Scott Hardin v. ATF ( 2023 )


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    Pursuant to Sixth Circuit I.O.P. 32.1(b)
    File Name: 23a0086p.06
    UNITED STATES COURT OF APPEALS
    FOR THE SIXTH CIRCUIT
    ┐
    SCOTT A. HARDIN,
    │
    Plaintiff-Appellant,      │
    │
    v.                                                      >        No. 20-6380
    │
    │
    BUREAU OF ALCOHOL, TOBACCO, FIREARMS AND                      │
    EXPLOSIVES, an agency of the Department of Justice;           │
    STEVEN M. DETTELBACH, Director Bureau of Alcohol,             │
    Tobacco, Firearms, and Explosives; UNITED STATES              │
    OF AMERICA; MERRICK B. GARLAND, Attorney                      │
    General, in his official capacity as Attorney General of      │
    the United States,                                            │
    Defendants-Appellees.       │
    ┘
    Appeal from the United States District Court for the Western District of Kentucky at Louisville.
    No. 3:19-cv-00056—David J. Hale, District Judge.
    Argued: January 19, 2023
    Decided and Filed: April 25, 2023
    Before: GILMAN, McKEAGUE, and BUSH, Circuit Judges.
    _________________
    COUNSEL
    ARGUED: Jason Todd Hardin, HARDIN LAW, PLLC, Louisville, Kentucky, for Appellant.
    Brad Hinshelwood, UNITED STATES DEPARTMENT OF JUSTICE, Washington, D.C., for
    Appellees. ON BRIEF: Jason Todd Hardin, HARDIN LAW, PLLC, Louisville, Kentucky,
    J. Allan Cobb, COBB LAW PLLC, Louisville, Kentucky, for Appellant. Brad Hinshelwood,
    Abby C. Wright, Kyle Edwards, UNITED STATES DEPARTMENT OF JUSTICE,
    Washington, D.C., for Appellees.
    GILMAN, J., delivered the opinion of the court in which McKEAGUE, J., joined.
    BUSH, J. (pp. 10–13), delivered a separate opinion concurring in the judgment.
    No. 20-6380                            Hardin v. ATF, et al.                                 Page 2
    _________________
    OPINION
    _________________
    RONALD LEE GILMAN, Circuit Judge.                  The placement of a bump stock on a
    semiautomatic rifle causes the rifle to function essentially like a machinegun by dramatically
    increasing the rate of fire. And the possession of a machinegun is a criminal offense under the
    Gun Control Act of 1968. This raises the question of whether a bump stock is a machinegun
    “part” as defined by the National Firearms Act of 1934. The question is a close one on which
    reasonable jurists have disagreed, a disagreement caused by ambiguities in how the applicable
    statute defines the term “machinegun.”
    An Act of Congress could clear up the ambiguities, but so far Congress has failed to act.
    The Bureau of Alcohol, Tobacco, Firearms and Explosives (the ATF) has been on both sides of
    this issue, with its current regulation (the Rule) banning bump stocks as a machinegun part. In
    this situation, the rule of lenity that is applicable to criminal offenses requires us to rule in favor
    of Hardin. We therefore REVERSE the judgment of the district court and REMAND for
    further proceedings consistent with this opinion.
    I. BACKGROUND
    The Gun Control Act provides that “it shall be unlawful for any person to transfer or
    possess a machinegun.”        
    18 U.S.C. § 922
    (o)(1).        It incorporates by reference (see 
    id.
    § 921(a)(24)) the definition of a machinegun as set forth in the National Firearms Act, which
    reads as follows:
    The term “machinegun” means any weapon which shoots, is designed to shoot, or
    can be readily restored to shoot, automatically more than one shot, without
    manual reloading, by a single function of the trigger. The term shall also include
    the frame or receiver of any such weapon, any part designed and intended solely
    and exclusively, or combination of parts designed and intended, for use in
    converting a weapon into a machinegun, and any combination of parts from
    which a machinegun can be assembled if such parts are in the possession or under
    the control of a person.
    
    26 U.S.C. § 5845
    (b).
