Since our decision in Chevron U. S. A. Inc. v. Natural Re sources Defense Council, Inc., 467 U. S. 837 (1984), we have gers of Nebraska, John M. Formella of New Hampshire, Drew Wrigley of North Dakota, Dave Yost of Ohio, Gentner Drummond of Oklahoma, Alan Wilson of South Carolina, Marty Jackley of South Dakota, Jonathan Skrmetti of Tennessee, Sean D. Reyes of Utah, Jason Miyares of Virginia, and Bridget Hill of Wyoming; for the Advance Colorado Institute by Kris tine L. Brown; for Advancing American Freedom et al. by J. Marc Wheat; for the America First Legal Foundation by Christopher E. Mills, Gene P. Hamilton, and Reed D. Rubinstein; for the America First Policy Institute by Matthew J. Conigliaro, Jessica Hart Steinmann, and Richard P. Lawson; for the American Center for Law and Justice by Jay Alan Sekulow, Stuart J. Roth, Jordan A. Sekulow, Colby M. May, and Laura B. Hernandez; for the American Cornerstone Institute by Edward M. Wenger, Andrew Pardue, and Kenneth C. Daines; for The Buckeye Institute et al. by David C. Tryon and Elizabeth Milito; for the Cato Institute et al. by Anastasia P. Boden, Thomas A. Berry, and Curt A. Levey; for the Center for Constitutional Jurisprudence by John C. Eastman and An thony T. Caso; for the Chamber of Commerce of the United States of America by Helgi C. Walker, Russell B. Balikian, Daryl L. Joseffer, and Andrew R. Varcoe; for the Christian Employers Alliance by Matthew S. Bowman, Julie Marie Blake, John J. Bursch, James A. Campbell, and Erin Morrow Hawley; for the Competitive Enterprise Institute by Dan Greenberg; for the DRI Center for Law and Public Policy by Melinda S. Kollross and Don R. Sampen; for Eight National Business Organizations by Timothy S. Bishop, Brett E. Legner, Richard Gupton, Ellen Steen, Travis Cushman, and Michael C. Formica; for the Foundation for Government Accountability by Stewart L. Whitson; for the FPC Action Foundation et al. by Joseph G. S. Greenlee and Cody J. Wisniewski; for the Goldwater Institute by Timothy Sandefur; for Gun Owners of America, Inc., et al. by William J. Olson, Jeremiah L. Morgan, Robert J. Olson, and John I. Harris III; for the Independent Women's Law Center et al. by Kathryn E. Tarbert, Gene C. Schaerr, Cory L. Andrews, and John M. Mas slon II; for the Landmark Legal Foundation by Michael J. O'Neill, Mat thew C. Forys, and Richard P. Hutchison; for the Liberty Justice Center by Loren A. Seehase; for the Little Sisters of the Poor Saints Peter and Paul Home by Eric C. Rassbach and William J. Haun; for the Manhattan Institute et al. by Ilya Shapiro; for the Mountain States Legal Foundation by Ivan L. London and David C. McDonald; for the National Right to Page Proof Pending Publication sometimes required courts to defer to “permissible” agency interpretations of the statutes those agencies administer— even when a reviewing court reads the statute differently. In these cases we consider whether that doctrine should be overruled.
Work Legal Defense Foundation, Inc., by W. James Young; for the National Sports Shooting Foundation, Inc., by H. Christopher Bartolomucci, Brian J. Field, and Kenneth A. Klukowski; for the National Taxpayers Union Foundation by Joseph D. Henchman and Tyler Martinez; for the New Civil Liberties Alliance by John J. Vecchione, Mark Chenoweth, and Kara Rollins; for the New England Legal Foundation by Benjamin G. Robbins and Daniel B. Winslow; for the Ohio Chamber of Commerce by Larry J. Obhof, Jr.; for the Pacifc Legal Foundation by Aditya Dynar; for the Southeastern Legal Foundation et al. by Thomas R. McCarthy, J. Michael Connolly, Braden H. Boucek, Kimberly S. Hermann, Karen Harned, Robert Henneke, Chance Weldon, and Donald A. Daugherty, Jr.; for Strive Asset Management by Jonathan Berry; for TechFreedom by Corbin K. Barthold; for the U. S. House of Representatives by Matthew B. Berry, Todd B. Tatelman, Brooks M. Hanner, and Sarah E. Clouse; for Sen. Ted Cruz et al. by Jennifer L. Mascott and R. Trent McCotter; for David Goethel et al. by Andrew M. Grossman; and for Gov. Brian P. Kemp by David B. Dove. Briefs of amici curiae urging vacatur were fled for the American Free Enterprise Chamber of Commerce by Steven A. Engel, Michael H. McGinley, and William P. Barr; and for the Third Party Payment Processors Association by Misha Tseytlin, Kevin M. LeRoy, and Sean T. H. Dutton.
