. 2015) (granting a petition for
    rehearing and reversing the prior panel decision based on Reed’s expansive new
    understanding of the types of regulations appropriately subjected to strict scrutiny
    due to discrimination based on content); Cahaly v. Larosa, 
    796 F.3d 399
    , 404–05
    (4th Cir. 2015) (outlining Reed’s abrogation of the Fourth Circuit’s previous
    understanding of content neutrality and applying strict scrutiny to a law regulating
    robocalls in South Carolina). In my view, the First Amendment trajectory created
    by the Reed majority carries with it the dangerous potential to legitimize judicial
    interference in the implementation of reasonable, democratically enacted laws. In
    76
    Case: 12-14009     Date Filed: 02/16/2017   Page: 77 of 90
    my view, the First Amendment does not require such rigorous interventionism, so I
    outline an alternative path—one that both effectuates core First Amendment values
    and avoids excessive judicial interference in the everyday process of government.
    Established First Amendment doctrine offers lower courts many
    opportunities to narrow Reed’s scope via cordoning speech into particular
    jurisprudential categories subject to less intensive forms of judicial review. See,
    e.g., Note, Free Speech Doctrine after Reed v. Town of Gilbert, 129 Harv. L. Rev.
    1981, 1987 (2016) (outlining available strategies for lower courts to limit Reed’s
    destabilizing influence on First Amendment jurisprudence). Many of our sister
    courts availed themselves of those very opportunities. See, e.g., United States v.
    Swisher, 
    811 F.3d 299
    , 313 (9th Cir. 2016) (noting that certain “traditional
    categories of content-based restrictions that are not subject to strict scrutiny under
    the First Amendment”); Expressions Hair Design v. Schneiderman, 
    808 F.3d 118
    ,
    131–32 (2d Cir. 2015) (relying on the threshold distinction between speech and
    conduct not implicated by Reed to find that a challenged law regulated only
    conduct, not speech, and thus failed to trigger constitutional scrutiny under the
    First Amendment); In re Tam, 
    808 F.3d 1321
    , 1337–39 (Fed. Cir. 2015) (en banc)
    (emphasizing the critical importance of categorizing speech as commercial for
    purposes of avoiding the application of strict scrutiny); CTIA–The Wireless
    Association v. City of Berkeley, Cal., 
    193 F. Supp. 3d 1048
    , 1061 (N.D. Cal. 2015)
    77
    Case: 12-14009       Date Filed: 02/16/2017      Page: 78 of 90
    (noting that “the Supreme Court has clearly made a distinction between
    commercial speech and noncommercial speech . . . and nothing in its recent
    opinions, including Reed, even comes close to suggesting that that well-established
    distinction is no longer valid”).5 Indeed, a long-standing hallmark of our approach
    to the First Amendment recognizes that
    our society, like other free but civilized societies, has permitted
    restrictions upon the content of speech in a few limited areas, which
    are “of such slight social value as a step to truth that any benefit that
    may be derived from them is clearly outweighed by the social interest
    in order and morality.”
    
