Gov - Uscourts.dcd.278436.81.0 2
Gov - Uscourts.dcd.278436.81.0 2
J.G.G., et al.,
Plaintiffs,
v. Civil Action No. 25-766 (JEB)
Defendants.
MEMORANDUM OPINION
On the evening of Saturday, March 15, 2025, this Court issued a written Temporary
Restraining Order barring the Government from transferring certain individuals into foreign
custody pursuant to the Alien Enemies Act. At the time the Order issued, those individuals were
on planes being flown overseas, having been spirited out of the United States by the Government
before they could vindicate their due-process rights by contesting their removability in a federal
court, as the law requires. Trump v. J.G.G., 2025 WL 1024097, at *2 (U.S. Apr. 7, 2025) (per
curiam). Rather than comply with the Court’s Order, the Government continued the hurried
removal operation. Early on Sunday morning — hours after the Order issued — it transferred
As this Opinion will detail, the Court ultimately determines that the Government’s
actions on that day demonstrate a willful disregard for its Order, sufficient for the Court to
conclude that probable cause exists to find the Government in criminal contempt. The Court
does not reach such conclusion lightly or hastily; indeed, it has given Defendants ample
opportunity to rectify or explain their actions. None of their responses has been satisfactory.
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One might nonetheless ask how this inquiry into compliance is able to proceed at all
given that the Supreme Court vacated the TRO after the events in question. That Court’s later
determination that the TRO suffered from a legal defect, however, does not excuse the
Government’s violation. Instead, it is a foundational legal precept that every judicial order “must
be obeyed” — no matter how “erroneous” it “may be” — until a court reverses it. Walker v. City
of Birmingham, 388 U.S. 307, 314 (1967). If a party chooses to disobey the order — rather than
wait for it to be reversed through the judicial process — such disobedience is punishable as
contempt, notwithstanding any later-revealed deficiencies in the order. See id. at 314, 320. That
foundational “rule of law” answers not just how this compliance inquiry can proceed, but why it
must. See id. at 320. The rule “reflects a belief that in the fair administration of justice no man
can be judge in his own case,” no matter how “exalted his station” or “righteous his motives.”
Id. at 320–21.
The Constitution does not tolerate willful disobedience of judicial orders — especially by
officials of a coordinate branch who have sworn an oath to uphold it. To permit such officials to
freely “annul the judgments of the courts of the United States” would not just “destroy the rights
acquired under those judgments”; it would make “a solemn mockery” of “the constitution itself.”
United States v. Peters, 9 U.S. (5 Cranch) 115, 136 (1809) (Marshall, C.J.). “So fatal a result
I. Background
A. Factual Background
As just noted, the injunction in question was issued on the evening of Saturday, March
15, a day of events that moved at breakneck speed because of the Government’s apparent effort
to remove individuals more quickly than the judicial proceedings in which it was actively
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participating could keep pace. See generally J.G.G. v. Trump, 2025 WL 890401, at *1, *3–5
The day prior, the President had seemingly signed — but not yet made public — a
Proclamation invoking the Alien Enemies Act. See 90 Fed. Reg. 13033 (Mar. 14, 2025).
Through that 1798 Act, Congress granted the President broad authority if there is a “declared
United States.” 50 U.S.C. § 21. In such a scenario, and if the President “makes public
any “natives, citizens, denizens, or subjects of the hostile nation or government” who are
fourteen years or older. See id. In his Proclamation, President Trump announced that the
Government would use the Act’s authorities to apprehend and remove members of Tren de
Aragua, a violent Venezuelan transnational gang that had recently been designated a Foreign
Terrorist Organization. See 90 Fed. Reg. at 13033. To support that finding, the President
asserted that the Venezuelan government of Nicolas Maduro indirectly “relies” on Tren de
Aragua and has been “infiltrated” by the gang. Id. He further announced that Tren de Aragua
had committed or attempted an “invasion” or “predatory incursion” upon the United States,
including through “drug trafficking,” “mass illegal migration,” and “irregular warfare,” though
Although the Proclamation was not published until 3:53 p.m. on Saturday, see ECF No.
28-1 (Robert L. Cerna Second Decl.), ¶ 5, Defendants had begun setting Act-based removals into
motion weeks earlier. Beginning in early March, the Government interrogated Venezuelans in its
custody about alleged membership in Tren de Aragua and transferred many of those it deemed
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gang members to El Valle Detention Facility, located outside Harlingen, Texas, not far from the
Mexico border. The reason for staging them together at El Valle became clear on Saturday.
Early that morning — when the signed Proclamation was still hours from being disclosed to the
public — the Government reportedly loaded scores of Venezuelans onto buses, drove them to a
nearby airport, and began putting them onto three planes. See ECF Nos. 44-9 (Karyn Ann
Shealy Second Decl.), ¶¶ 3–9; 44-10 (Stephanie Quintero Decl.), ¶¶ 3–4; 44-11 (Grace Carney
Third Decl.), ¶¶ 11–13; 44-12 (Melissa Smyth Decl.), ¶¶ 11, 14; see also ECF No. 76 (Apr. 3
Hrg. Tr.) at 9 (Government counsel agreeing Defendants “were acting in preparation of the
Proclamation before it was posted”). As the planes sat on the tarmac, officials refused to answer
the deportees’ questions about where they would be taken. See Shealy Second Decl., ¶ 10;
Among those queued on the tarmac or placed onto planes that morning were the five
Plaintiffs in this lawsuit. Apparently catching wind of the impending Proclamation, they filed
suit at 1:12 a.m. on Saturday — before the buses left El Valle — and then moved for a TRO
preventing their removal under the Proclamation. In addition to asserting that the Proclamation
lacks a legal foundation, each Plaintiff adamantly denies that he is even a member of Tren de
Aragua. See Shealy Second Decl., ¶ 4 (J.G.O.); Carney Third Decl., ¶ 3 (G.F.F.); ECF Nos. 1
(Compl.), ¶¶ 9–10, 12 (J.G.G., J.A.V., W.G.H.); 3-6 (W.G.H. Decl.), ¶ 12; 3-8 (J.A.V. Decl.), ¶ 5.
Around 8:00 a.m., this Court learned that it had drawn the case through the court’s
random-assignment system. Chambers then reached out to locate Government counsel. Less
than an hour later, Plaintiffs’ counsel informed chambers that at least one Plaintiff was reportedly
already aboard a removal flight. Having not yet heard from the Government, and given the
“exigent circumstances” prompting the need to freeze in place the status quo until a hearing
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could be held, the Court entered an ex parte TRO preventing Defendants from removing the five
Plaintiffs for 14 days. See Minute Order of Mar. 15, 9:40 a.m. Not long after the TRO issued at
9:40 a.m., Government counsel informed chambers by email that the TRO “ha[d] been
disseminated to the relevant executive branch agencies.” Sure enough, several of the named
Plaintiffs report that they were abruptly removed from planes, see Shealy Second Decl., ¶ 11;
Carney Decl., ¶ 13; Smyth Decl., ¶ 14 — evidence that Defendants were able, if they wished, to
ensure that people on the ground knew relatively quickly of developments in the Court
proceedings. See also ECF No. 20 (Mar. 15 Hrg. Tr.) at 5 (Government stating on Saturday
evening that relevant agencies had “confirmed” named Plaintiffs were not to be removed).
At 10:15 a.m., in an email thread including chambers and counsel for both sides,
Plaintiffs asked the Court to hold an emergency hearing on their pending request to provisionally
certify a class — comprising them and those similarly situated — and issue a second TRO
covering the whole class. The Government objected that a “broader injunction” and a “hearing”
on the issue would be “premature,” and it asked the Court to wait until Monday for a hearing.
The Government notably did not respond to Plaintiffs’ pointed question about whether it was
“prepare[d] to halt removals pursuant to the Act” in the interim. So, just after 11:00 a.m., the
Court set an emergency hearing for 5:00 p.m. that same afternoon.
Shortly after the Proclamation appeared on the White House website at 3:53 p.m., and
about 45 minutes before the hearing began, Plaintiffs’ counsel informed chambers that he
believed that two flights, both operated by a contractor used by Immigrations and Customs
Enforcement for deportations, were scheduled to depart Harlingen that afternoon. Counsel
expressed concern that the flights might imminently take off with his five clients and members of
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In the 5:00 p.m. hearing, the Court clarified the limited scope of the TRO then in place,
see Mar. 15 Hrg. Tr. at 3, and turned to whether it should provisionally certify the class. Id. at 5–
6. The Government began by objecting that venue was improper because Plaintiffs’ claims could
be raised only through a petition for habeas corpus in the federal district in Texas where they
Noting that it would benefit from further argument on the issue, the Court pivoted to
addressing Plaintiffs’ concerns “about imminent deportation.” Id. at 11. It asked the
Government point blank whether there were any “removals under this Proclamation
planned . . . in the next 24 or 48 hours.” Id. Government counsel said that he did not know, but
that he could “investigate” and “report . . . back.” Id. Plaintiffs’ counsel then interjected that
various “sources” had informed him that the two removal flights that were scheduled to depart
that afternoon “may have already taken off,” including “during this hearing.” Id. at 12. So, at
5:22 p.m., the Court adjourned the hearing until 6:00 p.m. and directed Government counsel to
find out whether the Government was in the process of removing people under the Proclamation.
Id. at 13–15.
