

 
 Legal Sidebari 
 
Government Coercion of Private Speech: 
National Rifle Association (NRA) v. Vullo 
June 28, 2024 
On May 30, 2024, the Supreme Court released its opinion in National Rifle Association (NRA) v. Vullo, a 
case addressing the First Amendment limitations on coercive government speech. Although the First 
Amendment does not generally prevent the government from expressing its own viewpoints, there are 
some instances in which government speech may infringe on private individuals’ First Amendment rights. 
As such, courts must draw fine lines between permissible government attempts to “convince” others and 
advocate for or against a viewpoint, and prohibited attempts to “coerce” private entities in order to punish 
or suppress disfavored speech. 
In Vullo, an appeal from the Second Circuit, the Court held in a unanimous opinion that the NRA had 
plausibly alleged in its complaint that a New York state government official violated the First Amendment 
by coercing regulated entities into disassociating from the NRA in order to punish or suppress the NRA’s 
gun-promotion advocacy. While the Court reiterated that its decision did not “break new ground” 
according to existing precedent, Vullo may provide helpful guidance in determining the bounds within 
which government officials may advocate for certain positions. The outcome in the case may have 
implications for federal government officials, including Members of Congress, in their communications 
with private entities. This Legal Sidebar discusses relevant First Amendment principles and case 
background, summarizes the Court’s opinion, and provides some potential considerations for Congress.  
First Amendment Background 
The Free Speech Clause of the First Amendment provides that “Congress shall make no law . . . abridging 
the freedom of speech . . . .” The First Amendment protects against not only state or federal government 
action that seeks to restrict or censor protected speech, but also retaliation by a government official 
against a person exercising their First Amendment rights. For example, government action that is taken 
because of an individual’s expressive activity and that adversely affects the speaker—such as action 
resulting in dismissal from a job or criminal prosecution—may be grounds for a First Amendment 
challenge. Government action falling short of actual punishment, such as threats or intimidation, may also 
implicate the First Amendment by causing a “chilling effect” on speech. 
The First Amendment, the Supreme Court has observed, “restricts government regulation of private 
speech; it does not regulate government speech.” Under the government speech doctrine, the government 
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is entitled to “speak for itself” and to “select the views that it wants to express.” The Court has said that 
the government would not be able to function without the ability to favor and disfavor points of view.   
While the government is free to favor some viewpoints over others in its own speech, it is not free to 
punish or threaten private actors for expressing different views. Nor may the government use its power to 
induce private parties to suppress the speech of others through attempts at indirect censorship. The 
distinction between the government’s right to speak for itself and the First Amendment’s prohibition on 
government censorship of speech often comes down to whether the government is attempting to 
“convince” versus attempting to “coerce.” This inquiry originated in the Supreme Court’s 1963 decision, 
Bantam Books, Inc. v. Sullivan. In Bantam Books, the Court reviewed the actions of a Rhode Island 
commission that was created to educate the public regarding published material that may contain 
obscenity or indecent material for minors. The commission sent notices to book distributors in the state 
designed to notify them that certain books or magazines they distributed had been deemed objectionable 
for minors, and that the lists of objectionable materials had been sent to local police departments. The 
commission requested the distributors’ cooperation in preventing the distribution of these materials and 
reminded them the commission had a duty to recommend cases to the Attorney General for prosecution of 
“purveyors of obscenity.” Police then followed up with distributors to ensure compliance with the notices.  
The Court held that the notices constituted a “system of informal censorship” designed to intimidate 
distributors into removing materials in violation of the First Amendment. The commission’s “threat of 
invoking legal sanctions and other means of coercion, persuasion, and intimidation” helped the 
commission achieve its objective of suppressing publications, which the Court referred to as a “system of 
prior administrative restraints of expression.” The Court explained, however, that not all informal 
government communication with third parties regarding speech violate the Constitution, indicating that 
“consultation” that “is genuinely undertaken with the purpose of aiding” third parties in complying with 
the law would be constitutionally permissible. 
Numerous lower court cases have grappled with the principles set forth in Bantam Books, including one 
2023 case from the Ninth Circuit in which the court explained that “Bantam Books and its progeny draw a 
line between coercion and persuasion: The former is unconstitutional intimidation while the latter is 
permissible government speech.” Courts have acknowledged that it is not always clear where to draw that 
line, and making the determination often requires an examination of the totality of the circumstances. 
Multiple circuit courts, including the Second Circuit in its decision in NRA v. Vullo, have utilized a 
nonexclusive four-factor test to distinguish between attempts to convince and attempts to coerce: (1) word 
choice and tone, (2) the existence of regulatory authority, (3) whether the government’s speech was 
perceived as a threat, and (4) whether the government’s speech refers to adverse consequences. 
As discussed in this separate Legal Sidebar, attempts by government actors to influence private action by 
threat of future regulation can be considered coercive. Some scholars have used the term “jawboning” to 
refer to informal pressure or persuasion by regulators, including Members of Congress or officials in the 
executive branch, to influence or encourage self-regulation by private entities. Jawboning may present 
constitutional issues when the government’s informal attempts to encourage third-party regulation involve 
matters concerning speech.  
NRA v. Vullo: Background 
NRA v. Vullo involved allegations of government coercion of private entities for the purpose of 
suppressing a disfavored viewpoint. The plaintiff, the NRA, claimed that defendant Maria Vullo, while 
serving as the superintendent of the New York State Department of Financial Service (DFS), encouraged 
insurance companies to discontinue their relationship with the NRA in an effort to retaliate against and 
chill the NRA’s gun rights advocacy. DFS oversees insurance companies and financial services 
institutions doing business in the State and has the authority to initiate investigations and civil 
  
