In Re: Ken Paxton ( 2022 )


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  • Case: 22-50882     Document: 00516544612         Page: 1     Date Filed: 11/14/2022
    United States Court of Appeals
    for the Fifth Circuit
    No. 22-50882
    In re Ken Paxton,
    Petitioner.
    Petition for a Writ of Mandamus
    to the United States District Court
    for the Western District of Texas
    USDC No. 1:22-CV-859
    Before Higginbotham, Duncan, and Wilson, Circuit Judges.
    Stuart Kyle Duncan, Circuit Judge:
    Believing Texas intends to enforce its abortion laws to penalize their
    out-of-state actions, Plaintiffs sued Texas Attorney General Ken Paxton.
    Paxton moved to dismiss the suit for lack of subject matter jurisdiction.
    Plaintiffs then issued subpoenas to obtain Paxton’s testimony. Paxton moved
    to quash the subpoenas, which the district court initially granted. On
    reconsideration, however, the district court changed course, denied the
    motion, and ordered Paxton to testify either at a deposition or evidentiary
    hearing. Paxton petitioned our court for a writ of mandamus to shield him
    from the district court’s order. We conclude the district court clearly erred
    by not first ensuring its own jurisdiction and also by declining to quash the
    subpoenas. We therefore grant the writ.
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    No. 22-50882
    I.
    Plaintiffs are organizations that pay for abortions and an abortion
    provider (collectively, “Plaintiffs”). They sued Paxton and other officials,
    claiming the anticipated enforcement of Texas’s abortion laws violates their
    First Amendment rights and their right to interstate travel.1 Primarily, they
    seek to enjoin the enforcement of these laws “for any behavior undertaken
    by Plaintiffs in connection with any abortion that occurs outside the state of
    Texas[.]” Paxton promptly moved to dismiss the suit for lack of subject
    matter jurisdiction, arguing that he is entitled to sovereign immunity and that
    Plaintiffs lack standing.
    Before the district court ruled on Paxton’s motion to dismiss,
    Plaintiffs separately subpoenaed Paxton in his official and individual
    capacities. They contended they were entitled to examine Paxton personally
    to clarify his power to enforce the challenged laws because his public
    statements—including official advisories, campaign statements, and
    tweets—allegedly contradicted his court filings on that point. Paxton moved
    to quash the subpoenas, and the district court granted the motion. Plaintiffs
    then moved for reconsideration.
    On reconsideration, the district court changed course and ruled
    Plaintiffs had shown the “exceptional circumstances” necessary to subpoena
    a high-level official like Paxton. The court thought Paxton’s testimony was
    necessary because he “possesses unique, first-hand knowledge” about his
    intentions to enforce the challenged laws. His intentions were relevant, the
    1
    Plaintiffs challenge both Texas’s pre-Roe prohibition on abortion, see Tex. Rev. Civ.
    Stat. art. 4512–.2, .6, as well as the Human Life Protection Act (HLPA), Tex. Health &
    Safety Code ch. 170A, which was enacted in 2021 and became effective upon the overruling of
    Roe v. Wade, 
    410 U.S. 113
     (1973). See Dobbs v. Jackson Women’s Health Org., 
    142 S. Ct. 2228
    , 2242
    (2022) (overruling Roe).
    2
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    court continued, because Paxton had simultaneously publicly promised to
    enforce the laws while arguing in court that he lacked the authority to do so.
    Having “inserted himself into this dispute by repeatedly tweeting and giving
    interviews about [the challenged laws],” the court concluded that “Paxton
    alone is capable of explaining his thoughts and statements.”
    The court also determined that testifying would not unduly burden
    Paxton. While recognizing that high-level officials have significant duties, the
    court stated: “It is challenging to square the idea that Paxton has time to give
    interviews threatening prosecutions but would be unduly burdened by
    explaining what he means to the very parties affected by his statements.”
    Paxton’s “many public statements and interviews,” the court thought,
    belied the notion that testifying would burden his time.