It was. Although the Government has refused to provide the particular details, all
evidence suggests that during the short window that the Court was adjourned, two removal
flights took off from Harlingen — one around 5:25 p.m. and the other at about 5:45 p.m. See
ECF No. 21 (Resp. to Mar. 16 Notice) at 3–4 (relying on flight-tracking data for GlobalX Flights
6143, 6145, and 6122); see also Marianne LeVine et al., White House Official Says 137
Immigrants Deported Under Alien Enemies Act, Wash. Post (Mar. 16, 2025),
three-minute video posted online by President of El Salvador and reposted by President Trump
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and Secretary of State Rubio); Joyce Sohyun Lee & Kevin Schaul, Deportation Flights Landed
After Judge Said Planes Should Turn Around, Wash. Post (Mar. 16, 2025),
Those later-discovered flight movements, however, were obscured from the Court when
the hearing resumed shortly after 6:00 p.m. because the Government surprisingly represented
that it still had no flight details to share. See Mar. 15 Hrg. Tr. at 15–18; see also ECF No. 51
(Mar. 21 Hrg. Tr.) at 7 (Defendants’ counsel later affirming that at that time he had no
“information from the Government as to the status” of the flights). When pressed, Government
counsel stated that the “operational details” he had learned during the recess “raised potential
national security issues,” so they could not be shared while the public and press listened to the
hearing through a call-in line. See Mar. 15 Hrg. Tr. at 15. He suggested, however, that the
Government could “provide [the Court] additional details in an in camera” setting. Id. So the
Court arranged to do just that. It disconnected the public line so that only counsel for the parties
were present and asked Government counsel to report. Id. at 15–16. Except that he did not: he
clarified only that the “additional details” he had just mentioned could eventually be provided in
With the growing realization, then, that the Government might be rapidly dispatching
removal flights in an apparent effort to evade judicial review while also refusing to provide any
helpful information, the Court turned to the pending legal issues. Id. at 18. After hearing
argument, it first determined that venue was proper, id. at 18–22, and it next provisionally
certified a class of Plaintiffs covering all noncitizens in custody subject to removal solely under
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The Court then addressed the sole remaining question: whether it should issue a broader
TRO covering the entire class. It concluded that this was appropriate because Plaintiffs had
satisfied the factors governing emergency relief and because the distinct possibility —
“unrebutted by the Government” — that flights were “actively departing” or planning to depart
required an immediate order preserving the status quo. Id. at 41–43. The Court therefore
ordered that for 14 days the Government was enjoined from conducting the “removal” of any
noncitizens in its custody solely on the basis of the Proclamation. Id. at 42. Then, at about 6:45
p.m., the Court delivered an oral command clarifying what compliance with the TRO meant. It
directed Government counsel to “inform your clients of [the Order] immediately” and to notify
them that if class members were on a plane “that is going to take off or is in the air, . . . those
people need to be returned to the United States. However that’s accomplished, whether turning
around a plane or not [dis]embarking anyone on the plane . . . , I leave to you. But this is
something that you need to make sure is complied with immediately.” Id. at 43. The hearing
adjourned at 6:53 p.m. Id. at 47. Roughly 30 minutes later, the Court memorialized the TRO in
a written Order. See Minute Order of Mar. 15, 7:25 p.m. That Order referenced the just-
concluded hearing and reiterated that the Government was enjoined from “removing” class
members. Id.
Despite the Court’s written Order and the oral command spelling out what was required
for compliance, the Government did not stop the ongoing removal process. According to
Defendants, the two planes that took off during the adjournment departed U.S. airspace before
the Court’s 6:45 p.m. oral command, see ECF No. 49-1 (Robert L. Cerna Third Decl.), ¶ 5, and
“landed abroad” sometime after the Court posted the Minute Order at 7:25 p.m. See ECF No. 56
(State Secrets Notice) at 7–8. A third flight reportedly took off from Harlingen at 7:36 p.m., see
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Lee & Schaul, supra, but the Government maintains that all aboard were removed under
authorities other than the Proclamation. See Cerna Second Decl., ¶ 6. The first two planes —
those carrying members of the Plaintiff class covered by the TRO — apparently touched down in
Honduras at 7:37 p.m. and 8:10 p.m., and remained there for several hours before taking off
again for El Salvador. See Lee & Schaul, supra; LeVine et al., supra. After the planes landed in
El Salvador shortly after midnight on Sunday, see Lee & Schaul, supra, most of the passengers
were apparently transferred into one of that country’s prisons, known as the Center for Terrorism
Confinement (CECOT).
But not all passengers, it seems. One Venezuelan woman swears in a declaration that she
was on one of the flights that landed in El Salvador but was flown back to the United States
along with seven other women, apparently because Salvadoran authorities on the ground refused
to accept any female prisoners. See ECF No. 55-1 (S.Z.F.R. Decl.), ¶¶ 1, 19–21; see also Didi
Martinez, Julia Ainsley & Laura Strickler, “We Were Lied To:” Two Women the Trump
Administration Tried to Send to El Salvador Prison Speak Out, NBC News (Apr. 2, 2024),
man, who avows that he was also on board one of the removal flights but was returned alongside
the women because Salvadoran officials would not take custody of Central American nationals
such as himself. See ECF No. 55-2 (Katiana Gonzalez Decl.), ¶¶ 1, 7–9.
By mid-Sunday morning, the picture of what had happened the previous night came into
clearer focus. It appeared that the Government had transferred members of the Plaintiff class
into El Salvador’s custody hours after this Court’s injunction prohibited their deportation under
the Proclamation. Worse, boasts by Defendants intimated that they had defied the Court’s Order
deliberately and gleefully. The Secretary of State, for instance, retweeted a post in which, above
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a news headline noting this Court’s Order to return the flights to the United States, the President
of El Salvador wrote: “Oopsie . . . Too late 😂😂.” Nayib Bukele (@nayibbukele), X (Mar. 16,
original).
B. Procedural Background
A filing submitted by Defendants on Sunday afternoon failed to dispel any concerns that
they had flouted the Court’s injunction. See ECF No. 19 (Mar. 16 Notice); see also Resp. to Mar.
16 Notice at 1–6. So the Court set a hearing for Monday, March 17, to determine what had
transpired over the weekend. See Minute Order of Mar. 17, 3:09 p.m. (denying ECF No. 24
(Mot. to Vacate Mar. 17 Hrg.)). The Court expected that at the hearing, Defendants might
explain that, despite appearances otherwise, none of the people on the first two flights was a
member of the Plaintiff class. Or, at worst, Defendants would admit to a grave mistake, explain
The United States Government took neither tack. Rather, what followed in the ensuing
days was increasing obstructionism on the part of the Government as it refused to answer basic
questions about what had happened, questions that were all ultimately in service of resolving one
key fact: whether members of the Plaintiff class — that is, noncitizens removable solely on the
basis of the Proclamation — were transferred out of U.S. custody after this Court’s injunction
Such stonewalling started before the Monday hearing. Just before it was set to begin,
Mot. to Vacate Mar. 17 Hrg. at 1. Nowhere in their filing did they dispute that class members
were transferred into Salvadoran custody hours after the injunction issued. Instead, Defendants
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set forth several hyper-technical legal arguments for why, in spite of that fact, they had complied
with the Court’s Order. Id. at 2–5. Such arguments were unconvincing then and remain so now.
Then, in the hearing itself, the Government refused to provide any relevant facts. The
lawyer the Government sent to the proceeding — conveniently not the counsel who had appeared
at the TRO hearing — repeatedly stated in some form or another that he was not “at liberty to
disclose anything about any flights.” ECF No. 25 (Mar. 17 Hrg. Tr.) at 7. Although he would
not say that such information was even classified, see id. at 9–10, he claimed that it could not be
shared — even ex parte with the Court — because of “diplomatic concerns” and “national
security concerns with flight patterns and things of that sort.” Id. at 6, 8; see id. at 30. That is,
the Government maintained that it could not share any details about the flights even privately
with the Court despite the fact that, the previous day, Defendants had retweeted a three-minute
video that portrayed a host of operational details. See Donald J. Trump (@realDonaldTrump),
Truth Social (Mar. 16, 2025, 3:54 p.m. EDT), https://perma.cc/WJ8H-F8HW; Secretary Marco
Rubio (@SecRubio), X (Mar. 16, 2025, 8:39 a.m. EDT), https://perma.cc/ZD8J-KAGH. In high
definition, the video displayed the planes and the runway where they parked; how migrants were
restrained and transported; the faces and uniforms of many detainees, guards, and other officials;
where the vehicles apparently entered CECOT; and the inside of the prison. Id.
So, on Monday evening, the Court ordered the Government to submit another filing the
were — yet nonetheless needing answers on how members of the Plaintiff class had been
transferred into a foreign prison hours after the injunction issued, the Court directed the
Government to explain its “position on whether, and in what form, it will provide answers to the
Court’s questions regarding the particulars of the flights.” Minute Order of Mar. 17, 6:47 p.m.
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The Court again offered that such information could be provided in camera, including in a
In their March 18 response, Defendants reiterated their various arguments for why they
should not have to share information related to flights, but conceded that if ordered to do so, they
would submit “an in camera and ex parte declaration.” ECF No. 28 (Mar. 18 Notice) at 1–2.
The Court ordered Defendants to do just that by noon the next day, and it set out five basic
questions that the declaration needed to answer: when the two flights in question took off and
from where; when they left U.S. airspace; when they landed in a foreign country (or countries);
what time people subject solely to the Proclamation (and not other authorities, such as the
Immigration and Nationality Act) were transferred out of U.S. custody; and how many people
were on the flights solely on the basis of the Proclamation. See Minute Order of Mar. 18, 2:27
p.m.