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enforcement actions against regulated entities. DFS also may refer potential criminal violations for 
prosecution. 
In 2017, DFS opened an investigation into the insurance practices of an NRA-endorsed affinity insurance 
program that was allegedly offering insurance coverage for intentional criminal acts involving firearms, in 
violation of New York insurance law. In the midst of the investigation, and following a school shooting in 
Parkland, Florida, Vullo allegedly met with an insurance company involved in the investigation and 
“presented her views on gun control and her desire to leverage her powers to combat the availability of 
firearms.” During that meeting, Vullo allegedly explained that the company could “avoid liability” for 
various regulatory infractions unrelated to its business with the NRA if it ceased providing insurance to 
gun groups, including the NRA. Vullo also issued a pair of guidance letters to DFS-regulated insurance 
entities and financial institutions, advising the entities to continue to evaluate and manage risks, including 
reputational risks, that could arise from associations with the NRA. In the wake of the Parkland shooting, 
multiple financial institutions severed ties with the NRA, and some banks withdrew their bids for the 
group’s business. The NRA claimed it encountered difficulty obtaining corporate insurance coverage to 
replace the coverage it lost. 
Two of the insurance companies involved in the DFS investigation also entered into consent decrees in 
which they admitted liability for providing illegal insurance coverage and agreed not to provide any 
NRA-endorsed insurance programs in the future. At least one of the insurance companies publicly severed 
ties with the NRA. 
The NRA sued, claiming that Vullo violated the First Amendment by coercing DFS-regulated entities to 
punish or suppress the NRA’s “pro-second Amendment viewpoint.” The NRA asserted both censorship 
and retaliation First Amendment claims. Vullo moved to dismiss, arguing that the conduct alleged in the 
NRA’s complaint did not amount to impermissible coercion. The district court denied Vullo’s motion to 
dismiss, ruling that the facts pled in the complaint could plausibly be “interpreted as a veiled threat to 
regulated industries to disassociate with the NRA or risk DFS enforcement action.” 
The Second Circuit reversed, concluding that Vullo’s actions, as alleged in the complaint, constituted 
permissible government speech and legitimate enforcement of New York law. Acknowledging the 
distinction between government officials’ “attempts to convince and attempts to coerce,” the Second 
Circuit utilized the four-factor test described above to analyze Vullo’s actions and ultimately concluded 
they did not cross a constitutional line.  
NRA v. Vullo: Supreme Court Opinion 
In a unanimous opinion authored by Justice Sotomayor, the Supreme Court reversed the Second Circuit, 
holding that the NRA had plausibly alleged that Vullo “violated the First Amendment by coercing 
regulated entities to terminate their business relationships with the NRA in order to punish or suppress 
gun-promotion advocacy.” According to the Court, it was not “break[ing] new ground” in deciding the 
case; rather, it was reaffirming general principles from Bantam Books. 
The Court agreed that Vullo was “free to criticize the NRA” and could do so “forcefully in the hopes of 
persuading others to follow her lead,” but she was prohibited from using “the power of the State to punish 
or suppress disfavored expression.” In applying the Bantam Books framework, the Court acknowledged 
the four-factor test as a “helpful guidepost[] in answering the question whether an official seeks to 
persuade or, instead, to coerce.” The Court viewed the factors as useful in analyzing the ultimate question 
of whether the NRA “plausibly alleged conduct that, viewed in context, could be reasonably understood 
to convey a threat of adverse government action in order to punish or suppress the [NRA’s] speech.”  
Accepting the factual allegations of the complaint as true at this stage in the litigation, the Court 
concluded that the NRA had “plausibly alleged that Vullo violated the First Amendment.” The Court 
  