    Accordingly, the district court reversed its initial decision, denied the
    motion to quash, and ordered Paxton “to meaningfully confer on or before
    October 11, 2022 to agree on the particulars of Paxton’s testimony, whether
    by deposition or evidentiary hearing.” The court also stayed Plaintiffs’
    deadline to respond to Paxton’s motion to dismiss “pending Paxton’s
    testimony.” That motion remains pending.
    Paxton then petitioned us for a writ of mandamus and a stay of the
    district court’s order. He separately filed an interlocutory appeal, arguing
    that the order constructively denied him sovereign immunity. We granted a
    temporary administrative stay to consider the petition. We now grant it.
    II.
    Federal courts “may issue all writs necessary or appropriate in aid of
    their respective jurisdictions and agreeable to the usages and principles of
    law.” 
    28 U.S.C. § 1651
    (a). One such writ is mandamus, an extraordinary
    remedy used to correct “a judicial usurpation of power” or a “clear abuse of
    discretion.” Cheney v. U.S. Dist. Ct. for D.C., 
    542 U.S. 367
    , 380 (2004)
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    (citations and internal quotation marks omitted). Typically, the writ serves
    as a means of “confining the inferior court to a lawful exercise of its
    prescribed jurisdiction, or of compelling it to exercise its authority when it is
    its duty to do so.” In re Gee, 
    941 F.3d 153
    , 158 (5th Cir. 2019) (per curiam)
    (quoting Ex parte Republic of Peru, 
    318 U.S. 578
    , 583 (1943)).
    Before the writ can issue, three conditions must be met: (1) the
    petitioner must show his right to the writ is clear and indisputable; (2) the
    petitioner must have no other adequate means of obtaining relief; and (3) the
    issuing court must be satisfied in its own discretion that the writ is
    appropriate under the circumstances. Cheney, 
    542 U.S. at
    380–81; In re Gee,
    941 F.3d at 157. Those stringent standards are satisfied here.
    A.
    We turn first to Paxton’s asserted right to relief from the order to
    testify. Our mandamus cases distinguish a court’s discretionary and non-
    discretionary duties. In re Gee, 941 F.3d at 158. For discretionary duties, “a
    clear and indisputable right to the issuance of the writ of mandamus will arise
    only if the district court has clearly abused its discretion, such that it amounts
    to a judicial usurpation of power.” Id. at 158–59 (quoting In re First S. Sav.
    Ass’n, 
    820 F.2d 700
    , 707 (5th Cir. 1987)). By contrast, violating a non-
    discretionary duty necessarily creates a clear right to relief because the court
    lacked authority to deviate from that duty. 
    Ibid.
    Paxton argues he has a right to relief under each basis. He contends
    the district court violated a non-discretionary duty to ensure its own
    jurisdiction by failing to rule first on his motion to dismiss. Paxton also argues
    the court abused its discretion by denying his motion to quash. We address
    argument each in turn.
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    1.
    “A district court’s obligation to consider a challenge to its jurisdiction
    is non-discretionary.” In re Gee, 941 F.3d at 159. An appropriate jurisdictional
    challenge triggers a “duty of making further inquiry as to [the court’s] own
    jurisdiction.” Ibid. (quoting Opelika Nursing Home, Inc. v. Richardson, 
    448 F.2d 658
    , 666 (5th Cir. 1971)). Paxton raised such a challenge by moving to
    dismiss for lack of jurisdiction on both standing and sovereign immunity
    grounds, well before Plaintiffs subpoenaed him. The district court failed to
    rule on that motion before refusing to quash the subpoenas. Indeed, in the
    same order compelling Paxton to testify, the court stayed Plaintiffs’ deadline
    to respond to the motion to dismiss “pending Paxton’s testimony.”