    R.A.V., 505 U.S. at 382
    –83, 112 S. Ct. at 2542–43 (quoting Chaplinsky v. New
    Hampshire, 
    315 U.S. 568
    , 572, 
    62 S. Ct. 766
    , 762, 
    86 L. Ed. 1031
    (1942)). Given
    this context, it seems likely that courts will increasingly rely on a First Amendment
    “jurisprudence of labels” to avoid Reed’s outcome determinative approach to
    identifying content-based regulations. Pleasant Grove City, Utah v. Summum, 
    555 U.S. 460
    , 484, 
    129 S. Ct. 1125
    , 1140, 
    172 L. Ed. 2d 853
    (2009) (Breyer, J.,
    concurring).
    5
    Courts could also avoid the implications of Reed by applying a watered-down version of
    the traditional presumption of illegitimacy the application of strict scrutiny creates. See 
    Reed, 135 S. Ct. at 2235
    (Breyer, J., concurring). However, this ill-considered approach leads
    inevitably to much greater difficulty in defending the critical rights protected by the First
    Amendment in instances truly warranting strict scrutiny. See 
    id. After all,
    “[s]peech is an
    essential mechanism of democracy . . . [and] a precondition to enlightened self-government.”
    Citizens 
    United, 558 U.S. at 339
    , 130 S. Ct. at 898. Speech deserves the very highest protection
    when the core principles at the heart of the First Amendment face a true threat.
    78
    Case: 12-14009     Date Filed: 02/16/2017     Page: 79 of 90
    While the incredibly broad sweep of Reed troubles me, I am not convinced
    that relying on formalistic line drawing exercises provides the proper solution. In
    my view, as in Justice Breyer’s, “[t]he First Amendment requires greater judicial
    sensitivity both to the Amendment’s expressive objectives and to the public’s
    legitimate need for regulation than [is provided by] a simple recitation of
    categories.” 
    Reed, 135 S. Ct. at 2234
    (Breyer, J., concurring). Rather than relying
    on strict categorical definitions as automatic triggers for particular levels of
    constitutional scrutiny, we should instead embrace an approach focused on the
    values underlying the jurisprudential significance of those categories. See 
    id. Under this
    approach, we determine the appropriate level of scrutiny to apply to a
    challenged regulation by asking “whether the regulation at issue works harm to
    First Amendment interests that is disproportionate in light of the relevant
    regulatory objectives.” 
    Id. at 2235
    –36. Of course, the familiar factors underlying
    First Amendment doctrine guide this inquiry, including “the seriousness of the
    harm to speech, the importance of the countervailing objectives, the extent to
    which the law will achieve those objectives, and whether there are other, less
    restrictive ways of doing so.”      
    Id. at 2236.
       The more directly a challenged
    regulation impinged on speech without adequate reasons for doing so, the higher
    the level of constitutional scrutiny applied to the law.
    79
    Case: 12-14009     Date Filed: 02/16/2017    Page: 80 of 90
    I do not suggest that identifying a regulation as content-based regulation no
    longer serves a purpose in our First Amendment inquiry. But rather than serving
    as an “automatic trigger” for strict scrutiny, it instead acts as a proxy indicating a
    heightened possibility that the government seeks to impermissibly favor a
    particular viewpoint, or otherwise lacks adequate justification for legislative action.
    
    Id. at 2234.
    Under this approach, a more searching analysis of content-based
    regulations remains justifiable, but the mere presence of content discrimination,
    without more, need not warrant a presumption of invalidity under the First
    Amendment. 
    Id. Relying on
    the mere presence of content discrimination as the determinative
    factor for applying strict scrutiny under the First Amendment risks invalidating a
    swath of reasonable government regulations. As Justice Breyer pointed out in
    Reed, “virtually all government activities involve speech, many of which involve
    the regulation of speech. Regulatory programs almost always require content
    discrimination.” 
    Id. at 2234.
    And this problem becomes increasingly pronounced
    given Reed’s dramatic expansion of the traditional test for content neutrality. This
    sliding scale of constitutional scrutiny is undoubtedly more difficult to apply than
    the rote formalism of current First Amendment doctrine.            But this approach
    properly centers our analysis on the relative importance of the First Amendment
    80
    Case: 12-14009    Date Filed: 02/16/2017   Page: 81 of 90
    values implicated by a particular regulation, while preventing undesirable judicial
    interference in the everyday business of government.
    Here, the majority correctly finds that the record-keeping, inquiry, and
    harassment provisions of the challenged Act discriminate against speech based on
    content.   But under the doctrinal principles outlined above, only intermediate
    scrutiny is appropriate. As extensively discussed in the prior panel opinion, the
    Act represents Florida’s attempt to regulate a very specific part of the relationship
    between medical professional and patient. See Wollschlaeger v. Governor of Fla.,
    