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focused on Vullo’s authority, observing that “the greater and more direct the government official’s 
authority, the less likely a person will feel free to disregard a directive from the official.” As the DFS 
superintendent, Vullo had direct regulatory authority over insurance companies in New York, which 
included the ability to initiate investigations, refer cases for prosecution, and impose monetary penalties.   
Considering her alleged actions against the backdrop of her broad authority, the Court emphasized Vullo’s 
alleged communications with one insurance company in which she suggested she may be inclined to 
ignore other unrelated infractions if the company ceased providing insurance to gun groups. This sent a 
“loud and clear” message that the insurance company “‘could avoid liability for unrelated infractions’ if it 
‘aided DFS’s campaigns against gun groups by terminating its business relationships with them.’” 
According to the Court, these communications could be “reasonably understood as a threat or an 
inducement,” either of which could be considered coercive. 
This incident, plus other allegations in the complaint “viewed in context,” reinforced the NRA’s claim that 
Vullo coerced the third-party insurance companies. The Court indicated that the Second Circuit was only 
able to reach its contrary conclusion “by taking the allegations in isolation and failing to draw reasonable 
inferences in the NRA’s favor.” In the Court’s view, this approach failed to heed long-standing precedent 
on the standards for evaluating a motion to dismiss. Nevertheless, the Court acknowledged that while at 
the pleading stage the NRA had plausibly alleged a First Amendment claim, discovery or other 
developments in litigation could ultimately lead to a different outcome for the NRA.  
In reaching its decision, the Court also emphasized the overarching First Amendment concerns with the 
“intermediary strategy” Vullo used to target advocacy. According to the Court, this type of coercive 
conduct would effectively allow government officials to “expand their regulatory jurisdiction to suppress 
the speech of organizations that they have no control over.” The Court reiterated that government officials 
may “forcefully condemn[] views with which they disagree” and that the “ballot box” remains the most 
effective check on viewpoint discrimination in government speech. When the government attempts to use 
private intermediaries to suppress disfavored speech, however, there is no similar check on governmental 
viewpoint discrimination. 
Justice Gorsuch wrote separately in a concurrence to reiterate that the four factors utilized by the Second 
Circuit and discussed in the majority opinion are “just” guideposts and that lower courts should focus on 
the “critical” question of “whether the plaintiff has ‘plausibly alleged conduct that, viewed in context, 
could be reasonably understood to convey a threat of adverse government action in order to punish or 
suppress the plaintiff’s speech.’”  
Justice Jackson, while concurring with the majority opinion, also wrote separately to discuss her view of 
the relationship between government coercion and a First Amendment violation. While Justice Jackson 
agreed that coercion of a third party can be “the means by which the government violates the First 
Amendment,” she suggested that courts must also assess how that coercion actually violates a speaker’s 
First Amendment rights. This case, according to Justice Jackson, “focused almost exclusively on whether 
Vullo’s conduct was coercive.” In her view, the lower courts should also independently evaluate the 
NRA’s stated grounds for its First Amendment claims: censorship and retaliation. 
Considerations for Congress 
The First Amendment considerations discussed in Vullo may be relevant to Members of Congress who 
engage with third parties to express their views on particular matters. Government officials, including 
legislators, retain the right to select the views they want to express, and courts have held that legislators 
generally share the same First Amendment rights as members of the public. Those rights, however, are 
limited by the principles from Bantam Books and now Vullo: a government official cannot coerce a 
private party with threats of regulation in order to punish or censor disfavored speech. 
  