    A court has a fundamental duty to examine its jurisdiction. The
    district court’s failure to do so here extends beyond a “mere jurisdictional
    error” or “mere failure to spot a jurisdictional issue.” Id. at 159. Indeed, the
    district court’s order explicitly postpones Paxton’s assertion of sovereign
    immunity pending his deposition. But sovereign immunity provides
    immunity from suit, not mere immunity from damages. Russell v. Jones, 
    49 F.4th 507
    , 512 (5th Cir. 2022); see also Ex Parte Ayers, 
    123 U.S. 443
    , 505
    (1887) (“The very object and purpose of the eleventh amendment were to
    prevent the indignity of subjecting a state to the coercive process of judicial
    tribunals at the instance of private parties.”). As such, we have vacated the
    perfunctory denial of a motion to dismiss predicated on sovereign immunity
    and remanded for consideration of the motion before any further litigation,
    even though the district court preferred to put off the motion until “other
    legal issues were resolved and further discovery was conducted.” Texas v.
    Caremark, Inc., 
    584 F.3d 655
    , 657 (5th Cir. 2009); see also Russell, 49 F.4th at
    514 (“Where sovereign immunity applies, it applies totally. Plaintiffs stop at
    the Rule 12(b)(1) stage and don’t get discovery. They don’t pass go.”).
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    Our recent decision in Carswell v. Camp, 
    37 F.4th 1062
     (5th Cir.
    2022), confirms the district court should have first ruled on Paxton’s
    assertion of immunity.2 There, the plaintiff sought to depose defendants who
    had asserted qualified immunity, relying on the district court’s scheduling
    order that allowed limited discovery “if the plaintiff believes discovery is
    necessary to resolve the [qualified immunity] defense” or if discovery was in
    the defendant’s capacity as a “witness.” 
    Id.
     at 1064–65. While some of our
    cases had previously allowed “narrow” and “careful” discovery prior to
    ruling on immunity “if further factual development is necessary to ascertain
    the availability of [the] defense,” Carswell overruled those precedents. Id. at
    1066 (citations and internal quotation marks omitted). We explained that
    “[t]he Supreme Court has now made clear that a plaintiff asserting
    constitutional claims against an officer must survive the motion to dismiss
    (and the qualified immunity defense) without any discovery.” Ibid. (emphasis
    in original). In so doing, we emphasized that a defendant’s entitlement to
    immunity “should be determined at the earliest possible stage of the
    litigation,” a principle that “admits of no exceptions.” Id. at 1067 (citations
    and internal quotation marks omitted). Accordingly, we held that the district
    court’s scheduling order, which allowed discovery against defendants while
    deferring resolution of their asserted immunity, was an abuse of discretion.
    Id. at 1066.
    Plaintiffs insist Carswell is inapposite because their subpoenas are “to
    obtain hearing testimony,” not discovery, and because Paxton is being called
    as a “witness” with relevant knowledge, not as a party. We disagree. Even
    2
    Carswell addressed qualified immunity but is pertinent here because, like sovereign
    immunity, qualified immunity provides “immunity from suit rather than a mere defense to liability.”
    Pearson v. Callahan, 
    555 U.S. 223
    , 237 (2009) (quoting Mitchell v. Forsyth, 
    472 U.S. 511
    , 526 (1985)).
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    assuming such distinctions make any difference,3 Paxton is a defendant, not
    a third party, and to the extent his statements are relevant to Plaintiffs’
    claims, it is because of his status as a defendant. Moreover, Carswell already
    rejected similar arguments. The plaintiff there brought two sets of claims:
    § 1983 claims against the individual defendants and a Monell claim against the
    county. The plaintiff tried to couch deposing the immunity-asserting
    defendants as obtaining their testimony as “witnesses” for the Monell claim,
    not as defendants for the § 1983 claim. Carswell, 37 F.4th at 1068. We rejected
    this gambit, explaining that it “turn[ed] qualified immunity on its head” by
    opening the defendants to deposition before adjudication of their immunity
    defense. Ibid. So too here.
    Finally, we reject Plaintiffs’ argument that Paxton’s testimony is
    somehow necessary to decide jurisdiction. Whether Paxton may be sued
    under the Ex parte Young exception to sovereign immunity does not turn on
    Paxton’s campaign statements or tweets. Rather, it turns principally on
    whether Paxton “is statutorily tasked with enforcing the challenged law.”