Defendants then reversed course entirely. On Wednesday morning, the 19th, a few hours
before their deadline, they moved this Court to stay its Tuesday Order on various grounds. See
ECF No. 37 (Emergency Mot. to Stay Mar. 18 Minute Order). Most relevant, they asserted for
the first time that they were considering invoking the state-secrets privilege over the flight details
and needed more time to make that determination. See id. at 3–4. The Court was “unsure” how
answering its five questions could “jeopardize state secrets” — Defendants, after all, had
publicly shared images of the flights making them trackable and had still not claimed that the
questions bore on any classified information, see ECF No. 38 (Mar. 19 Order) at 2 — but
nonetheless sought to accommodate their last-minute request. It gave them yet another day
either to answer the five questions or to invoke the state-secrets doctrine. Id. at 4.
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On Thursday, the 20th, the Government “again evaded its obligations.” ECF No. 47
(Mar. 20 Order) at 1. Rather than invoke the privilege or answer the questions, it submitted a
short declaration from an Immigration and Customs Enforcement officer stationed in Harlingen.
See Cerna Third Decl. It was his “understand[ing],” he said, that Cabinet Secretaries were then
considering whether to invoke the privilege. Id. at 2. In response to this wholly inadequate
response from a low-level official without any actual knowledge, the Court required Defendants
to submit a declaration from someone directly involved with the Cabinet-level discussions and
gave Defendants five days to indicate whether they were invoking the state-secrets privilege.
See Mar. 20 Order at 3. The Government has since invoked it. See State Secrets Notice. The
Court also directed the parties to brief whether Defendants had violated the Court’s TROs. See
Mar. 20 Order at 3. That briefing is complete, and the Court held a hearing on the matter in early
April.
on the TROs’ merits. After briefing and a hearing, the Court denied Defendants’ motion to
vacate the TROs; it held that Plaintiffs had shown a likelihood of success on one of their core
claims — i.e., those subject to removal under the Proclamation had a due-process right to
challenge the Government’s determination that they were removable — and that they would face
irreparable harm if the TROs were dissolved, a harm that also tipped the balance of equities in
their favor. See J.G.G., 2025 WL 890401, at *11–14, 16–17. The Court of Appeals then rejected
Defendants’ request to stay the Orders, raising concerns with both the applicability of the Act and
the lack of due-process. See J.G.G. v. Trump, No. 25-5067, 2025 WL 914682, at *8–10 (D.C.
Cir. Mar. 26, 2025) (Henderson, J., concurring); id. at *13–14 (Millett, J., concurring).
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The Supreme Court subsequently vacated the TROs on a narrow ground. It held that
challenges to removal under the Act must be brought through a habeas-corpus proceeding — not,
as Plaintiffs did, through the Administrative Procedure Act — and therefore venue lay in the
district of the class members’ confinement, not the District of Columbia. See J.G.G., 2025 WL
1024097, at *1. While the Court split on the venue question, it unanimously held — as this
Court did when declining to dissolve the TROs — that those subject to removal under the Act
must be allowed to challenge their removability in federal court before being deported. See id. at
*2; id. at *2 (Kavanaugh, J., concurring); id. at *2, 6 (Sotomayor, J., dissenting). Specifically, all
Justices agreed that the Due Process Clause requires the Government to provide anyone it seeks
to remove notice “that they are subject to removal under the Act,” and to do so “within [a]
reasonable time and in such manner as will allow them to actually seek habeas relief” before
being removed. Id. at *2 (per curiam); id. at *6 (Sotomayor, J., dissenting). In holding as much,
the Court effectively said that the Constitution flatly prohibits the Government from doing
exactly what it did that Saturday, when it secretly loaded people onto planes, kept many of them
in the dark about their destination, and raced to spirit them away before they could invoke their
due-process rights.
As this Opinion will shortly explain at greater length, the fact that the Supreme Court
determined that this Court’s TROs suffered from a venue defect does not affect — let alone moot
II. Analysis
Defendants provide no convincing reason to avoid the conclusion that appears obvious
from the above factual recitation: that they deliberately flouted this Court’s written Order and,
separately, its oral command that explicitly delineated what compliance entailed. They do not
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dispute that it was hours after the written Order issued when they disembarked the class
members aboard the two planes and transferred them out of U.S. custody. See State Secrets
Notice at 7–8; ECF No. 58 (Resp.) at 4. Rather than offer a mea culpa and attempt to explain
this grave error and detail plans to rectify it, Defendants offer various imaginative arguments for
why they nevertheless technically complied with the Order. None of their positions withstands
scrutiny.
Defendants’ core contention — that in prohibiting class members’ removal, the written
Order barred only their physical exit from the United States, not their subsequent transfer into
Salvadoran custody — requires ignoring the clear context in which the Order was issued. Their
other arguments amount only to retroactive attacks on the legal validity of the injunction, but that
road leads nowhere: even a legally defective order must be complied with until reversed through
the appeals process. Defendants’ conduct, moreover, manifests a willful disregard of the Court’s
legally binding proscriptions. Given the evidence at this early stage in the inquiry, and offered
no persuasive reason to conclude otherwise, the Court finds that there is probable cause that
The following analysis first sets out the parameters of criminal contempt and then
explains why court orders, regardless of their ultimate validity, must be complied with. The
Court last analyzes why Defendants’ willful and knowing actions here constitute probable cause
A. Contempt
1. Legal Standard
When Congress established lower federal courts in the Judiciary Act of 1789, it conferred
on them the power “to punish by fine or imprisonment, at the discretion of said courts, all
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contempts of authority in any cause or hearing before the same.” 1 Stat. 83; see Bloom v.
Illinois, 391 U.S. 194, 202 (1968). In doing so, Congress “gave federal courts the discretionary
power to punish for contempt as that power was known to the common law.” United States v.
Barnett, 376 U.S. 681, 687 (1964); see id. at 699–700 (“The power to fine and imprison for
contempt, from the earliest history of jurisprudence, has been regarded as a necessary incident
and attribute of a court, without which it could no more exist than without a judge.”) (quotation
marks omitted); United States v. Dixon, 509 U.S. 688, 694–95 (1993). Although Congress
eventually pared back federal courts’ statutory contempt power, it preserved their authority to
punish, among other transgressions, “‘disobedience or resistance’ to court orders.” Dixon, 509
U.S. at 694 (quoting 4. Stat. 488); see Bloom, 391 U.S. at 202–04.
That statutory authority is now codified in 18 U.S.C. § 401, which provides that any
“court of the United States shall have power to punish by fine or imprisonment, or both, at its
discretion, . . . [d]isobedience or resistance to its lawful writ, process, order, rule, decree, or
shown beyond a reasonable doubt: (1) that the court order was “clear and reasonably specific”;
(2) “that the defendant violated the order”; and (3) “that the violation was willful.” United States
v. Young, 107 F.3d 903, 907 (D.C. Cir. 1997) (quoting United States v. NYNEX Corp., 8 F.3d 52,
The Court here inquires only into whether there is probable cause that Defendants
violated § 401. Such an inquiry does not appear to be strictly necessary. The statute does not
internal manual, “It is unclear whether probable cause that a willful violation has occurred is a
condition precedent to the commencement of a criminal contempt action.” U.S. Dep’t of Just.,
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of criminal contempt decisions make no mention of such a requirement.” Id. Some courts,
however, have opted to make or require findings of probable cause before initiating criminal-
contempt proceedings. See, e.g., In re Res. Tech. Corp., 2008 WL 5411771, at *4 (N.D. Ill. Dec.
23, 2008); Beyond Blond Prods., LLC v. Heldman, 2025 WL 902445, at *1 (C.D. Cal. Mar. 25,
2025); In re Sydor, 132 B.R. 243, 245–46 (E.D.N.Y. Bankr. 1991); Reed v. Rhodes, 500 F. Supp.
363, 376, 404 (N.D. Ohio 1980); United States v. Hovind, 2014 WL 12887669, at *2 (N.D. Fla.
July 8, 2014); In re United Corp., 166 F. Supp. 343, 345 (D. Del. 1958). The Court finds that
But hold on, Defendants protest. If the Supreme Court has since vacated the TROs, how
can contempt lie? See ECF No. 78 (Notice Regarding Supreme Court Decision) at 1. The
Supreme Court long ago answered that question: it is firmly settled that a court order “must be
obeyed” until it is “reversed for error” by the issuing court or a “higher” one. Walker, 388 U.S.
at 314 (quoting Howat v. Kansas, 258 U.S. 181, 189–90 (1922)). That, in turn, means that a
party “may be punished for criminal contempt for disobedience of an order later set aside on
appeal” for being defective. United States v. United Mine Workers of Am., 330 U.S. 258, 294–
95 (1947). If a party believes that a court order suffers from legal deficiencies, it therefore “must
have the injunction modified or vacated; [it] cannot simply ignore it.” Evans v. Williams, 206
F.3d 1292, 1299 (D.C. Cir. 2000). The so-called collateral-bar rule enforces that principle. It
provides that if a party is charged with contempt for disobeying a court order, it cannot raise the
legal invalidity of the order as a defense. See id. (citing Walker, 388 U.S. 307). Defendants
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were thus obligated to comply with this Court’s TRO until vacated by this Court or a higher one;
if they failed to comply, the fact that the TRO was legally unsound is no obstacle to a contempt
conviction.
There are only two narrow exceptions to this rule, neither of which applies here. First, an
enjoined party can violate an order and then challenge its validity in a contempt proceeding if —
and only if — “there was no opportunity for effective review of the order before it was violated.”
11A Charles A. Wright & Arthur R. Miller, Federal Practice & Procedure § 2960 (3d ed. Apr.
2025 update). Defendants do not seek cover behind this exception. For good reason. Just as
they had sought emergency appellate relief for the first TRO mere hours after it issued, see ECF
No. 12 (First Notice of Appeal), they notified this Court while the planes were en route to El
Salvador that they intended to do the same for the TRO in question, see ECF No. 17 (Second
Notice of Appeal) (filed 8:37 p.m.), docketing their appeal only minutes after the planes landed
in that country. See Corrected Emergency Mot. for a Stay Pending Appeal, J.G.G. v. Trump, No.