    No. 20-6380                          Hardin v. ATF, et al.                              Page 3
    For over a decade, the ATF, to which Congress has delegated the authority to administer
    the National Firearms Act and the Gun Control Act, maintained that a bump stock is not a
    machinegun part. But in 2018, after a gunman in Las Vegas, Nevada used bump stocks attached
    to semiautomatic rifles to kill 58 people and injure roughly 500 more in the span of
    approximately 10 minutes, the ATF reversed its position by promulgating the Rule. The Rule
    gave possessors of bump stocks 90 days from its effective date during which to destroy or
    abandon their bump stocks, after which they would be in violation of the Gun Control Act’s
    prohibition on machineguns and their parts. See Bump-Stock-Type Devices, 
    83 Fed. Reg. 66,514
     (Dec. 26, 2018).
    The appellant in this case, Scott Hardin, owned several bump stocks. Following the
    ATF’s promulgation of the Rule, Hardin brought an action in the Western District of Kentucky,
    challenging the Rule as exceeding the ATF’s statutory authority. The district court granted the
    ATF’s motion for judgment on the administrative record. Hardin now appeals.
    II. ANALYSIS
    Whether a bump stock is a machinegun part depends on how one interprets the definition
    of a machinegun as set forth in the National Firearms Act. In particular, the dispute focuses on
    the words “automatically” and “a single function of the trigger.” Those courts of appeals that
    have faced the issue are divided on the answer, and the Supreme Court has not weighed in. On
    one side, saying that a bump stock is included within the definition of a machinegun, are the
    Tenth Circuit and the D.C. Circuit. See Aposhian v. Barr, 
    958 F.3d 969
     (10th Cir. 2020), aff’g
    
    374 F. Supp. 3d 1145
     (D. Utah 2019), en banc reh’g order vacated as improvidently granted,
    
    989 F.3d 890
     (10th Cir. 2021) (en banc), cert. denied, 
    143 S. Ct. 84 (2022)
    ; Guedes v. Bureau of
    Alcohol, Tobacco, Firearms and Explosives, 
    920 F.3d 1
     (D.C. Cir. 2019) (per curiam), aff’g 
    356 F. Supp. 3d 109
     (D.D.C. 2019), cert. denied, 
    140 S. Ct. 789 (2020)
    . The opposite view is taken
    by the Fifth Circuit. See Cargill v. Garland, 
    57 F.4th 447
     (5th Cir. 2023) (en banc), rev’g
    
    20 F.4th 1004
     (5th Cir. 2021), and Cargill v. Barr, 
    502 F. Supp. 3d 1163
     (W.D. Tex. 2020),
    petition for cert. filed (Apr. 7, 2023). And our own circuit is split down the middle, with eight
    judges voting to uphold the Rule and eight judges voting to strike it down. See Gun Owners of
    Am., Inc. v. Garland, 
    19 F.4th 890
     (6th Cir. 2021) (en banc), vacating by an equally divided
    No. 20-6380                           Hardin v. ATF, et al.                               Page 4
    court 
    992 F.3d 446
     (6th Cir. 2021), and aff’g by an equally divided court Gun Owners of Am.,
    Inc. v. Barr, 
    363 F. Supp. 3d 823
     (W.D. Mich. 2019), cert. denied, 
    143 S. Ct. 83 (2022)
    .
    A total of 22 opinions are set forth in the above-cited cases, which fully explore all
    aspects of the issue in nearly 350 pages of text. We therefore have the benefit of being able to
    draw our own conclusions from these erudite opinions without having to repeat them verbatim.
    A.   The weight of authority concludes that the definition of a machinegun is
    ambiguous as applied to a bump stock
    Hardin argues that the statutory definition of a machinegun unambiguously excludes
    bump stocks, whereas the ATF argues that the best reading of the statute compels the opposite
    conclusion. Without repeating the intricacies of those positions here, there can be no doubt that a
    significant number of reasonable jurists have reached diametrically opposed conclusions as to
    whether the definition of a machinegun includes a bump stock.
    The viability of competing interpretations is exemplified not only by the myriad and
    conflicting judicial opinions on this issue, but also by the ATF’s own flip-flop in its position.
    And because the statute is “subject to more than one reasonable interpretation,” it is ambiguous.