    City of Austin v. Paxton, 
    943 F.3d 993
    , 998 (5th Cir. 2019). The same inquiry
    also informs the standing question. See id. at 1002. In other words, Paxton’s
    jurisdictional defenses can be assessed by reference to Texas law. His
    personal deposition answers are irrelevant.
    The district court had a non-discretionary duty to ascertain its
    jurisdiction by ruling on Paxton’s motion to dismiss before allowing Paxton
    to be subpoenaed. See In re Gee, 941 F.3d at 159. Because the district court
    failed to do so, Paxton has a clear right to relief.
    3
    But see Russell, 49 F.4th at 515 (holding sovereign immunity barred subpoenas even against
    third-party judges because subpoenas are a “coercive judicial process” that “issue under the court’s
    authority and are enforced by court order”).
    7
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    2.
    Apart from the jurisdictional question, the district court also clearly
    abused its discretion by refusing to quash the subpoenas. “[E]xceptional
    circumstances must exist before the involuntary depositions of high agency
    officials are permitted.” In re Off. of Inspector Gen., R.R. Ret. Bd., 
    933 F.2d 276
    , 278 (5th Cir. 1991) (per curiam). Before requiring such “apex”
    testimony, courts must consider: (1) the deponent’s high-ranking status;
    (2) the substantive reasons for the deposition; and (3) the potential burden
    the deposition would impose on the deponent. In re FDIC, 
    58 F.3d 1055
    , 1060
    (5th Cir. 1995); see also In re Bryant, 745 F. App’x 215, 218 n.2 (5th Cir. 2018)
    (per curiam). A district court commits a “clear abuse of discretion” when it
    compels apex testimony absent extraordinary circumstances. In re FDIC, 58
    F.3d. at 1062. No such circumstances exist here.
    Only the second and third factors are disputed. As for the second
    factor, substantive need, the district court found Paxton’s testimony was
    necessary to clarify his enforcement policy due to purported contradictions
    between his court filings and public statements. It concluded testimony was
    needed from Paxton himself because he had “unique, first-hand knowledge”
    from “ha[ving] inserted himself into this dispute by repeatedly tweeting and
    giving interviews about the [challenged law].” “Paxton alone,” the district
    court thought, could “explain[] his thoughts and statements.” We disagree.
    The district court ignored the rationale for limiting apex testimony to
    exceptional circumstances. High-ranking officials—state attorneys general
    being the paradigm case—are often drawn into lawsuits. They cannot
    perform their duties if they are not personally shielded from the burdens of
    litigation. In re Bryant, 745 F. App’x at 220–21; see also In re Stone, 
    986 F.2d 898
    , 904 (5th Cir. 1993) (per curiam) (“Obviously, high-ranking officials of
    cabinet agencies could never do their jobs if they could be subpoenaed for
    8
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    every case involving their agency.”). Accordingly, a “key aspect” of the
    analysis “is whether the [sought after] information . . . can be obtained from
    other witnesses.” In re Bryant, 745 F. App’x at 221. Where it can, apex
    testimony is justified only in the “rarest of cases.” In re FDIC, 58 F.3d at
    1062. This is not one of those rare cases.
    The district court conceded the “plain fact that lawyers at the
    Attorney General’s Office may articulate the Office’s [enforcement]
    policies.” So, by the court’s own admission, if there is a need to clarify the
    office’s enforcement policy, a representative can do so on the Attorney
    General’s behalf. The court nonetheless treated Paxton as having unique
    information merely because he made public statements about a matter that
    later became the subject of litigation. That does not follow. Paxton’s personal
    “thoughts and statements” have no bearing on his office’s legal authority to
    enforce Texas’s abortion laws or any other law. To accept the district court’s
    position would undermine the exceptional circumstances test. It is entirely
    unexceptional for a public official to comment publicly about a matter of
    public concern. If doing so imparts unique knowledge, high-level officials will
    routinely have to testify.