25-5067 (D.C. Cir. Mar. 16, 2025) (filed 1:07 a.m. Sunday). Defendants also could have sought
relief from this Court, including, for example, requesting a stay of the TRO pending appeal. See
Fed. R. App. P. 8(a)(1)(A); J.G.G., 2025 WL 914682, at *22–23 (Millett, J., concurring) (noting
failure to do so). Defendants, moreover, nowhere identify a reason that the transfer had to occur
early Sunday morning. If they considered waiting for appellate relief impracticable or
unattractive given the speed at which events transpired, that circumstance was entirely of their
own making, not the result of any bona-fide obstacle to effective review. Indeed, the appellate
process worked at a breakneck pace. Cf. Walker, 388 U.S. at 318–19 (case is “different” if party
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Second, a party need not obey an injunction that is “transparently invalid or had only a
frivolous pretense to validity.” Id. at 315. That is an exceedingly high bar. This narrow carveout
does not apply if the order was “arguably proper” or “had any pretence to validity at the time it
was issued.” Matter of Providence J. Co., 820 F.2d 1342, 1347 (1st Cir. 1986). The exception
therefore applies “[o]nly in the rarest of situations.” Zapon v. U.S. Dep’t of Just., 53 F.3d 283,
285 (9th Cir. 1995). This is not one. The Supreme Court has admittedly held that Plaintiffs’
claims should have been brought in habeas, see J.G.G., 2025 WL 1024097, at *1, but this Court’s
view of the issue at the time of the Orders was not patently frivolous. Rather, the question was
“substantial,” United Mine Workers, 330 U.S. at 293, dividing both the Court of Appeals and the
Supreme Court. See J.G.G., 2025 WL 914682, at *23–31 (Millett, J., concurring); id. at *34–37
(Walker, J., dissenting); J.G.G., 2025 WL 1024097, at *1; id. at *7–10 (Sotomayor, J.,
dissenting).
To be sure, some courts outside this Circuit have suggested that when a court lacks
subject-matter jurisdiction to adjudicate a dispute, an enjoined party may raise that fact as a
defense to contempt. See, e.g., In re Novak, 932 F.2d 1397, 1401–02 (11th Cir. 1991); In re
Estab. Inspection of Hern Iron Works, Inc., 881 F.2d 722, 726–27, 726 n.12 (9th Cir. 1989) (but
noting pervasive uncertainty on the issue). Those statements, however, do not control here, not
least because they are incompatible with the Supreme Court’s subsequent opinion in Willy v.
Coastal Corp., 503 U.S. 131 (1992). See United States v. Straub, 508 F.3d 1003, 1006, 1010
(11th Cir. 2007) (upholding 18 U.S.C. § 401(3) contempt charge even though court lacked
jurisdiction “over the underlying controversy,” and noting Willy “resolve[d] this issue”).
In Willy, a district court imposed Rule 11 sanctions — which function like criminal
contempt, as they are “designed to punish a party who has already violated the court’s rules,” 503
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U.S. at 139 — even though it was later shown that it did not have subject-matter jurisdiction
when the sanctionable conduct occurred; indeed, it issued the final sanctions order after its lack
of jurisdiction had been determined by the court of appeals. Id. at 133–34. The Supreme Court
nonetheless upheld the sanctions order. Id. at 135–39. “A final determination of lack of subject-
matter jurisdiction,” the Court explained, “precludes further adjudication of” the case’s merits,
but a sanctions order is “collateral to the merits,” so a court’s lack of subject-matter jurisdiction
poses no constitutional bar. Id. at 137–38; see also id. at 137 (explaining that United Mine
Workers, 330 U.S. 258, “upheld a criminal contempt citation even on the assumption that the
District Court issuing the citation was without jurisdiction over the underlying action”).
Following Willy, the D.C. Circuit has made clear that “subject-matter jurisdiction over an
underlying action is not a precondition of a federal court’s authority to sanction those who
violate its orders.” In re LeFande, 919 F.3d 554, 561 (D.C. Cir. 2019) (citing Willy, 503 U.S. at
jurisdiction at the time of the violation, then, a party can be held in contempt for disobedience,
and the same court can impose the sanctions even after its lack of jurisdiction has been revealed.
In any event, this Court possessed such jurisdiction. Recall, the Supreme Court held in
its per curiam opinion that claims challenging removal under the Alien Enemies Act “must be
brought in habeas.” J.G.G., 2025 WL 1024097, at *1. That conclusion rested on a line of cases
holding that habeas is the “exclusive remedy” for state prisoners challenging their sentences,
even though such claims “may come within the literal terms of” another statute. Heck v.
Humphrey, 512 U.S. 477, 481 (1994); see also Preiser v. Rodriguez, 411 U.S. 475, 489–90
(1973). In such circumstances, the Court has previously explained, the availability of habeas
relief means a separate “cause of action . . . does not accrue.” Heck, 512 U.S. at 489–90. By
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analogy, the same occurred here. In holding that habeas is the exclusive remedy for Plaintiffs,
the Supreme Court denied that they possessed a valid cause of action under the APA when this
Court granted the classwide TRO; it did not hold that this Court lacked subject-matter
jurisdiction. In fact, Justice Kavanaugh noted in his concurrence that the availability of habeas
relief constitutes an “adequate remedy” barring suit under the APA. See J.G.G., 2025 WL
1024097, at *2 (Kavanaugh, J., concurring) (quoting 5 U.S.C. § 704); see also J.G.G., 2025 WL
914682, at *34 (Walker, J., dissenting) (making same point). The adequate-remedy bar,
however, is not a jurisdictional one: on the contrary, the D.C. Circuit has explained that § 704
“determine[s] whether there is a cause of action under the APA, not whether there is federal
subject matter jurisdiction.” Perry Capital LLC v. Mnuchin, 864 F.3d 591, 621 (D.C. Cir.
2017). Under either habeas or APA precedents, then, both paths lead to the same destination: the
At worst, as the Supreme Court held here, “venue [was] improper in the District of
Columbia.” J.G.G., 2025 WL 1024097, at *1 (emphasis added). Indeed, regardless of how the
issue is framed, the Court has been clear that any reference to habeas “jurisdiction” does not
refer to a court’s “subject-matter jurisdiction.” Rumsfeld v. Padilla, 542 U.S. 426, 434 n.7
(2004). Rather, the “territorial-jurisdiction rule[]” is a question of proper “venue.” Id. at 452
(Kennedy, J., concurring); see also Chatman-Bey v. Thornburgh, 864 F.2d 804, 812–13 (D.C. Cir.
1988) (similar). And it is black-letter law that while subject-matter jurisdiction goes to whether
any federal court may even hear the dispute, venue determines which jurisdiction-possessing
court is the most convenient. See 14D Wright & Miller, supra, § 3801 (4th ed. Apr. 2025
update); Neirbo Co. v. Bethlehem Shipbuilding Corp., 308 U.S. 165, 167–68 (1939) (same). Just
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like the availability of a cause of action under the APA, that question has been determined by
The upshot is that, after the Supreme Court’s decision in this case, it has been
preliminarily determined that Congress channeled a challenge to removal under the Alien
Enemies Act to a habeas petition filed in a detainee’s district of confinement. This Court’s
decision to recognize a cause of action under the APA in the District of Columbia, while
ultimately found erroneous by the Supreme Court, therefore is not a defect that would excuse
The “firmly established” “rule of law” that even a legally unsound order must be obeyed
at the risk of contempt therefore focuses the present inquiry. Walker, 388 U.S. at 319. The
question presented here is whether there is probable cause that Defendants deliberately or
recklessly disregarded a clear and reasonably specific order. See Young, 107 F.3d at 907, 910.
The question is not — as many of Defendants’ evasive legal arguments imply — whether that
The first element of contempt requires that the injunction be “clear,” “reasonably
specific,” Young, 107 F.3d at 907 (quotation marks omitted), and “unequivocal at the time it is
issued.” In re Holloway, 995 F.2d 1080, 1082 (D.C. Cir. 1993) (quoting Traub v. United States,
232 F.2d 43, 47 (D.C. Cir. 1955)). To “determin[e] whether an order is sufficiently clear and
specific,” courts “apply an objective standard that takes into account” not just “the language of
the order” but also “the objective circumstances surrounding the issuance of the order.” Young,
107 F.3d at 907. Thus, “[w]hether an order is clear enough depends on the context in which it
[was] issued,” which includes “the audience to which it [was] addressed,” id. at 907–08 (quoting
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In re Levine, 27 F.3d 594, 596 (D.C. Cir. 1994)), as well as “the relief sought by the moving
party, the evidence produced at the hearing on the injunction, and the mischief that the injunction
seeks to prevent.” Common Cause v. Nuclear Regul. Comm’n, 674 F.2d 921, 927 (D.C. Cir.
The question here, then, is whether it was sufficiently clear to the Government that the
Court was prohibiting it from transferring class members into another country’s custody —
something Defendants admit to doing hours after the written Order issued. See State Secrets
Notice at 7–8. The Government, however, now contends that the Court’s Order should be
understood to have enjoined it only from transporting class members outside of U.S. territory,
not from relinquishing custody of them once they were already outside the United States. That
narrower Order, it argues, was one with which it fully complied. That interpretation is
deliberately blind to the Court’s unequivocal language and the context surrounding its Order.