    See Donovan v. FirstCredit, Inc., 
    983 F.3d 246
    , 256 (6th Cir. 2020) (quoting N. Fork Coal Corp.
    v. Fed. Mine Safety & Health Comm’n, 
    691 F.3d 735
    , 740 (6th Cir. 2012)); see also N. Fork
    Coal Corp., 
    691 F.3d at 740
     (“Although both parties argue that the statutory language is plain
    and unambiguous, both also argue that the plain meaning supports their interpretation. This
    indicates ambiguity.   Furthermore, the existence of divergent court opinions also suggests
    ambiguity.” (quoting Pugliese v. Pukka Dev., Inc., 
    550 F.3d 1299
    , 1304 (11th Cir. 2008))).
    B.   The Chevron doctrine is inapplicable in the present case
    Under what has become known as Chevron deference, “a court review[ing] an agency’s
    construction of the statute which it administers . . . is confronted with two questions.” Chevron,
    USA, Inc. v. NRDC, 
    467 U.S. 837
    , 842 (1984):
    First, always, is the question whether Congress has directly spoken to the precise
    question at issue. If the intent of Congress is clear, that is the end of the matter;
    for the court, as well as the agency, must give effect to the unambiguously
    expressed intent of Congress. If, however, the court determines Congress has not
    No. 20-6380                            Hardin v. ATF, et al.                              Page 5
    directly addressed the precise question at issue, the court does not simply impose
    its own construction on the statute, as would be necessary in the absence of an
    administrative interpretation. Rather, if the statute is silent or ambiguous with
    respect to the specific issue, the question for the court is whether the agency’s
    answer is based on a permissible construction of the statute.
    
    Id. at 842-43
    . Having determined that the statutory language is ambiguous, we would typically
    apply Chevron deference to uphold the Rule so long as it was not “arbitrary, capricious, or
    manifestly contrary to the statute.” See 
    id. at 844
    .
    But both parties urge us to determine the legality of the Rule without relying on Chevron
    deference. The government has not invoked Chevron deference, believing that “it is unnecessary
    to consider what level of deference, if any, the rule should be accorded.” And Hardin’s view is,
    first, that the government has waived the application of Chevron deference and, alternatively,
    that Chevron deference is inapplicable when the underlying statute carries the possibility of
    criminal sanctions. We need not resolve the question of whether the government can waive the
    application of Chevron deference because we conclude that the statutory scheme before us is one
    that does not warrant the application of such deference.
    The Supreme Court has not clearly identified the bounds of Chevron deference with
    respect to an agency’s construction of a statute with criminal applications. To be sure, Chevron
    itself involved a statute whose violation could incur criminal penalties. See 
    id. at 840
    ; 
    42 U.S.C. § 7413
    (c)(1) (1982). And in Babbitt v. Sweet Home Chapter of Communities for a Greater
    Oregon, 
    515 U.S. 687
     (1995), the Supreme Court applied Chevron deference to the agency’s
    statutory interpretation notwithstanding the challengers’ argument that such deference was
    inappropriate because the statute included criminal penalties for certain violations. See 
    id.
     at
    703-704 & 704 n.18.
    The Supreme Court, however, has “never held that the Government’s reading of a
    criminal statute is entitled to any deference.” United States v. Apel, 
    571 U.S. 359
    , 369 (2014).
    This language was repeated in Abramski v. United States, 
    573 U.S. 169
    , 191 (2014), where the
    Supreme Court further noted that “criminal laws are for courts, not for the Government, to
    construe.”
    No. 20-6380                           Hardin v. ATF, et al.                               Page 6
    The reasons to exercise caution in applying Chevron deference to an agency’s
    construction of a statute with criminal applications are persuasive. Among the primary rationales
    for Chevron deference are: (1) “that agencies are more likely to get the answer right, given their
    expertise,” Arangure v. Whitaker, 
    911 F.3d 333
    , 341 (6th Cir. 2018), and (2) “that ‘policy
    choices’ should be left to Executive Branch officials ‘directly accountable to the people,’” Epic
    Sys. Corp. v Lewis, 
    138 S. Ct. 1612
    , 1630 (2018) (quoting Chevron, 
    467 U.S. at 865
    ).
    These rationales, however, have less force in the context of laws imposing criminal
    sanctions. “[B]ecause of the seriousness of criminal penalties, and because criminal punishment
    usually represents the moral condemnation of the community, legislatures . . . should define
    criminal activity.” United States v. Bass, 
    404 U.S. 336
    , 348 (1971). Moreover, we “feel deep
    discomfort at allowing an agency to define the very criminal rules it will enforce.” Aposhian
    v. Wilkinson, 
    989 F.3d 890
    , 900 (10th Cir. 2021) (Tymkovich, J., dissenting from the denial of
    rehearing en banc). Such a scheme “raises serious constitutional concerns by making [the] ATF
    the expositor, executor, and interpreter of criminal laws.” 