    814 F.3d 1159
    , 1167–68 (11th Cir. 2015), vacated, 649 F. App’x 647 (11th Cir.
    2016). It does not prevent medical professionals from speaking publicly about
    firearms, nor does it prevent medical professionals from speaking privately to
    patients about firearms so long as the physician determined in good faith the
    relevancy of such discussion to the patient’s medical care, safety, or the safety of
    others. The Act’s narrow restrictions specifically relate to the provision of medical
    care, and, as such, avoid implicating the core values the First Amendment is
    designed to protect.
    States traditionally possessed the authority to establish the bounds of good
    medical practice. See, e.g., Gonzales v. Oregon, 
    546 U.S. 243
    , 271, 
    126 S. Ct. 904
    ,
    923, 
    163 L. Ed. 2d 748
    (2006) (noting that “regulation of health and safety is
    primarily, and historically, a matter of local concern” (quotations omitted)). Two
    81
    Case: 12-14009     Date Filed: 02/16/2017    Page: 82 of 90
    central policy goals underwrite this expansive regulatory authority. First, doctors
    and other medical personnel are professionals, a concept that presupposes the
    existence of a code of behavior and some element of state control over that code in
    order to “safeguard[] the interests of the public who partake in . . . professional
    services.” Smolla, Professional Speech and the First Amendment, supra at 100.
    Second, medical professionals are fiduciaries of their patients, and like other
    fiduciaries, typically possess “superior knowledge, expertise, experience, and
    stature in relation to the client that inherently places the professional in a position
    of superior leverage and influence.” 
    Id. This substantial
    imbalance of power,
    coupled with the need for patients to defer to their doctor during treatment
    logically necessitates state regulation of the medical profession to protect patients
    from the significant potential abuse that exists both within a specific fiduciary
    relationship and more broadly within the medical profession itself.
    Of course, as extensively described in the panel opinion, not all speech by
    medical professionals implicates these strong state interests in regulation. See
    
    Wollschlaeger, 814 F.3d at 1186
    –92. Common sense tells us that “[t]here is a
    difference, for First Amendment purposes, between regulating professionals’
    speech to the public at large versus their direct, personalized speech with clients.”
    Locke v. Shore, 
    634 F.3d 1185
    , 1191 (11th Cir. 2011). In situations where a doctor
    speaks on political matters outside of her professional expertise, the usual
    82
    Case: 12-14009     Date Filed: 02/16/2017    Page: 83 of 90
    justifications for stringent state regulation of medical professionals are nonexistent.
    See Pickup v. Brown, 
    740 F.3d 1208
    , 1227–28 (11th Cir. 2013) (noting that
    “outside the doctor-patient relationship, doctors are constitutionally equivalent to
    soapbox orators and pamphleteers, and their speech receives robust protection
    under the First Amendment”). In other situations, a doctor may speak to her
    patient within the confines of their existing fiduciary relationship, but regarding a
    matter not pertaining to medical care. Although not directly related to the doctor’s
    duty as a professional, this form of speech still implicates the state’s interest in
    insuring that the fiduciary relationship between doctors and patients avoids
    exploitation, and, accordingly, the doctor’s speech is subject to less stringent First
    Amendment protection than would apply to her public speech on matters of
    general political interest. See Goldfarb v. Virginia State Bar, 
    421 U.S. 773
    , 792,
    