At 7:25 p.m. on Saturday evening, roughly 30 minutes after the hearing adjourned, see
Mar. 15 Hrg. Tr. at 47, the Court issued its written Order. See Minute Order of Mar. 15, 7:25
p.m. Expressly referencing the hearing, the Order certified a Plaintiff class consisting of all
noncitizens in U.S. custody who were subject to the Proclamation, and, relevant here,
memorialized the TRO using the same language as in the hearing. See Mar. 15 Hrg. Tr. at 42,
As already explained, the Government does not dispute that after this written TRO
issued, it temporarily landed two planeloads of class members in Honduras, flew them to El
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Salvador, deplaned them there, and then — critically — transferred them from U.S. to
Salvadoran custody. See State Secrets Notice at 7–8. Indeed, the Government does not
challenge that this transfer of custody happened some five hours, at least, after the written Order
was docketed. See LeVine et al., supra (planes landed in El Salvador at 12:10 and 12:18 a.m.).
Defendants offer a novel interpretation of the Order that, if adopted, would mean that
they were not in violation. The linchpin of their argument is that in forbidding them from
“removing” class members, see Minute Order of Mar. 15, 7:25 p.m., the TRO prohibited only
flying class members outside of the United States, not the further act of relinquishing custody of
them into the hands of a foreign government. See Resp. at 2–4. And, they continue, because
both planes had already departed U.S. airspace before the written Order posted (and before the
oral command preceding it), everyone on board had already been removed before the Order
issued. See id. While perhaps clever, this argument does not carry the day.
issued. See Young, 107 F.3d at 907–08; Resp. at 2. But they would have the Court search for
context in all the wrong places. After observing that the written TRO did not define “remove,”
Resp. at 3, they seek to show that the term has a clear meaning under the Act, with the
implication that the Court incorporated that definition into its Order. They do not make their
case.
Across a couple paragraphs, Defendants halfheartedly seek to root their narrow reading
of “removal” in the Act. They cite several dictionary definitions from around the time that
Congress passed the Alien Enemies Act in 1798, but these are far from conclusive. See Resp. at
3. They also suggest that their territorial understanding makes sense because the Act speaks of
“the territory of the United States.” Id. (quoting 50 U.S.C. § 21). This, too, is hardly definitive:
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just because an “invasion” or “predatory incursion” must be “against the territory of the United
States” to trigger the Act’s authorities does not resolve whether the process of removal comprises
a physical departure or a transfer of custody. Defendants therefore fall well short of showing that
As a fallback of sorts, Defendants gesture toward the adjacent INA context, but that
undercuts their position. They cite a lone case in which the Ninth Circuit held that an INA
removal order is executed when the person physically exits the United States. Nicusor-Remus v.
Sessions, 902 F.3d 895, 898, 899 (9th Cir. 2018) (citation omitted). That court, however,
recognized that departure can convey a “physical departure” (territorial exit) or, conversely, a
“legal departure” (implicating questions of one’s legal admission to and status in the country of
destination), and it found that the former controlled only because the INA’s own statutory
definition made that conclusion unavoidable. Id. at 899–900 (noting statute defined “deported or
removed” as having “left the United States”) (quotation marks omitted). Here, by contrast, as
Defendants concede, see Resp. at 3, we have no statutory definition that might be dispositive.
Insofar as INA cases are relevant, moreover, they demonstrate that, at the time the TRO
issued, the Government understood removal to mean the exact opposite of what they now claim.
But don’t take the Court’s word for it. Just listen to the argument the Government made a mere
five days before the events in question here. In a different case in this district — with some of
the same Defendants, and in a filing signed by some of the same lawyers signing Defendants’
show-cause response — the Government argued that “removal” under the INA is a “term of art,”
and that “[t]o effectuate a departure or removal, the alien must lawfully enter another country,”
as “the fact that [he] is physically on foreign soil is not alone sufficient to establish that he has
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legally departed the United States.” Escalona v. Noem, No. 25-604, ECF No. 14 (Opp. to Mot.
for Stay of Transfer) at 29–30 (D.D.C. Mar. 10, 2025) (citations omitted); see id. at 40 (lawyers).
Defendants, then, do not show that “removal” carries the specific meaning they urge
under the Act. For that reason, rather than a smattering of late-18th-century dictionaries and an
inconclusive fragment of the Act’s text, the better — indeed the obvious — place to look for the
meaning of “removal” in the Court’s written TRO is the hour-plus-long hearing that immediately
preceded it. See Young, 107 F.3d at 907–08 (context for determining meaning of injunction
includes “objective circumstances surrounding the issuance of the order” and “audience to which
Anyone paying attention to the hearing (as the Government presumably was) would have
known that the ultimate action Plaintiffs sought to prevent through a TRO was not their mere
transportation across the U.S. border, but instead their discharge from U.S. custody into a foreign
country or into foreign hands. Common Cause, 674 F.2d at 927 (context for determining
meaning of injunction includes “the relief sought by the moving party” and “mischief that the
injunction seeks to prevent”). When the Court accordingly referred to removal or deportation in
the hearing, it consistently used those terms to mean a legal departure that was complete upon
discharge from U.S. custody, not upon mere physical exit from U.S. territory.
First, mark the opening exchange of the hearing. The Court asked the Government to
confirm that none of the five named Plaintiffs was “on any plane that has departed,” Mar. 15
Hrg. Tr. at 4, as the first TRO then in place prohibited their “remov[al] . . . from the United
States.” Minute Order of Mar. 15, 9:40 a.m. Government counsel said that he had “confirmed”
that they would “not be removed.” See Mar. 15 Hrg. Tr. at 5. The Court then clarified what that
must entail, stating: “I would assume that means that they are either not on the planes or that they
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will not be removed from the planes and will be brought back once the planes land in El
Salvador.” Id. (emphasis added). The Government did not disagree with that characterization.
Id. From the start, then, the Court plainly considered removal (from the United States) — i.e.,
the action that would violate the TRO — to mean a legal removal, and specifically a process that
culminated not in a detainee’s movement out of U.S. airspace or arrival in a foreign country, but
instead upon his transfer out of U.S. custody. Similarly, during a later exchange on irreparable
harm, the Court expressly said that it viewed “the status quo” (which Plaintiffs sought to
maintain) as “keeping [class members] in ICE custody but not deporting them.” Mar. 15 Hrg. Tr.
Second, consider the recurring discussion about when and how the Court would lose
equitable jurisdiction. These exchanges make clear that the Court considered a TRO to be
appropriate in part to preserve the status quo; that the Court (and Plaintiffs) felt that this entailed
ensuring that it did not lose jurisdiction; and that it was concerned that it would lose jurisdiction
not when class members exited U.S. airspace but instead when they left U.S. custody. The
“sources” “on the ground” had indicated that planes were actively departing or could be at any
moment. Id. at 12. That created time pressure, he said, but not because class members would
simply be flown outside the United States; instead, it was because they could imminently “end[]
up in a Salvadoran prison,” and that eventuality might “divest this Court of jurisdiction.” Id.
The reason was explained later in the hearing, when the discussion returned to irreparable
harm. The Government said that it did not understand Plaintiffs’ irreparable-harm argument,
which it construed to be “predicated on the premise that this Court would somehow lose
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jurisdiction if [class members] were” “in the United States” but “not in D.C.” Id. at 35. The
Court clarified for the Government that Plaintiffs’ “argument in part is [that class members] are
going to be sent to Salvadoran or Honduran prisons.” Id. (emphasis added). Indeed, that event,
Plaintiffs again agreed, was the crux: not only did they face “real danger . . . if they end up in a
Salvadoran prison,” but if that were to occur, “the Court would lose jurisdiction because it
wouldn’t be able to offer a remedy” — and a TRO was needed to prevent both things from
happening. Id. at 36–37. The Government surely understood the black-letter principle that to
have jurisdiction, a Court must be able to redress the plaintiff’s injury. See Uzuegbunam v.
Preczewski, 592 U.S. 279, 291 (2021). Plaintiffs here clearly recognized that if they were turned
over to Salvadoran authorities, the Court might lose its ability to offer any remedy: while a
federal court can exercise equitable powers over U.S. officials even if they are overseas, it cannot
directly control foreign officials, see Doe v. Mattis, 928 F.3d 1, 22 (D.C. Cir. 2019), meaning that
this Court could not order the guards at CECOT to release class members. But see Abu Ali v.
Ashcroft, 350 F. Supp. 2d 28, 30–31, 47–50 (D.D.C. 2004) (denying motion to dismiss habeas
petition filed by U.S. citizen held in Saudi prison at United States’s behest because prisoner was
in “constructive” U.S. custody); Munaf v. Geren, 553 U.S. 674, 686 (2008) (one is “held ‘in
custody’ by the United States when” a U.S. official “has ‘the power to produce’ him”) (citation
omitted).
the Court’s response here to mischaracterize its position, suggesting that the Court acknowledged
that it lacked jurisdiction once class members left U.S. airspace. See Resp. at 8; see also id. at
11. But that contention overlooks that the first words of the response — “Right. Sure. I mean,
once they are out of the country, I’m not sure what I can do there,” Mar. 15 Hrg. Tr. at 36 —
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suggestion also ignores the Court’s prior and repeated references to removal as a transfer of
custody. Any lingering doubt on this score is dispelled by the exchange that occurred just a few
minutes later. Immediately after the Court ruled on the TRO and delivered the oral command on
how it should be implemented (which will be addressed shortly), see id. at 42–43, Plaintiffs
provided an update on the two flights that they understood to have taken off that afternoon; one
had ended up in El Salvador and the other in Honduras, they said. Id. at 44. In response, the
Court said:
Id. (emphasis added). “Right,” agreed Plaintiffs. Id. If the Court believed jurisdiction to be
territorial, it would not have said the emphasized portion; instead, its answer would have been,
“If the planes have left the United States, I don’t have jurisdiction to require their return.”