    Id.
     (emphasis in original).
    On the other hand, “we must interpret [a] statute consistently, whether we encounter its
    application in a criminal or noncriminal context.” Leocal v. Ashcroft, 
    543 U.S. 1
    , 11 n.8 (2004);
    see also, e.g., United States v. Thompson/Center Arms Co., 
    504 U.S. 505
    , 517-18 (1992)
    (applying a rule of statutory construction that is ordinarily applicable only in criminal cases to a
    tax statute because the statute, which also had criminal applications, had to be interpreted
    consistently across both the civil and criminal domains).        A bright-line rule that Chevron
    deference cannot be applied to agency constructions of statutes with criminal consequences
    would therefore preclude the application of Chevron deference to “statutes that bear both civil
    and criminal applications,” “[a] category that covers a great many (most?) federal statutes
    today.” See Gutierrez-Brizuela v. Lynch, 
    834 F.3d 1142
    , 1156 (10th Cir. 2016) (Gorsuch, J.,
    concurring); see also Gun Owners of Am., Inc. v. Garland, 
    19 F.4th 890
    , 924-25 (6th Cir. 2021)
    (en banc) (Murphy, J., in support of striking down the Rule) (“[A]ny distinction between ‘pure’
    criminal laws and ‘hybrid’ civil-criminal laws is a mirage.”). In light of the “one statute, one
    interpretation rule” gleaned from Leocal and Thompson, as well as the Supreme Court’s lack of
    No. 20-6380                            Hardin v. ATF, et al.                             Page 7
    clarity with respect to the application of Chevron deference to statutes that carry criminal
    penalties, we decline to adopt such bright-line rules in either direction.
    Instead, we conclude that the particular statutory scheme before us is not an appropriate
    one to apply Chevron deference. We so hold because the statutory scheme is predominantly
    criminal in scope and because of the nature of the actions that it criminalizes.
    First, the Gun Control Act prohibits anyone from transferring or possessing a
    machinegun. 
    18 U.S.C. § 922
    (o)(1). A knowing violation of this provision is punishable by up
    to 10 years of imprisonment. 
    Id.
     § 924(a)(2). The civil implications of the Rule are, by contrast,
    “quite limited.” Aposhian, 989 F.3d at 905 (Eid, J., dissenting from the denial of rehearing en
    banc):
    The [Gun Control Act’s] prohibition on “machineguns” is subject to only two
    extremely limited exceptions, for “machineguns” (1) “transfer[red] to or by, or
    possess[ed] by or under the authority of” the federal or a state government,
    [18 U.S.C.] § 922(o)(2)(A), or (2) lawfully possessed before the prohibition went
    into effect, id. § 922(o)(2)(B). Only “machineguns” that fall within these narrow
    exceptions are subject to civil consequences, and even then, the civil
    consequences are limited—the chief consequence is a registration requirement.
    See 
    26 U.S.C. §§ 5841
    , 5845(a), (b).
    
    Id.
     (second and third alterations in original).      Thus, “[g]iven the breadth of the criminal
    prohibition and the limited nature of the exceptions giving rise to civil ramifications,” 
    id.,
     we
    conclude that the statutory scheme has a predominantly criminal scope.
    Second, we perceive of no special expertise possessed by the ATF with respect to the
    construction of this statutory scheme that the judiciary lacks:
    The special deference required by Chevron is based on the expertise of an
    administrative agency in a complex field of regulation with nuances perhaps
    unfamiliar to the federal courts. Unlike environmental regulation or occupational
    safety, criminal law and the interpretation of criminal statutes is the bread and
    butter of the work of federal courts.