Briefs of amici curiae urging affrmance were fled for Administrative and Federal Regulatory Law Professors by Daniel M. Sullivan and Brian T. Goldman; for the American Association for the Advancement of Science et al. by D. Alicia Hickok; for the American Federation of Labor and Congress of Industrial Organizations by Harold C. Becker, Matthew Gins burg, and Andrew Lyubarsky; for the Conservation Law Foundation et al. by Kirti Datla and Andrea A. Treece; for the Environmental Defense Fund by Sean H. Donahue, David T. Goldberg, Megan M. Herzog, Vickie L. Patton, and Peter Zalzal; for the Lawyers' Committee for Civil Rights Under Law by James P. McLoughlin, Jr., Mary Katherine Stukes, Pierce Werner, Damon Hewitt, Jon Greenbaum, and Thomas Silverstein; for PTAAARMIGAN, LLC, et al. by David E. Boundy; for Public Citizen by Scott L. Nelson and Allison M. Zieve; for Small Business Associations by Jeffrey B. Dubner, Kaitlyn Golden, and Skye L. Perryman; for Thomas Page Proof Pending Publication
I
Our Chevron doctrine requires courts to use a two-step framework to interpret statutes administered by federal agencies. After determining that a case satisfes the various preconditions we have set for Chevron to apply, a reviewing court must frst assess “whether Congress has directly spoken to the precise question at issue.” Id., at 842. If, and only if, congressional intent is “clear,” that is the end of the inquiry. Ibid. But if the court determines that “the statute is silent or ambiguous with respect to the specifc issue” at hand, the court must, at Chevron's second step, defer to the agency's interpretation if it “is based on a per- W. Merrill by Joseph D. Kearney; and for Sen. Sheldon Whitehouse et al. by Erwin Chemerinsky.
Briefs of amici curiae were fled for the District of Columbia et al. by Brian L. Schwalb, Attorney General of the District of Columbia, Caroline S. Van Zile, Solicitor General, Ashwin P. Phatak, Principal Deputy Solicitor General, and Alexandra Lichtenstein, Assistant Attorney General, and by the Attorneys General for their respective States as follows: Rob Bonta of California, Philip J. Weiser of Colorado, William Tong of Connecticut, Kathleen Jennings of Delaware, Anne E. Lopez of Hawaii, Kwame Raoul of Illinois, Anthony G. Brown of Maryland, Andrea Joy Campbell of Massachusetts, Dana Nessel of Michigan, Keith Ellison of Minnesota, Aaron D. Ford of Nevada, Matthew J. Platkin of New Jersey, Raúl Torrez of New Mexico, Letitia James of New York, Joshua H. Stein of North Carolina, Ellen F. Rosenblum of Oregon, Michelle A. Henry of Pennsylvania, Peter F. Neronha of Rhode Island, Charity R. Clark of Vermont, Robert W. Ferguson of Washington, and Joshua L. Kaul of Wisconsin; for the American Cancer Society et al. by Scott P. Lewis, Mary Rouvelas, and Jane Perkins; for the Atlantic Legal Foundation by Lawrence S. Ebner and Herbert L. Fenster; for the Coalition for a Democratic Workplace et al. by Elbert Lin and Kurt G. Larkin; for the Electronic Nicotine Delivery System Industry Stakeholders by Eric P. Gotting, Azim Chowdhury, and J. Gregory Troutman; for the LONANG Institute by Kerry Lee Morgan and Randall A. Pentiuk; for the Natural Resources Defense Council by Ian Fein and David Doniger; for Scholars of Administrative Law et al. by Elizabeth B. Wydra and Brianne J. Gorod; for Aditya Bamzai, pro se; and for Kent Barnett et al. by Christopher J. Walker, pro se. missible construction of the statute.” Id., at 843. The reviewing courts in each of the cases before us applied Chev- ron's framework to resolve in favor of the Government challenges to the same agency rule.