In short, then, these exchanges on equitable jurisdiction — in which the Government was
both “audience” and participant, Young, 107 F.3d at 907–08 — demonstrate that Plaintiffs sought
a classwide TRO that would ensure that the Court retained that jurisdiction over class members;
that the Court agreed that it would lose such jurisdiction upon class members’ handover to
foreign authorities, and not before; and that the only TRO the Court was considering granting
Third, return to the oral ruling and command. At around 6:45 p.m., the Court ruled on
Plaintiffs’ request for a broader TRO covering all class members. After explaining the reasons
that a TRO covering the Plaintiff class was “appropriate,” the Court spelled out its scope: the
TRO “would be to prevent the removal of the class for 14 days or until further order of the Court.
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And the class will be all noncitizens in U.S. custody who are subject to the Proclamation . . . and
[to] its implementation.” Mar. 15 Hrg. Tr. at 42 (emphasis added). After noting that it would
“memorializ[e]” the TRO through a Minute Order, the Court then addressed “where we go from
here,” id., and turned to the Government to emphasize “the first point”:
[Y]ou shall inform your clients of [the Order] immediately, and that
any plane containing [class members] that is going to take off or is
in the air needs to be returned to the United States, but those people
need to be returned to the United States. However that’s
accomplished, whether turning around a plane or not [dis]embarking
anyone on the plane . . . , I leave to you. But this is something that
you need to make sure is complied with immediately.
From this command alone, it was clear and unequivocal that the ultimate action
proscribed by the TRO was not class members’ removal from U.S. territory, but instead their
transfer from U.S. custody into foreign hands. If the Court’s TRO only prohibited class members
from being transported out of U.S. territory, much of the oral command would be nonsensical. It
would make no sense to command that “people” who had never left the United States needed “to
be returned to the United States.” Id. (emphasis added). Nor would it make any sense for the
Court to have ordered the Government not to deplane “anyone on [a] plane.” Id. The
inescapable meaning of that directive, particularly in light of the exchanges leading up to it, was
that anyone on a removal flight that had already landed abroad should not be discharged from
U.S. custody and turned over to Salvadoran (or Honduran) authorities. That was clearly the
ultimate harm Plaintiffs sought to prevent and the jurisdiction-terminating event they endeavored
to preclude by freezing the status quo. If the injunction only prevented class members’ exit from
U.S. airspace, the Court would have had no need to detail how they should be handled if their
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***
In sum, numerous exchanges throughout the hearing, including the ultimate unequivocal
oral command that clarified how the TRO must be obeyed, demonstrate that the Court
consistently considered removal to be not mere physical removal, but instead legal deportation
that was complete upon transfer out of U.S. custody. Defendants’ proposition — that the written
Order used removal in a dramatically narrower sense — flies in the face of this overwhelming
context. And they provide no convincing explanation for why, after its emphatic oral command,
the Court would have made an abrupt U-turn in the 30-minute window between the end of the
hearing and the docketing of the Order. Contra Resp. at 7. Indeed, the Court twice told the
Government in the hearing that it would “memorializ[e]” the TRO in the written Order, see Mar.
15 Hrg. Tr. at 42, 46; the only objectively reasonable expectation, then, was that the written order
enshrined the injunction unchanged unless the Court expressly drew attention to any
discrepancies between what was said and what was recorded in writing. Nor did the Government
seek to clarify the relationship between the oral command and written Order, which it plainly
should have done had it felt any confusion. The Court therefore concludes that the written TRO
and the oral command defining compliance were each sufficiently clear and specific in
4. Violation
The second element of contempt requires that the sufficiently clear and specific order was
in fact violated. Young, 107 F.3d at 907. Defendants do not dispute that, if the Order indeed
proscribed transferring class members out of U.S. custody, they plainly violated it hours after it
issued. Rather than mount any factual defense, they rely on post-hoc legal arguments to attack
the validity of the Order itself. These positions are without merit, but, more important, they are
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not even available to Defendants. As previously explained, per the collateral-bar rule, what
matters is whether they violated the terms of the Order, not whether the Order itself was legally
valid.
a. Separation of Powers
Defendants first claim that even if the TRO used the term “removal” to describe a legal
departure and thereby did enjoin class members’ transfer into foreign custody, it did not prohibit
— indeed could not prohibit — Defendants from making such a transfer if the class members
“were already outside the United States” at the time of the Order. See Resp. at 9; id. at 2, 9–13.
Underpinning their claim is a sweeping assertion: they contend that once the class
members exited U.S. airspace, Defendants’ authority over them flowed solely from the
President’s Article II powers, not from the congressional grant of immigration authority invoked
by the Proclamation. Id. at 10, 12. In their view, from El Valle to the U.S. border, Defendants
transported class members pursuant to the Act; upon exiting U.S. airspace, however, the Act fell
away, and Defendants continued on under only the President’s Article II powers.
From that bold premise, Defendants urge two points. They first posit that because it only
enjoined removals effectuated “pursuant to the Proclamation,” Minute Order of Mar. 15, 7:25
p.m., the TRO “by its terms” did not reach conduct outside of United States territory taken
pursuant to Article II. See Resp. at 9–10, 12. Even were the premise solid (which it is not), this
is simply another argument about how the TRO should be construed based on its language. But
we have already been down this path: the TRO should be understood in light of the
circumstances in which it issued — not given a belated gloss by virtue of sweeping separation-
of-powers theories raised for the first time in briefing. To reiterate again, the relevant context
here demonstrates that the Order clearly and specifically prohibited Defendants from transferring
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any class members into a Salvadoran prison, even — in fact, especially — if they had already
been flown outside the United States. See supra pp. 26–30.
To the degree that Defendants’ objection does not concern the Order’s interpretation, it
melds into their secondary argument: even if the Court’s Order prohibited (or “purported to”
prohibit, see Resp. at 9) transferring custody of class members already outside the United States,
the Court lacked the constitutional power to enjoin such transfers. Id. at 11 (Executive Branch’s
handling of class members abroad “was beyond the courts’ authority to adjudicate”). This
First and most important, the collateral-bar rule stops it in its tracks. Even if Defendants’
theory of Article II power were sound, it would not help them in this contempt inquiry. The
argument, at bottom, is an attack on the legal validity of the TRO: by restraining their conduct,
Defendants say, the Order infringed on the President’s Article II powers and thus violated the
cannot “defend contempt charges by asserting the unconstitutionality of the injunction.” Carroll
v. President & Comm’rs of Princess Anne, 393 U.S. 175, 179 (1968) (citing Walker, 388 U.S.
307). If Defendants believed — correctly or not — that the Order encroached upon the
President’s Article II powers, they had two options: they could seek judicial review of the
injunction but not disobey it, or they could disobey it but forfeit any right to raise their legal
argument as a defense against criminal-contempt charges. See supra pp. 17–18. They chose the
latter course.
Even if their Article II argument could be construed as something other than a barred
collateral attack on the legal soundness of the Orders, it would still come up short. There is no
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merit to their contention that outside U.S. airspace, Defendants somehow operated solely under
the President’s Commander-in-Chief powers, not the Alien Enemies Act. The Constitution gives
Congress “plenary authority” over immigration, INS v. Chadha, 462 U.S. 919, 940 (1983), so
any “discretion over the admission and exclusion of aliens” possessed by the Executive “extends
only as far as the statutory authority conferred by Congress and may not transgress constitutional
limitations.” Abourzek v. Reagan, 785 F.2d 1043, 1061 (D.C. Cir. 1986). Since the Act’s
passage, moreover, an unbroken line of cases has considered the “disposition of alien enemies
during a state of war” to be within Congress’s constitutional ambit, not the President’s. See
Ludecke, 335 U.S. at 173; id. at 161; Brown v. United States, 12 U.S. (8 Cranch) 110, 126
(1814) (Marshall, C.J.) (Act “affords a strong implication that” President “did not possess”
power over “alien enemies” “by virtue of [a] declaration of war”); Citizens Protective League v.
Although Defendants offer certain soundbite-ready assertions, see State Secrets Notice at
1 (declaring “President’s plenary authority, derived from Article II and the mandate of the
electorate . . . to remove from the homeland designated terrorists”), they cite no legal authority
that Defendants here operated pursuant to a presidential power preclusive of both congressional
and judicial power. Such an extraordinary claim “must be scrutinized with caution, for what is at
stake is the equilibrium established by our constitutional system.” Youngstown Sheet & Tube
Co. v. Sawyer, 343 U.S. 579, 638 (1952) (Jackson, J., concurring). Yet across multiple filings
they muster not a single case in direct support of the proposition that when the Government
carries out deportations pursuant to a grant of statutory authority, that authority is necessarily
eclipsed by the Executive’s exclusive constitutional prerogative when deportees leave U.S.
territory. See State Secrets Notice at 1–2; Resp. at 9–13; Mot. to Vacate Mar. 17 Hrg. at 4–5.
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Were that true, Executive Branch officials could do as they please with deportees abroad,
regardless of statutory constraints that plainly apply — for example, by rerouting a plane to
discharge deportees into a country where they would be tortured, even though federal law
expressly forbids that outcome. See Huisha-Huisha v. Mayorkas, 27 F.4th 718, 721–22 (D.C.