    Dolfi v. Pontesso, 
    156 F.3d 696
    , 700 (6th Cir. 1998) (citation omitted). As noted by our
    colleague Judge White, “we have highly technical and complex securities, tax, workplace safety,
    and environmental-law regimes in which the applicable agency exercises delegated authority to
    No. 20-6380                           Hardin v. ATF, et al.                               Page 8
    promulgate regulations fleshing out statutory provisions—regulations that have both civil and
    criminal applications.” Gun Owners of Am., Inc., 19 F.4th at 902 (White, J., in support of
    upholding the Rule).     But unlike securities, tax, workplace safety, and environmental-law
    regimes, which include criminal penalties for uniquely regulatory crimes, there is nothing highly
    technical or complex about condemning, for example, the distribution of dangerous drugs, the
    commission of violent acts, or, as relevant here, the possession of deadly weapons. These are
    areas in which the courts are well-equipped to operate, and we see no reason why we should
    abdicate our interpretive responsibility in such instances.     We therefore decline to afford
    Chevron deference to the ATF’s construction of the term “machinegun.”
    C.   The rule of lenity requires us to rule in Hardin’s favor
    This brings us to the rule of lenity, under which “penal statutes are to be construed
    strictly.”   FCC v. Am. Broad. Co., 
    347 U.S. 284
    , 296 (1954).          Therefore, when Chevron
    deference is not warranted and standard principles of statutory interpretation “fail to establish
    that the Government’s position is unambiguously correct[,] we apply the rule of lenity and
    resolve the ambiguity in [the criminal defendant’s] favor.”       United States v. Granderson,
    
    511 U.S. 39
    , 54 (1994). “In sum, it is not enough to conclude that a criminal statute should cover
    a particular act. The statute must clearly and unambiguously cover the act.” Cargill v. Garland,
    
    57 F.4th 447
    , 473 (5th Cir. 2023) (en banc) (Ho, J., concurring) (emphases in original).
    Judge Ho’s concurrence in Cargill directs our attention to two persuasive analogies. See
    
    id. at 473-74, 478
    . The first concerns designer drugs, which, although “just as lethal” as drugs
    prohibited by the Controlled Substances Act of 1970, “differed in chemical composition.” 
    Id. at 473
    . “Yet all three branches agreed that existing law did not ban designer drugs,” requiring
    Congress to enact the Controlled Substance Analogue Enforcement Act of 1986. 
    Id. at 473-74
    .
    The second analogy concerns the facts of United States v. Wiltberger, 
    18 U.S. 76
     (1820). See
    Cargill, 57 F.4th at 478 (Ho, J., concurring). In that case, the Supreme Court “unanimously
    construed a statute that punished manslaughter on the ‘high seas’ not to apply to an identical act
    on a river. The Court noted that it was ‘extremely improbable’ Congress would want to treat
    upstream manslaughter differently from manslaughter committed downstream, past the river’s
    mouth.” Id. (quoting Wiltberger, 
    18 U.S. at 103-06
    ). Even so, the Supreme Court ruled in the
    No. 20-6380                           Hardin v. ATF, et al.                               Page 9
    criminal defendant’s favor on the basis that “probability is not a guide which a court, in
    construing a penal statute, can safely take.” Wiltberger, 
    18 U.S. at 105
    .
    “Bump stocks may well be indistinguishable from automatic weapons for all practical
    purposes. But . . . ‘[i]t would be dangerous . . . to punish a crime not enumerated in the statute,
    because it is of equal atrocity, or of kindred character, with those which are enumerated.’”
    Cargill, 57 F.4th at 478 (Ho, J., concurring) (second ellipses in original) (quoting Wiltberger, 
    18 U.S. at 96
    ). Because the relevant statutory scheme does not clearly and unambiguously prohibit
    bump stocks, we are bound to construe the statute in Hardin’s favor.
    III. CONCLUSION
    For all of the foregoing reasons, we REVERSE the judgment of the district court and
    REMAND for further proceedings consistent with this opinion.
    No. 20-6380                            Hardin v. ATF, et al.                               Page 10
    _______________________________________
    CONCURRING IN THE JUDGMENT
    _______________________________________
    JOHN K. BUSH, Circuit Judge, concurring in the judgment. I agree that the district
    court’s judgment should be reversed. At a minimum, as the majority opinion holds, the National
    Firearms Act of 1934 admits of an interpretation that excludes a bump stock from the definition
    of a “part” of a “machinegun” under that statute. Indeed, this is the original interpretation that
    the Bureau of Alcohol, Tobacco, Firearms, and Explosives (ATF) gave to the statute. See ATF
    Rule 2006-2 at 2; 
    27 C.F.R. §§ 478.11
     (2014), 479.11 (2016). That ATF later changed its views
    in order to ban bump stocks does not render unreasonable the ATF’s first reading of the statute.