    Similarly, the district court erred in holding that compelling Paxton’s
    testimony would not unduly burden him. The court reasoned that if Paxton
    has time to give public statements, he has time to testify: “It is challenging to
    square the idea that Paxton has time to give interviews threatening
    prosecutions but would be unduly burdened by explaining what he means to
    the very parties affected by his statements.” Again, this reasoning would
    eviscerate the exceptional circumstances test. “High ranking government
    officials have greater duties and time constraints than other witnesses.” In re
    United States, 
    985 F.2d 510
    , 512 (11th Cir. 1993) (per curiam). Those duties
    often involve communicating with the public on matters of public interest.
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    The fact that a high-ranking official talks to his constituents does not ipso facto
    mean he also has ample free time for depositions.
    In sum, the district court committed a “clear abuse of discretion” by
    finding that exceptional circumstances justified ordering Paxton to testify. In
    re FDIC, 58 F.3d. at 1062. Paxton has therefore shown a clear and
    indisputable right to relief.
    B.
    Because mandamus is a remedy of last resort, the writ cannot issue
    unless the petitioner has no other adequate means of obtaining the relief he
    seeks. Cheney, 
    542 U.S. at 380
    . Here, not only has Paxton sought the writ, he
    has also filed a separate interlocutory appeal. Plaintiffs argue that this appeal
    is an adequate alternative avenue for relief, making the writ inappropriate.
    Our precedent forecloses that argument. We have held that an
    interlocutory appeal does not constitute adequate relief where the party
    opposing the writ also challenges the jurisdictional basis for the appeal. In In
    re FDIC, we issued the writ to quash notices of deposition issued to members
    of the Board of Directors of the Federal Deposit Insurance Corporation
    (“FDIC”). 58 F.3d at 1057. The officials filed an interlocutory appeal while
    simultaneously seeking the writ. Id. at 1060 n.7. Notwithstanding the appeal,
    we held that that the officials had no other adequate means of obtaining relief
    because the opposing party had moved to dismiss the appeal for lack of
    jurisdiction. Ibid. As we explained, “[w]e do not think [the opposing party]
    can at once move to dismiss the appeal and urge that the FDIC has an
    adequate means of obtaining relief.” Ibid. We issued the writ and dismissed
    the appeal as moot. Id. at 1063 n.10.
    In re FDIC controls here because Plaintiffs have moved to dismiss
    Paxton’s appeal for lack of jurisdiction. On the one hand, they argue that
    Paxton should not receive the writ because he can receive relief via his appeal.
    10
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    On the other, they seek to prevent the appeal’s resolution on the merits by
    challenging our jurisdiction. Under In Re FDIC, they cannot do both.
    Paxton’s appeal is thus not an adequate alternative.
    Paxton’s only remaining source of relief is the writ. Without it, he will
    be compelled either to submit to testifying or risk contempt charges for
    violating the court’s order.
    C.
    Finally, we exercise our discretion to decide whether to issue the writ.
    The writ is always discretionary: “Discretion is involved in defining both the
    circumstances that justify exercise of writ power and also the reasons that
    may justify denial of a writ even though the circumstances might justify a
    grant.” 16 Alan Wright, Arthur Miller, & Edward H.
    Cooper, Fed. Prac. and Proc. § 3933 (3d ed. 2012); see also Duncan
    Townsite Co. v. Lane, 
    245 U.S. 308
    , 311 (1917) (“Mandamus is an
    extraordinary remedial process which is awarded, not as a matter of right, but
    in the exercise of a sound judicial discretion.”). We are satisfied that the writ
    should issue.
    We sometimes deny the writ as a matter of prudence even when the
    district court erred, see In re Depuy Orthopaedics, Inc., 
    870 F.3d 345
    , 347 n.4
    (5th Cir. 2017) (collecting cases), but we typically do so when two conditions
    are met, neither of which is present here. First, our prudential denials involve
    a district court’s mistaken resolution of a novel or thorny question of law.