    95 S. Ct. 2004
    , 2016, 
    44 L. Ed. 2d 572
    (1975) (explaining that the state’s interest
    in public health and safety generates a “broad power to establish standards for
    licensing practitioners and regulating the practice of professions”); 
    Wollschlaeger, 814 F.3d at 1187
    –88.
    The challenged Act directly regulates speech between a medical professional
    and a patient on matters relevant to the provision of appropriate medical care. This
    form of speech implicates the state’s exceedingly strong regulatory interest in both
    ensuring that doctors maintain proper professional standards and the state
    83
    Case: 12-14009   Date Filed: 02/16/2017   Page: 84 of 90
    adequately protects patients in their dealings with medical professionals. See, e.g.,
    Thomas v. Collins, 
    323 U.S. 516
    , 545, 
    65 S. Ct. 315
    , 329, 
    89 L. Ed. 430
    (1945)
    (Jackson, J., concurring) (noting the duty on the part of the state to “shield[ ] the
    public against the untrustworthy, the incompetent, or the irresponsible”
    professional); Twin-Lick Oil Co. v. Marbury, 
    91 U.S. 587
    , 588–89, 
    23 L. Ed. 328
    (1875) (recognizing the traditional ability of the law to regulate fiduciary
    relationships as a doctrine founded on “the soundest morality”). Undoubtedly, as
    the majority identifies, the Act discriminates based on content. But, this simple
    categorization, standing alone, insufficiently justifies the presumption of
    constitutional infirmity accompanying the application of strict scrutiny. The fact
    that the Act discriminates based on content is simply a helpful, but not dispositive,
    legal tool. See 
    Reed, 135 S. Ct. at 2235
    (Breyer, J., dissenting). Balancing the
    First Amendment risks posed by allowing content discrimination against the
    longstanding tradition of government regulation of medical professionals engaged
    in practice suggests that we should apply intermediate, rather than strict, scrutiny
    to the Act.
    Relevant Supreme Court precedent buttresses this imminently sensible
    conclusion. For example, in cases where a professional generally speaks to the
    public on a matter unrelated to his profession, the state lacks a particularized
    justification for regulating the content of that speech. Accordingly, the Supreme
    84
    Case: 12-14009      Date Filed: 02/16/2017    Page: 85 of 90
    Court subjected content-based government regulations in that area to strict
    constitutional scrutiny. See, e.g., City of Madison Joint Sch. Dist. No. 8 v. Wis.
    Emp’t. Relations Comm’n, 
    429 U.S. 167
    , 176, 
    97 S. Ct. 421
    , 426, 
    50 L. Ed. 2d 376
    (1976) (explaining that “[the government] may not ... discriminate between
    speakers on the basis of their employment. . . .”).
    On the other hand, when a professional speaks to the public on an issue
    related to the practice of her profession, the state’s traditional regulatory interest in
    managing the professions come into play.           Correspondingly, courts typically
    subject content-based speech regulations in that context to intermediate scrutiny.
    See Ohralik v. Ohio State Bar Ass’n, 
    436 U.S. 447
    , 456, 
    98 S. Ct. 1912
    , 1918, 
    56 L. Ed. 2d 444
    (1978) (concluding that this form of speech deserves a less searching
    form of constitutional scrutiny because of the longstanding state regulation of this
    type of expressive content).      Based on the same tradition of regulation, the
    Supreme Court concluded that content discriminatory regulations of speech that
    occur in the context of a doctor discussing the risks of abortion and child birth with
    a patient merit heightened, rather than strict, scrutiny. See Planned Parenthood of
    Se. Pa. v. Casey, 
    505 U.S. 833
    , 884, 
    112 S. Ct. 2791
    , 2824, 
    120 L. Ed. 2d 674
    (1992) (joint opinion).
    As the panel opinion explained, the Supreme Court’s pattern of decisions, at
    least prior to Reed, form a clear trend:
    85
    Case: 12-14009    Date Filed: 02/16/2017   Page: 86 of 90
    When the State seeks to impose content-based restrictions on speech
    in a context in which its regulatory interests are diminished, such as
    when a professional speaks to the public in a nonprofessional
    capacity, courts apply the most exacting scrutiny. When the State
    seeks to regulate speech by professionals in a context in which the
    State’s interest in regulating for the protection of the public is more
    deeply rooted, a lesser level of scrutiny applies.
    