    Indeed, the ATF’s first take aligns with the views of numerous judges on this court and
    elsewhere who have considered the relevant statutory text. See, e.g., Gun Owners of Am., Inc. v.
    Garland, 
    19 F.4th 890
    , 910 (6th Cir. 2021) (Murphy, J., dissenting), cert. denied, 
    143 S. Ct. 83 (2022)
    ; Cargill v. Garland, 
    57 F.4th 447
     (5th Cir. 2023) (en banc), petition for cert. filed (April 7,
    2023). Therefore, even accepting (as does the majority opinion) that the statute could reasonably
    be read either way as to the legality of bump stocks, the statute must be read under the rule of
    lenity to exclude a bump-stock rifle from the definition of a machinegun. See United States v.
    Granderson, 
    511 U.S. 39
    , 54 (1994); Jones v. United States, 
    529 U.S. 848
    , 858 (2000) (if there
    are two possible “readings of what conduct Congress has made a crime,” the “harsher
    alternative” reading should be rejected because “Congress should have spoken in language that is
    clear and definite”) (quoting United States v. Universal C.I.T. Credit Corp., 
    344 U.S. 218
    , 221–
    22 (1952)). That is the import of the majority’s reasoning.
    But I would go further. As explained by Judge Murphy in Gun Owners of America, Inc.
    v. Garland, the best reading of the statute is that Congress never gave the ATF “the power to
    expand the law banning machine guns through [the] legislative shortcut” of the ATF’s rule at
    issue in this appeal, see Bump-Stock-Type Devices, 
    83 Fed. Reg. 66,514
     (Dec. 26, 2018) (the
    Rule). See 19 F.4th at 910 (Murphy, J., dissenting). Simply put, under the statute as it currently
    reads, the addition of a bump stock to a rifle clearly does not make it a machinegun.
    No. 20-6380                             Hardin v. ATF, et al.                            Page 11
    Though my reasoning differs somewhat from the majority opinion, all judges on this
    panel agree on this point: it is up to Congress, not the ATF, to change the law if bump stocks are
    to be made illegal.
    I.
    This case turns on whether a bump stock is a “part” of a “machinegun” as used in the
    National Firearms Act. The relevant statutory provision reads:
    The term “machinegun” means any weapon which shoots, is designed to shoot, or
    can be readily restored to shoot, automatically more than one shot, without
    manual reloading, by a single function of the trigger. The term shall also include
    the frame or receiver of any such weapon, any part designed and intended solely
    and exclusively, or combination of parts designed and intended, for use in
    converting a weapon into a machinegun, and any combination of parts from
    which a machinegun can be assembled if such parts are in the possession or under
    the control of a person.
    
    26 U.S.C. § 5845
    (b). Under this definition, a bump stock cannot be a machinegun part because a
    bump stock by itself cannot increase the rate of fire of a rifle, nor does it change the mechanics
    of a “single function of the trigger.”
    The ATF’s brief provides clarity on how bump stocks operate. A “bump stock channels
    the recoil from the first shot into a defined path, allowing the contained weapon to slide back a
    short distance . . . shifting the trigger away from the shooter’s trigger finger.” Appellee’s Br. at
    18 (citing 83 Fed. Reg. at 66,532 (Dec. 26, 2018)). “This separation allows the firing mechanism
    to reset.” Id. The shooter must also “maintain constant forward pressure on the weapon’s barrel-
    shroud or fore-grip . . . causing the trigger to ‘bump’ the shooter’s stationary finger and fire
    another bullet.” Id. This explanation reveals a couple of reasons why a bump stock does not
    transform a rifle into a machinegun.
    First, a bump stock does not create all of the above-described effects itself—one still
    needs to maintain constant forward pressure on the weapon’s barrel-shroud or fore-grip. Thus, a
    semiautomatic rifle does not shoot automatically and thereby become a machinegun, simply by
    having a bump stock. When the National Firearms Act was enacted, the word “automatically”
    meant “[h]aving a self-acting or self-regulating mechanism that performs a required act at a
    No. 20-6380                               Hardin v. ATF, et al.                                   Page 12
    predetermined point in an operation[.]” Webster’s New International Dictionary (2d ed. 1934).