Even when the Supreme Court has found that an immigration statute does not apply
extraterritorially, its reasoning undercuts Defendants’ claim. In Sale v. Haitian Centers Council,
Inc., 509 U.S. 155 (1993), the Court considered the legality of a program in which the Coast
Guard interdicted Haitian refugees on the high seas and repatriated them. The executive order
authorizing those operations relied on an INA provision that allowed the President to “suspend
the entry of” aliens in certain circumstances, id. at 172 (quoting 8 U.S.C. § 1182(f)), but it also
gestured toward the President’s constitutional powers. Id. at 164 n.13. The challengers urged
that the operations violated a separate provision of the INA from the one undergirding the
operation. Id. at 170–71. The Court held that the second provision did not apply to
extraterritorial actions, but that was a matter of statutory interpretation, not because any Article II
Defendants’ extravagant assertion of Article II power, moreover, runs headlong into the
fact that courts regularly adjudicate — and sometimes, through their equitable powers, restrain
— Executive Branch conduct abroad. Indeed, this occurs even when national-security concerns
are at their apex and Article II powers robust. See, e.g., Hamdan v. Rumsfeld, 548 U.S. 557
(2006) (holding Executive’s military commissions on Guantanamo Bay cannot proceed given
their unlawful structure and procedures); Boumediene v. Bush, 553 U.S. 723 (2008) (concluding
that U.S. courts retain authority to constrain Executive action in Guantanamo Bay through writ
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of habeas corpus). In Doe v. Mattis, for instance, the U.S military held a dual U.S./Saudi citizen
in Iraq, believing him to be a member of the Islamic State. See 928 F.3d at 3. The district court
enjoined the U.S. military from transferring him into another country’s custody without 72 hours’
notice. Id. at 3–4. After the military then provided such notice, the court enjoined the ensuing
transfer on the ground that the military lacked legal authority. Id. at 4. The D.C. Circuit upheld
both orders, agreeing that the military had failed to satisfy the legal preconditions for such a
That courts can enjoin U.S. officials’ overseas conduct simply reflects the fact that an
injunction operates in personam, meaning that it “is directed at someone, and governs that
party’s conduct.” Nken v. Holder, 556 U.S. 418, 428 (2009). It therefore binds the enjoined
parties wherever they might be; the “situs of the [violation], whether within or without the
United States, is of no importance.” New Jersey v. City of New York, 283 U.S. 473, 482 (1931);
Steele v. Bulova Watch Co., 344 U.S. 280, 289 (1952) (“Where . . . there can be no interference
with the sovereignty of another nation, the District Court in exercising its equity powers may
command persons properly before it to cease or perform acts outside its territorial jurisdiction.”);
cf. Massie v. Watts, 10 U.S. (6 Cranch) 148, 158 (1810) (“[T]he principles of equity give a court
jurisdiction wherever the person may be found.”); Mallory v. Norfolk S. Railway Co., 600 U.S.
To argue that this Court did something more than what courts routinely do, Defendants
must grossly mischaracterize its Order and oral command. They contend that this Court ordered
“the Government to reverse an extant counterterrorism operation and deliver foreign terrorists to
United States soil,” Resp. at 7; see id. at 10–11 (similar), including by mandating that they
“turn[] planes around mid-air without regard to important logistical constraints such as fuel
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availability or foreign airspace restrictions.” State Secrets Notice at 8. Hardly. The fair reading
of the TRO is that it only prevented class members’ transfer from American into foreign custody.
See supra pp. 26–30. To be sure, in its oral command, the Court said: “[A]ny plane containing
[class members] that is going to take off or is in the air needs to be returned to the United States,
but those people need to be returned to the United States.” Mar. 15 Hrg. Tr. at 43. But the Court
made clear in the same breath: “However that’s accomplished” — i.e., however custody is
retained — “whether turning around a plane or not [dis]embarking anyone [on it] . . . , I leave to
you.” Id. The overriding implication was therefore that U.S. officials needed to retain custody.
The Court thus warned that if retaining custody hinged on ensuring that planes did not take off,
or turned around, or did not discharge their passengers, then such actions needed to happen —
but it was up to Defendants to comply however they saw logistically and operationally prudent.
See J.G.G., 2025 WL 914682, at *21 (Millett, J., concurring) (TROs did “nothing remotely like”
custody, and thus the court’s jurisdiction, over the Plaintiffs”). And if the Government indeed
voluntarily delivered nine passengers back to U.S. soil, see supra p. 9, the choice to hold them in
the United States as opposed to somewhere else was the Government’s, not this Court’s.
Once the dust Defendants kick up is cleared away, it is evident that the TRO merely did
what courts consistently do: review and sometimes restrict Executive actions, including when the
officials are overseas and the issues implicate national security or foreign affairs. It in no way
invaded any Article II powers, despite Defendants’ effort to incant new ones into existence. In
any event, even if the TRO did somehow overstep the Court’s Article III power, Defendants
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b. Rule 65(d)
Defendants next seek protection in one of the Federal Rules of Civil Procedure. Rule
65(d)(1), which sets out the parameters for issuing a preliminary injunction or TRO, provides
that “every restraining order must: (A) state the reasons why it issued; (B) state its terms
specifically; and (C) describe in reasonable detail — and not by referring to the complaint or
other document — the act or acts restrained or required.” Defendants argue that the written
Minute Order failed to satisfy Rule 65(d)’s requirements because it did not “state the reasons
why it issued” and was thus not binding upon them. And, they contend, neither was the oral
command standing alone. See Resp. at 2, 5–9. On each point, they are mistaken.
First, the collateral-bar rule once again renders this entire line of argument a non-starter.
As will shortly be explained, the written Order fully satisfied Rule 65(d). But even if the written
Order had been deficient, it would not have been void and thus non-binding; instead, it would
have been subject to reversal or vacatur on appeal, while binding the parties in the interim. See
11A Wright & Miller, supra, § 2955 (“A court’s failure to comply with the prerequisites in Rule
65(d) as to the proper scope or form of an injunction or restraining order does not deprive it of
jurisdiction or render its order void. But an order challenged on appeal should be set aside if it
fails to comply with the rule.”) (footnotes omitted). By disobeying the Order rather than
pursuing appellate relief, Defendants cannot now rely on any nonconformity with Rule 65(d) as a
To suggest otherwise, Defendants cite two cases from the Seventh Circuit. See Resp. at
5. But both undercut their contrarian proposition, as that Circuit considered a failure to satisfy
Rule 65(d) as reason either to reverse the injunction or to remand for an explanation, but not to
declare the injunction void. Adkins v. Nestle Purina PetCare Co., 779 F.3d 481, 483 (7th Cir.
2015); e360 Insight v. The Spamhaus Project, 500 F.3d 594, 604 (7th Cir. 2007). Defendants’
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argument, moreover, makes little sense. They nowhere explain why a failure to fulfill Rule
65(d)’s requirements is a unique legal defect, rendering an injunction void rather than — like all
other defects — binding but potentially reversible. Other circuits, unsurprisingly, hold the exact
opposite. See In re U.S. Bureau of Prisons, 918 F.3d 431, 437 n.3 (5th Cir. 2019); Test Masters
Educ. Servs., Inc. v. Singh, 428 F.3d 559, 577 (5th Cir. 2005); Lau v. Meddaugh, 229 F.3d 121,
123 n.2 (2d Cir. 2000); Bethlehem Mines Corp. v. United Mine Workers of Am., 476 F.2d 860,
862 (3d Cir. 1973); Va. Coal. for Immigrant Rts. v. Beals, 2024 WL 4601052, at *3 (4th Cir. Oct.
27, 2024); see also Lawrence v. St. Louis-San Francisco Ry. Co., 274 U.S. 588, 591–92 (1927)
(failure to adhere to analogous requirements set forth by statute — requiring “every order of
injunction” to “set forth the reasons for [its] issuance” — “did not render the [order] void,” but
Second, in any event, the written TRO did comply with Rule 65(d). Defendants assert
that it did not contain any “reasoning,” although they acknowledge that it contained “directives.”
Resp. at 5. They overlook, however, that the written Order expressly incorporated the reasoning
provided during the hearing. See Mar. 15 Minute Order, 7:25 p.m. (“As discussed in today’s
hearing . . . .); Mar. 15 Hrg. Tr. at 41–42 (explaining reasons why TRO issued). Defendants
nowhere suggest that that reasoning was insufficient for purposes of Rule 65(d). They are
wrong, furthermore, insofar as they contend that a TRO falls short of Rule 65(d) if its reasoning
is expounded orally in a hearing (and not reiterated in the written Order). Although this section
of their Response relies heavily on Seventh Circuit cases, they conspicuously neglect to address
the one in which that court squarely held that to satisfy the requirements of Rule 65(d), the
“explanation can be oral rather than written.” EEOC v. Severn Trent Servs., Inc., 358 F.3d 438,
442 (7th Cir. 2004); see Dexia Credit Loc. v. Rogan, 602 F.3d 879, 885 (7th Cir. 2010) (same for
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similar rule); see also Six Clinics Holding Corp., II v. Cafcomp Sys., Inc., 119 F.3d 393, 400–01
That rule makes sense, moreover, in light of the purposes behind Rule 65(d). One is to
ensure that parties understand their legal obligations. Int’l Longshoremen’s Ass’n v. Phila.
Marine Trade Ass’n, 389 U.S. 64, 75–76 (1967). That concern is not present if the bound party
— here, the Government — has direct knowledge of the Court’s reasoning, regardless of whether
it was in written or oral form. Another purpose is to facilitate judicial review. Schmidt v.
Lessard, 414 U.S. 473, 477 (1974). Although a written opinion is presumably better on this
score, a court can review the correctness of an injunction by reviewing a Court’s oral exposition
of its reasoning. See, e.g., Six Clinics Holding Corp., 119 F.3d at 400–01.