A
Before 1976, unregulated foreign vessels dominated fshing in the international waters off the U. S. coast, which began just 12 nautical miles offshore. See, e. g., S. Rep. No. 94– 459, pp. 2–3 (1975). Recognizing the resultant overfshing and the need for sound management of fshery resources, Congress enacted the Magnuson-Stevens Fishery Conservation and Management Act (MSA). See 90 Stat. 331 (codifed as amended at 16 U. S. C. § 1801 et seq.). The MSA and subsequent amendments extended the jurisdiction of the United States to 200 nautical miles beyond the U. S. territorial sea and claimed “exclusive fshery management authority over all fsh” within that area, known as the “exclusive economic zone.” § 1811(a); see Presidential Proclamation No. 5030, 3 CFR 22 (1983 Comp.); §§ 101, 102, 90 Stat. 336. The National Marine Fisheries Service (NMFS) administers the MSA under a delegation from the Secretary of Commerce.
The MSA established eight regional fshery management councils composed of representatives from the coastal States, fshery stakeholders, and NMFS. See 16 U. S. C. §§ 1852(a), (b). The councils develop fshery management plans, which NMFS approves and promulgates as fnal regulations. See §§ 1852(h), 1854(a). In service of the statute's fshery conservation and management goals, see § 1851(a), the MSA requires that certain provisions—such as “a mechanism for specifying annual catch limits . . . at a level such that overfshing does not occur,” § 1853(a)(15)—be included in these plans, see § 1853(a). The plans may also include additional discretionary provisions. See § 1853(b). For example, plans may “prohibit, limit, condition, or require the use of Page Proof Pending Publication specifed types and quantities of fshing gear, fshing vessels, or equipment,” § 1853(b)(4); “reserve a portion of the allowable biological catch of the fshery for use in scientifc research,” § 1853(b)(11); and “prescribe such other measures, requirements, or conditions and restrictions as are determined to be necessary and appropriate for the conservation and management of the fshery,” § 1853(b)(14).
Relevant here, a plan may also require that “one or more observers be carried on board” domestic vessels “for the purpose of collecting data necessary for the conservation and management of the fshery.” § 1853(b)(8). The MSA specifes three groups that must cover costs associated with observers: (1) foreign fshing vessels operating within the exclusive economic zone (which must carry observers), see §§ 1821(h)(1)(A), (h)(4), (h)(6); (2) vessels participating in certain limited access privilege programs, which impose quotas permitting fshermen to harvest only specifc quantities of a fshery's total allowable catch, see §§ 1802(26), 1853a(c)(1)(H), (e)(2), 1854(d)(2); and (3) vessels within the jurisdiction of the North Pacifc Council, where many of the largest and most successful commercial fshing enterprises in the Nation operate, see § 1862(a). In the latter two cases, the MSA expressly caps the relevant fees at two or three percent of the value of fsh harvested on the vessels. See §§ 1854(d)(2)(B), 1862(b)(2)(E). And in general, it authorizes the Secretary to impose “sanctions” when “any payment required for observer services provided to or contracted by an owner or operator . . . has not been paid.” § 1858(g)(1)(D).
The MSA does not contain similar terms addressing whether Atlantic herring fshermen may be required to bear costs associated with any observers a plan may mandate.
And at one point, NMFS fully funded the observer coverage the New England Fishery Management Council required in its plan for the Atlantic herring fshery. See 79 Fed. Reg. 8792 (2014). In 2013, however, the council proposed amending its fshery management plans to empower it to require Page Proof Pending Publication fshermen to pay for observers if federal funding became unavailable. Several years later, NMFS promulgated a rule approving the amendment. See 85 Fed. Reg. 7414 (2020).
With respect to the Atlantic herring fshery, the Rule created an industry funded program that aims to ensure observer coverage on 50 percent of trips undertaken by vessels with certain types of permits. Under that program, vessel representatives must “declare into” a fshery before beginning a trip by notifying NMFS of the trip and announcing the species the vessel intends to harvest. If NMFS determines that an observer is required, but declines to assign a Government-paid one, the vessel must contract with and pay for a Government-certifed third-party observer. NMFS estimated that the cost of such an observer would be up to $710 per day, reducing annual returns to the vessel owner by up to 20 percent. See id., at 7417–7418.