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Members of Congress have been subject to lawsuits in which plaintiffs alleged their actions constituted 
unconstitutional coercion under the Bantam Books framework. The factual circumstances in some of these 
cases involved statements made or letters sent by Members to private companies encouraging them to 
take certain action. While some courts have evaluated the merits of these claims under the Bantam Books 
framework, other courts have dismissed claims for procedural reasons such as lack of standing. In at least 
one case, the court found that the Member was entitled to immunity under the Speech or Debate Clause, 
discussed in this CRS Report, which provides Members with immunity for “legislative acts” taken in the 
course of their official responsibilities. 
The First Amendment principles addressed in Vullo may also be relevant to Congress’s oversight of 
agency regulators who may engage in “jawboning.” Executive branch “jawboning” was at issue in the 
Court’s recent Murthy v. Missouri decision. In Murthy, the plaintiffs alleged that federal government 
officials violated the First Amendment when they coerced social media companies to remove content 
from their platforms. Among other allegations, the plaintiffs claimed that the government officials directly 
communicated with social media companies through emails and meetings, or publicly denounced the 
social media companies’ actions in a threatening and coercive manner, in order to further particular policy 
objectives. The Court issued its decision on June 26, 2024, holding that the plaintiffs failed to establish 
they had standing to bring their case. Justice Alito, however, wrote in dissent that he would have applied 
the Bantam Books and Vullo principles to determine whether the defendants had engaged in coercion.  
Ultimately, the Court’s decision in Vullo, while not “break[ing] new ground” in the words of the Court, 
may provide helpful guidance in evaluating whether government officials’ communications cross the line 
from convincing to coercing. Although the Court suggested that the four-factor test various circuit courts 
have utilized provides “helpful guideposts,” it declined to adopt a rigid test going forward. Thus, it 
appears that the line between permissible speech and unconstitutional coercion continues to be governed 
by the general fact-bound and contextual principles of Bantam Books and its progeny. In his Murthy 
dissent, however, Justice Alito observed that the Vullo decision utilized “three leading factors” to 
distinguish between permissible persuasion and unconstitutional coercion: “(1) the authority of the 
government officials who are alleged to have engaged in coercion, (2) the nature of statements made by 
those officials, and (3) the reactions of the third party alleged to have been coerced.” Although his dissent 
is not binding law, it may provide insight into how the Court will apply Vullo in future cases. 
 
 
Author Information 
 
Whitney K. Novak 
   
Legislative Attorney 
 
 
 
 
Disclaimer 
This document was prepared by the Congressional Research Service (CRS). CRS serves as nonpartisan shared staff 
to congressional committees and Members of Congress. It operates solely at the behest of and under the direction of
  
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