    While the bump stock might be a self-acting mechanism to allow the rifle to slide back, it is not a
    self-acting mechanism to maintain the forward pressure. Without that added technique, the
    bump stock would not increase the rate of fire, and the rifle therefore cannot be considered a
    machinegun because of the addition of a bump stock.
    Second, the “single function of a trigger” on a rifle with a bump stock engages the
    internal firing mechanism to shoot only one shot, in contrast with the definition of a machinegun
    “automatically [shooting] more than one shot.” 
    26 U.S.C. § 5845
    (b). Once a trigger is pulled,
    the hammer strikes the firing pin to shoot one bullet. See Cargill v. Garland, 57 F.4th at 452.
    Then, the hammer is thrusted backward by the bolt into the disconnector. Id. The hammer will
    stay in the disconnector until the trigger is reset to its original position. Id. This means that the
    “single function of the trigger” will only release one bullet because the trigger must reset each
    time before it can engage the hammer to strike the firing pin to release another bullet. In
    contrast, an automatic gun will continue to reset the hammer and release the hammer without the
    trigger resetting to its original position, so a “single function of a trigger” can lead to the
    shooting of multiple shots. See id. A bump stock does nothing to impact the internal mechanics
    of a rifle to circumvent the need for the trigger to reset between every shot, so a bump-stock-
    equipped rifle is still capable of shooting only one shot with each function of the trigger.
    II.
    The ATF attempts to replace “single function of the trigger,” as the definition reads in the
    National Firearms Act, with “single pull of the trigger.” 83 Fed. Reg. at 66,518. This new
    agency-created definition, announced after high-profile statements from President Trump and
    others in response to the Las Vegas shooting,1 is an about-face from the ATF’s original
    interpretation of the statute. ATF Rule 2006-2 at 2; 
    27 C.F.R. §§ 478.11
     (2014), 479.11 (2016).
    1
    Presidential Memorandum on the Application of the Definition of Machinegun to “Bump Fire” Stocks and
    Other Similar Devices, President Donald Trump (Feb. 20, 2018) (on file with the White House Archives); Lindsey
    McPherson, Pelosi Optimistic About Gun Control Bill Short of Assault Weapons Ban, ROLL CALL, Mar. 1, 2018;
    Statement on Regulation to Ban Bump Stocks, Senator Dianne Feinstein (Dec. 18, 2018); Department of Justice
    Announces Bump-Stock-Type Devices Final Rule Press Release, Department of Justice Office of Public Affairs
    (Dec. 18, 2018).
    No. 20-6380                            Hardin v. ATF, et al.                              Page 13
    There were no changes in the relevant facts or law that led to the ATF making a 180-degree
    change of statutory interpretation to ban what once was legal. There was only a profound change
    in political pressure.
    Even if the ATF had adopted its current view from the get-go, that interpretation fits
    poorly with the statutory text. The ATF substitutes “pull” for “function” to argue that there is a
    single “pull” from the shooter’s perspective. But the statutory definition defines “function” not
    with reference to the shooter but to the firearm, given the use of the word “trigger,” which is a
    mechanical feature. From the firearm’s mechanical perspective, the trigger must fully reset and
    be “pulled” every single time another shot is fired, so substitution of the ATF’s new word, “pull”
    for “function,” does not make a bump-stock rifle a machinegun. Even with the bump stock, the
    trigger of the rifle still must be pulled—that is, the trigger finger must move against the trigger
    while the shooter maintains forward pressure on the weapon’s barrel-shroud or fore-grip—for
    each shot the weapon fires. See Gun Owners of Am., Inc., 19 F.4th at 913–14, 926–27 (Murphy,
    J., dissenting). To be sure, the bump stock allows for multiple shots to occur more rapidly, but
    that consequence does not change the dispositive fact that each pull of the trigger fires only one
    shot. Because a single function of the trigger using a bump stock cannot fire more than one
    bullet, a bump-stock rifle is not a machinegun.
    I therefore concur in reversing the district court judgment because the best reading of the
    statute is that bump stocks are legal.      The statutory text confirms that the ATF correctly
    interpreted the statute the first time. It is the job of Congress, not the ATF, to decide whether the
    law should change in this area.