    Wollschlaeger, 814 F.3d at 1191
    . In light of the confusion Reed introduced into
    this already complex area of legal doctrine, we should hold that government
    regulations involving professional speech within a fiduciary relationship are
    subject only to intermediate scrutiny under the First Amendment. Otherwise, we
    risk continuing confusion among state legislatures over which previously
    acceptable regulations Reed rendered presumptively unconstitutional.
    Although I respectfully disagree with the determination that the challenged
    regulation fails heightened scrutiny—or, as I refer to it here, intermediate
    scrutiny—I refrain from fully retracing the exhaustive analysis to that effect
    outlined in the panel opinion. See 
    Wollschlaeger, 824 F.3d at 1192
    –02. Instead, I
    wish to merely reiterate my continuing belief that the Act before us fails to
    represent an attempt to “drive certain ideas or viewpoints from the marketplace” or
    otherwise impermissibly manipulate public discussion under the guise of
    regulation. Simon & Schuster, Inc. v. Members of the N.Y. State Crime Victims
    Bd., 
    502 U.S. 105
    , 116, 
    112 S. Ct. 501
    , 508, 
    116 L. Ed. 2d 476
    (1991). Instead, the
    Act merely
    86
    Case: 12-14009    Date Filed: 02/16/2017   Page: 87 of 90
    codifies the commonsense conclusion that good medical care does not
    require inquiry or record-keeping regarding firearms when
    unnecessary to a patient’s care—especially not when that inquiry or
    record-keeping constitutes such a substantial intrusion upon patient
    privacy—and that good medical care never requires the discrimination
    [against] or harassment of firearm owners.
    
    Wollschlaeger, 814 F.3d at 1168
    .
    The majority and I agree that Florida possesses a substantial interest in
    protecting both Floridians’ reasonable expectation of privacy during medical
    treatment and the full exercise of their Second Amendment rights. If that is so,
    then it is hard to imagine a law more precisely tailored to advance those substantial
    state interests than the one presently before us. The Act does not categorically
    restrict the speech of medical professionals on the subject of firearms. Instead, it
    simply requires an individualized, good faith judgment of the necessity of speech
    related to firearm ownership to provide competent medical care to a patient. The
    individualized assessment of medical appropriateness required under the Act does
    not foreclose the ability of a physician to question a patient, but instead carefully
    weighs that right against Florida’s undoubtedly substantial interest in regulating
    the medical profession to protect the constitutional rights of all Floridians. In my
    judgment, the Act “narrowly protects patients in a focused manner in order to
    advance the State’s compelling interest in protecting the Second Amendment’s
    guarantee to keep and bear arms and patients’ privacy rights in their medical
    records, exactly the sort of tailoring [even] strict scrutiny requires.” 
    Id. at 1201.
    87
    Case: 12-14009   Date Filed: 02/16/2017   Page: 88 of 90
    Therefore, I respectfully dissent from my colleagues’ judgment that the First
    Amendment requires us to declare Florida’s well-considered legislative judgment
    unconstitutional.
    88
    Case: 12-14009    Date Filed: 02/16/2017   Page: 89 of 90
    APPENDIX
    Fla. Stat. § 790.338. Medical privacy concerning firearms; prohibitions; penalties;
    exceptions
    (1) A health care practitioner licensed under chapter 456 or a health care facility
    licensed under chapter 395 may not intentionally enter any disclosed information
    concerning firearm ownership into the patient’s medical record if the practitioner
    knows that such information is not relevant to the patient’s medical care or safety,
    or the safety of others.
    (2) A health care practitioner licensed under chapter 456 or a health care facility
    licensed under chapter 395 shall respect a patient’s right to privacy and should
    refrain from making a written inquiry or asking questions concerning the
    ownership of a firearm or ammunition by the patient or by a family member of the
    patient, or the presence of a firearm in a private home or other domicile of the
    patient or a family member of the patient. Notwithstanding this provision, a health
    care practitioner or health care facility that in good faith believes that this
    information is relevant to the patient’s medical care or safety, or the safety of
    others, may make such a verbal or written inquiry.
    (3) Any emergency medical technician or paramedic acting under the supervision
    of an emergency medical services medical director under chapter 401 may make an
    inquiry concerning the possession or presence of a firearm if he or she, in good
    faith, believes that information regarding the possession of a firearm by the patient
    or the presence of a firearm in the home or domicile of a patient or a patient’s
    family member is necessary to treat a patient during the course and scope of a
    medical emergency or that the presence or possession of a firearm would pose an
    imminent danger or threat to the patient or others.
    (4) A patient may decline to answer or provide any information regarding
    ownership of a firearm by the patient or a family member of the patient, or the
    presence of a firearm in the domicile of the patient or a family member of the
    patient. A patient’s decision not to answer a question relating to the presence or
    ownership of a firearm does not alter existing law regarding a physician’s
    authorization to choose his or her patients.
    (5) A health care practitioner licensed under chapter 456 or a health care facility
    licensed under chapter 395 may not discriminate against a patient based solely
    89
    Case: 12-14009    Date Filed: 02/16/2017   Page: 90 of 90
    upon the patient’s exercise of the constitutional right to own and possess firearms
    or ammunition.
    (6) A health care practitioner licensed under chapter 456 or a health care facility
    licensed under chapter 395 shall respect a patient’s legal right to own or possess a
    firearm and should refrain from unnecessarily harassing a patient about firearm
    ownership during an examination.
    (7) An insurer issuing any type of insurance policy pursuant to chapter 627 may
    not deny coverage, increase any premium, or otherwise discriminate against any
    insured or applicant for insurance on the basis of or upon reliance upon the lawful
    ownership or possession of a firearm or ammunition or the lawful use or storage of
    a firearm or ammunition. Nothing herein shall prevent an insurer from considering
    the fair market value of firearms or ammunition in the setting of premiums for
    scheduled personal property coverage.
    (8) Violations of the provisions of subsections (1)–(4) constitute grounds for
    disciplinary action under ss. 456.072(2) and 395.1055.
    90
    