    See, e.g., In re JPMorgan Chase & Co., 
    916 F.3d 494
    , 504 (5th Cir. 2019)
    (denying the writ where the district court “followed numerous others in
    errantly applying” the relevant legal standard); In re Dean, 
    527 F.3d 391
    , 394
    (5th Cir. 2008) (per curiam) (denying the writ where “the district court, with
    the best of intentions, misapplied the law” on a legal question involving a
    circuit split); In re Kleberg Cnty., 
    86 F. App'x 29
    , 34 (5th Cir. 2004) (denying
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    the writ where the district court “handled a delicate and novel legal issue but
    nevertheless [ran] afoul of controlling law”); In re Stone, 
    986 F.2d at 901
    (denying the writ where the district court erred as to an “important,
    undecided issue”); Landmark Land Co. v. Off. of Thrift Supervision, 
    948 F.2d 910
    , 911 (5th Cir. 1991) (denying the writ after the erroneous interpretation
    of a “question of first impression”). These types of mistakes, made under
    difficult circumstances, may not rise to the level of a clear and indisputable
    error, as required for mandamus relief. See In Re JPMorgan Chase, 
    916 F.3d at 504
    .
    Our prudential denials also involve the kind of errors that the district
    court can correct once we have clarified the proper legal standard. For
    instance, we declined to issue the writ when the district court improperly
    delayed crime victims from exercising their statutory right to participate in
    the offender’s plea agreement process. In Re Dean, 
    527 F.3d at 396
    . Despite
    this error, we were “confident . . . that the conscientious district court will
    fully consider the victims’ objections and concerns in deciding whether the
    plea agreement should be accepted.” 
    Ibid.
     Similarly, we denied the writ
    where the district court erroneously required a representative of the
    government with settlement authority to be present at all settlement
    conferences without considering more tailored measures. In re Stone, 
    986 F.2d at 905
    . In denying the writ, we noted that “[t]he able district judge has
    indicated that he welcomes this court’s exposition of this issue, and we are
    confident that he will abide by our decision and adjust his directives
    accordingly.” Ibid.; see also In re Kleberg Cnty., 86 F. App’x at 34 (denying
    writ where the district court would have the opportunity to “reconsider its
    [error] in light of the standards we have articulated”).
    Neither circumstance is present here. The district court’s twin errors
    occurred in areas of the law governed by well-settled standards. See In re
    Volkswagen of Am., Inc., 
    545 F.3d 304
    , 319 (5th Cir. 2008) (en banc)
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    (suggesting that discretion counsels issuing the writ where the court reached
    a “patently erroneous result”). Moreover, the errors are ones that cannot be
    rectified as the case progresses. Paxton’s compelled testimony cannot be
    undone or corrected by the district court or a reviewing court once it occurs.
    We are therefore satisfied that, under the circumstances, we should exercise
    our discretion to issue the writ.
    III.
    The petition for writ of mandamus is GRANTED, directing the
    district court to vacate its October 4, 2022 order and grant Paxton’s motion
    to quash. Paxton’s interlocutory appeal, No. 22-50889, and motion for stay
    are DISMISSED as MOOT. Finally, our temporary stay of October 10,
    2022, is LIFTED.
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    Patrick E. Higginbotham, Circuit Judge, concurring:
    I agree that the district court must resolve the question of whether the
    parties before it have standing and join in the remand for further proceedings.
    The energy driving this case is generated by its subject—not its
    complexity. Plaintiffs proceeding under § 1983 seek injunctive and
    declaratory relief—a declaration that Texas’s Human Life Protection Act
    (HLPA), among other anti-abortion statutes, cannot be enforced against
    persons assisting Texans to obtain abortion healthcare in states where
    abortion is permitted.
    1
    HLPA makes abortion a felony unless a woman’s pregnancy creates
    a “life-threatening physical condition.”2 The statute grants inter alia the
    Attorney General the power to enforce its terms by imposing a fine of “no[]
    less than $100,000.”3 Plaintiffs fear that Attorney General Ken Paxton will
    pursue civil liability for assisting Texans to obtain abortion healthcare in
    states not prohibiting abortion, chilling their exercise of free speech and their
    constitutional right to interstate travel. On the extant record, these assertions
    are not fanciful. Plaintiffs’ briefs cite to statements assertedly made by
    Attorney General Paxton in media interviews, press releases, and twitter
    posts promising, among other things, “to make people pay if they’re going to
    do abortions;”4 that Attorney General Paxton clarified in his briefings that
    1
    As detailed in their original complaint, Plaintiffs “seek to enjoin Defendants from applying
    Texas’s anti-abortion laws to Plaintiffs for the legal exercise of their rights.” They “also seek a
    declaratory judgment declaring unconstitutional, null and void the retroactive application of the Pre-
    Roe Statutes and to enjoin Defendants from applying them against Plaintiffs, their staff, volunteers,
    and/or donors for conduct that preceded the Dobbs decision.”