Third, even if the written Order were somehow completely out of the picture — that is, if
Defendants were able to show that the written TRO failed to satisfy Rule 65(d) and was therefore
void, despite no legal support for that view — a violation of the oral command itself is grounds
for contempt. The Fifth Circuit, for instance, has held that contempt can lie where — as here —
the oral command was “not tentative” and the court “made clear that [it] would be effective
immediately.” In re U.S. Bureau of Prisons, 918 F.3d at 437 & n.3; see also Malautea v. Suzuki
Motor Co., 987 F.2d 1536, 1542 n.7 (11th Cir. 1993) (“Oral orders are just as binding on litigants
as written orders”); United States v. Elcock, 851 F. App’x 299, 302 (3d Cir. 2021) (citing id. for
same); In re Charlotte Observer, 921 F.2d 47, 50 (4th Cir. 1990) (treating oral injunction as
enforceable but vacating on merits); Lau, 229 F.3d at 123 & n.2 (noting Rule 65(d)
“contemplates” a written order but “oral order” is not “void” by virtue of not being
“memorialize[d]”). Indeed, consider the absurd mischief that Defendants’ position would
license: if an oral command is not binding for purposes of contempt unless or until memorialized
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in a written Order, the enjoined party could race to accomplish the plainly proscribed act before
***
In sum, each of Defendants’ arguments about whether there was a violation — arguments
crafted for the most part as this contempt litigation has developed — are, at root, attacks on the
TRO’s legal soundness and are therefore precluded by the collateral-bar rule. Even if they were
not, however, they do not pass muster. The Court therefore must conclude that probable cause
5. Willful
Having so determined, the sole remaining question is whether such defiance was willful.
See Young, 107 F.3d at 907. “To establish willfulness,” the Court must determine that
Defendants “acted with deliberate or reckless disregard of [their] obligation[s] under the” Order.
Id. at 909 (citing In re Holloway, 995 F.2d at 1082); accord United States v. Rapone, 131 F.3d
188, 195 (D.C. Cir. 1997). Several aspects of Defendants’ conduct strongly support such a
conclusion. Cf. In re Holloway, 995 F.2d at 1082 (analyzing whether there was willful “intent
From the opening hours of Saturday, the Government’s conduct betrayed a desire to
outrun the equitable reach of the Judiciary. See supra pp. 2–10; J.G.G., 2025 WL 1024097, at *9
(Sotomayor, J., dissenting). Hustling class members to an airport before the Proclamation had
even been published and in the face of a suit that sought a TRO was bad enough. The decision to
launch planes during the afternoon hearing was even worse. The Government knew as of that
morning that the Court would hold a hearing on whether anyone in its custody could, consistent
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with the law, be removed pursuant to the Act — and yet it nonetheless rushed to load people onto
planes and get them airborne. Such conduct suggests an attempt to evade an injunction and deny
those aboard the planes the chance to avail themselves of the judicial review that the
Government itself later told the Supreme Court is “obviously” available to them. See
Government Reply in Support of Application at 1, Trump v. J.G.G., No. 24A931 (U.S. Apr. 2,
2025).
Second, although Defendants now seek to muddy the waters, at no point on Saturday
evening — not when the Court delivered the oral command directly to the Government, nor at
any time after the written Order issued — did the Government so much as hint that it was not
“clear . . . precisely what action [was] proscribed.” Young, 107 F.3d at 907 n.5 (quotation marks
omitted). After the oral command, the hearing progressed for another five minutes. See Mar. 15
Hrg. Tr. at 43–47. Although the Government spoke for the majority of that time, it never
mentioned — much less asked the Court to clarify — the injunction just issued. See id.
Government counsel has since confirmed that he understood the oral command and
communicated it up the chain. See Mar. 21 Hrg. Tr. at 5. Additionally, that night — after the
oral injunction was relayed to the agencies, see Apr. 3 Hrg. Tr. at 21, and as custody-transfer
operations proceeded — the Government never contacted the Court with any questions about the
injunctions’ scope. That is telling. The Government had been in regular email contact with
chambers throughout the day, and it thus knew that it would get a rapid reply to any question it
might have about the injunction. Indeed, that is exactly what had happened that morning: on the
email chain that included the Government, Plaintiffs asked the Court to confirm whether the first
TRO covered only named Plaintiffs, and the Court replied a mere nine minutes later. Only now
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does the Government suggest that the Court ordered something less than what it unequivocally
Finally, the Government plainly had an opportunity to avoid noncompliance — and yet it
chose to press ahead. As previously explained, the Government pulled named Plaintiffs from
removal flights in response to the Court’s first TRO, and two class members now aver that they
were among the nine people who landed in El Salvador early Sunday morning but were later
returned to the United States. See supra pp. 5, 9. Although Defendants maintain that they “did
not order any removal flights to return to the United States,” Resp. at 4, they offer no evidence to
Taken together, this behavior indicates “deliberate or reckless disregard” of the Order,
Young, 107 F.3d at 909, leading this Court to conclude that there is probable cause that
B. Next Steps
So now what? The Court last details the next steps that these proceedings may take.
First, before initiating any criminal-contempt proceedings, courts typically allow the
contumacious party an opportunity to purge its contempt — that is, to remedy its violation by
voluntarily obeying the court order. See Yates v. United States, 355 U.S. 66, 75 (1957) (“[A]
court should first apply coercive remedies in an effort to persuade a party to obey its orders, and
only make use of the more drastic criminal sanctions when the disobedience continues.”); cf. 9A
Wright & Miller, supra, § 2465 (“The district judge normally will preface a contempt citation
with an order directing either compliance with the subpoena or a showing of an excuse for the
noncompliance.”). The most obvious way for Defendants to do so here is by asserting custody of
the individuals who were removed in violation of the Court’s classwide TRO so that they might
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avail themselves of their right to challenge their removability through a habeas proceeding. See
J.G.G., 2025 WL 1024097, at *2. Per the terms of the TRO, the Government would not need to
release any of those individuals, nor would it need to transport them back to the homeland. The
Court will also give Defendants an opportunity to propose other methods of coming into
In the event that Defendants do not choose to purge their contempt, the Court will
proceed to identify the individual(s) responsible for the contumacious conduct by determining
whose “specific act or omission” caused the noncompliance. See Cobell v. Norton, 334 F.3d
1128, 1147 (D.C. Cir. 2003); United States v. Voss, 82 F.3d 1521, 1525–27 (10th Cir. 1996). At
the suggestion of the Government in the last hearing, the Court will begin by requiring
declarations. See Apr. 3 Hrg. Tr. at 24–25. Should those be unsatisfactory, the Court will
proceed either to hearings with live witness testimony under oath or to depositions conducted by
Plaintiffs. Id. at 29–30 (Plaintiffs suggesting declarations, depositions, hearings). The next step
would be for the Court, pursuant to the Federal Rules of Criminal Procedure, to “request that the
contempt be prosecuted by an attorney for the government.” Fed. R. Crim. P. 42(a)(2). If the
Government “declines” or “the interest of justice requires,” the Court will “appoint another
***
the Government to prevent disclosure of information when that disclosure would harm national
security interests.” United States v. Zubaydah, 595 U.S. 195, 204 (2022). They invoke the
privilege as a ground for not providing certain details related to the movement of flights and
class members before and after this Court’s TROs. Sharing such details, they assert, could make
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foreign countries less likely to collaborate with the U.S. in the future, and would disclose means
used to thwart alien enemies, allowing them to evade capture and risking the security of removal
personnel. See State Secrets Notice at 4–6; see also ECF Nos. 56-2 (Marco Rubio Decl.), ¶¶ 10,
13; No. 56-3 (Kristi Noem Decl.), ¶ 10. Defendants also add that there is also no need for the
information in this case, as this Court “has all of the facts it needs to address the compliance
Government’s claim is to be afforded the utmost deference, and the Court must evaluate whether
“there is a reasonable danger that compulsion of the evidence will expose military matters which,
in the interest of national security, should not be divulged.” United States v. Reynolds, 345 U.S.
1, 10 (1953); but see El-Masri v. United States, 479 F.3d 296, 312 (4th Cir. 2007) (“[T]he state
secrets doctrine does not represent a surrender of judicial control over access to the courts.”);
Linder v. Dep’t of Def., 133 F.3d 17, 23 (D.C. Cir. 1998) (describing proper examination of
The Court is exceedingly doubtful that the privilege applies here. It is not inquiring into
the diplomatic agreements that facilitated the flights nor the operational specifics of how
Defendants apprehended and transported class members. Instead, the Court is simply seeking to
confirm times and numbers: how many passengers the two flights carried, whether they were all
deported pursuant to the Proclamation, and when they were transferred out of U.S. custody. See
Minute Order of Mar. 18, 2:27 p.m. The Court is skeptical that such information rises to the
level of a state secret. As noted, the Government has widely publicized details of the flights
through social media and official announcements, see supra p. 11 (reposting video showing
operational details); ECF No. 69 (Resp. to State Secrets) at 4–10, thereby revealing snippets of
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the information the Court seeks and raising doubts that such information would jeopardize future
diplomatic engagements or operational security. Defendants, moreover, have still not asserted
that the information is even classified, and they have identified no case in which unclassified
material was nonetheless protected by the privilege. Nor is the Court yet persuaded that even if
publicly disclosing the information might harm state secrets, sharing it only ex parte with a
At this point in the contempt inquiry, however, the information at issue is not necessary to
proceed, so the Court will not resolve whether the invocation is warranted. Reynolds, 345 U.S.
at 11 (“necessity” of information “determine[s] how far the court should probe in satisfying itself
that the occasion for invoking the privilege is appropriate”). But if the information turns out to
be necessary later in these proceedings, the Court may revisit the invocation.
III. Conclusion
For the foregoing reasons, the Court will find probable cause that Defendants’ actions
constitute contempt. It will provide them an opportunity to purge such contempt. If they opt not
to do so, the Court will proceed to identify the contemnor(s) and refer the matter for prosecution.
46