Document Info

Docket Number: 12-14009

Filed Date: 2/16/2017

Precedential Status: Precedential

Modified Date: 2/17/2017

Authorities (99)

Frazier Ex Rel. Frazier v. Winn , 535 F.3d 1279 ( 2008 )

American Booksellers v. James Webb , 919 F.2d 1493 ( 1990 )

American Civil Liberties Union and Larry Schack v. The ... , 999 F.2d 1486 ( 1993 )

Cheffer v. Reno , 55 F.3d 1517 ( 1995 )

Falanga v. State Bar of Georgia , 150 F.3d 1333 ( 1998 )

Martha Burk v. Augusta-Richmond County , 365 F.3d 1247 ( 2004 )

Coral Springs Street Systems, Inc. v. City of Sunrise , 371 F.3d 1320 ( 2004 )

Wilson v. State Bar of Georgia , 132 F.3d 1422 ( 1998 )

Harrell v. the Florida Bar , 608 F.3d 1241 ( 2010 )

American Civil Liberties Union of Florida, Inc. v. Miami-... , 557 F.3d 1177 ( 2009 )

Harris v. Mexican Specialty Foods, Inc. , 564 F.3d 1301 ( 2009 )

FLANIGAN'S ENTERPRISES, INC. v. Fulton County, Ga. , 596 F.3d 1265 ( 2010 )

Locke v. Shore , 634 F.3d 1185 ( 2011 )

One World One Family Now v. City of Miami Beach , 175 F.3d 1282 ( 1999 )

DeAngelis v. El Paso Municipal Police Officers Ass'n , 51 F.3d 591 ( 1995 )

international-society-for-krishna-consciousness-of-atlanta-v-reginald , 601 F.2d 809 ( 1979 )

DeJohn v. Temple University , 537 F.3d 301 ( 2008 )

Kingsville Independent School District, a Municipal ... , 611 F.2d 1109 ( 1980 )

david-warren-saxe-student-doe-1-by-and-through-his-next-friend-david , 240 F.3d 200 ( 2001 )

54-fair-emplpraccas-1287-55-empl-prac-dec-p-40461-maureen-e , 922 F.2d 139 ( 1990 )

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