    2
    Tex. Health & Safety Code Ann. § 170A.002.
    3
    Id. § 170A.005.
    4
    Several witnesses stated that they understood these statements to cover out-of-state
    abortion care but could not be sure because the statements were unclear.
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    the State’s interest in protecting unborn Texans “continues whether the
    Texan mother seeks an abortion in Denver or Dallas, in Las Cruces or
    Lamesa.” Plaintiffs also point to statements by other state officials, who
    while lacking specific enforcement authority under state law nonetheless fuel
    a climate of fear of suit or prosecution.5
    While it appears on the face of the complaint that Plaintiffs may have
    an adequate stake in providing out-of-state abortion access, their standing—
    injury and redressability—here is not self-evident, and as a threshold matter
    jurisdiction must be addressed. This is rote. My colleagues go further,
    applying Carswell v. Camp’s complete ban on discovery prior to the
    determination of qualified immunity to the determination of sovereign
    immunity.6 That any obligation of Attorney General Paxton to testify is fully
    resolved by the Apex doctrine aside, the mandate has not yet issued in
    Carswell, but even if it is proffered as a decision of this panel, now informed
    but not controlled by precedent, I cannot agree. It is at best “unsettled
    jurisprudence.” The Apex doctrine does all the work here and it is not
    apparent that discovery from the Attorney General is essential to this case.
    “Exceptional circumstances” do not exist to justify deposing a high-ranking
    official when the information desired from testimony can be obtained
    elsewhere.7 Plaintiffs seek testimony from Attorney General Paxton while at
    the same time urging that his statements—their content and inconsistency,
    including in these proceedings—chill their constitutionally protected rights.
    It signifies that these inferences are drawn from the present record: Indeed,
    5
    Plaintiffs cite, for example, a letter sent by a group of State legislators who threatened an
    organization with criminal liability for “reimburs[ing] the travel costs of employees who leave Texas
    to murder their unborn children.”
    6
    Cf. Carswell v. Camp, 
    37 F.4th 1062
    , 1066 (5th Cir. 2022) (addressing district courts’
    rulings on “qualified immunity” questions).
    7
    In re Bryant, 745 F. App’x 215, 221 (5th Cir. 2018) (unpublished per curiam).
    15
    Case: 22-50882          Document: 00516544612                 Page: 16   Date Filed: 11/14/2022
    No. 22-50882
    Attorney General Paxton argues to this Court that the potential liability
    Plaintiffs fear is “nonexistent,” while at the same time he argues that when
    “procurement takes the form of a bus ticket for the pregnant Texan to an
    abortion clinic, or the paying from Texas of the cost of a pregnant Texan’s
    hotel room adjacent to that clinic, it does not matter if the travel and hotel
    are in Albuquerque or Austin” for the State to have an interested in
    protecting the unborn.
    The point is that, on the record at hand, a trier of fact, which we are
    not, could find there is sufficient evidence of an unsettling and chilling want
    of clarity in statements by officials with enforcement authority made against
    a chorus of state officials without enforcement power to allow this case to
    proceed. Those issues and the jurisdictional issue of Plaintiffs’ standing,
    including any discovery they may entail, remain for the district court.
    As for mandamus, we need only remind that Plaintiffs cannot move to
    dismiss the interlocutory appeal while also arguing that it affords the
    Attorney General another adequate means of obtaining relief,8 as they do in
    this case. I would end the mandamus inquiry here.
    8
    See In re FDIC, 
    58 F.3d 1055
    , 1060 n.7 (5th Cir. 1995).
    16