B
Petitioners Loper Bright Enterprises, Inc., H&L Axelsson, Inc., Lund Marr Trawlers LLC, and Scombrus One LLC are family businesses that operate in the Atlantic herring fshery. In February 2020, they challenged the Rule under the MSA, 16 U. S. C. §1855(f), which incorporates the Administrative Procedure Act (APA), 5 U. S. C. § 551 et seq. In relevant part, they argued that the MSA does not authorize NMFS to mandate that they pay for observers required by a fshery management plan. The District Court granted summary judgment to the Government. It concluded that the MSA authorized the Rule, but noted that even if these petitioners' “arguments were enough to raise an ambiguity in the statutory text,” deference to the agency's interpretation would be warranted under Chevron. 544 F. Supp. 3d 82, 107 (DC 2021); see id., at 103–107.
A divided panel of the D. C. Circuit affrmed. See 45 F. 4th 359 (2022). The majority addressed various provisions of the MSA and concluded that it was not “wholly unPage Proof Pending Publication ambiguous” whether NMFS may require Atlantic herring fshermen to pay for observers. Id., at 366. Because there remained “some question” as to Congress's intent, id., at 369, the court proceeded to Chevron's second step and deferred to the agency's interpretation as a “reasonable” construction of the MSA, 45 F. 4th, at 370. In dissent, Judge Walker concluded that Congress's silence on industry funded observers for the Atlantic herring fshery—coupled with the express provision for such observers in other fsheries and on foreign vessels—unambiguously indicated that NMFS lacked the authority to “require [Atlantic herring] fshermen to pay the wages of at-sea monitors.” Id., at 375.
C
Petitioners Relentless Inc., Huntress Inc., and Seafreeze Fleet LLC own two vessels that operate in the Atlantic herring fshery: the F/V Relentless and the F/V Persistence.1 These vessels use small-mesh bottom-trawl gear and can freeze fsh at sea, so they can catch more species of fsh and take longer trips than other vessels (about 10 to 14 days, as opposed to the more typical 2 to 4). As a result, they generally declare into multiple fsheries per trip so they can catch whatever the ocean offers up. If the vessels declare into the Atlantic herring fshery for a particular trip, they must carry an observer for that trip if NMFS selects the trip for coverage, even if they end up harvesting fewer herring than other vessels—or no herring at all.
This set of petitioners, like those in the D. C. Circuit case, fled a suit challenging the Rule as unauthorized by the MSA. The District Court, like the D. C. Circuit, deferred to NMFS's contrary interpretation under Chevron and thus granted summary judgment to the Government. See 561 F. Supp. 3d 226, 234–238 (RI 2021).
1For any landlubbers, “F/V” is simply the designation for a fshing vessel.
Page Proof Pending Publication Page Proof Pending Publication The First Circuit affrmed. See 62 F. 4th 621 (2023). It relied on a “default norm” that regulated entities must bear compliance costs, as well as the MSA's sanctions provision, Section 1858(g)(1)(D). See id., at 629–631. And it rejected petitioners' argument that the express statutory authorization of three industry funding programs demonstrated that NMFS lacked the broad implicit authority it asserted to impose such a program for the Atlantic herring fshery. See id., at 631–633. The court ultimately concluded that the “[a]gency's interpretation of its authority to require at-sea monitors who are paid for by owners of regulated vessels does not `exceed[ ] the bounds of the permissible.' ” Id., at 633–634 (quoting Barnhart v. Walton, 535 U. S. 212, 218 (2002); alteration in original). In reaching that conclusion, the First Circuit stated that it was applying Chevron's two- step framework. 62 F. 4th, at 628. But it did not explain which aspects of its analysis were relevant to which of Chev- ron's two steps. Similarly, it declined to decide whether the result was “a product of Chevron step one or step two.” Id., at 634.
We granted certiorari in both cases, limited to the question whether Chevron should be overruled or clarifed. See 601 U. S. 883 (2023); 598 U. S. 1270 (2023).2
II
A
Article III of the Constitution assigns to the Federal Judiciary the responsibility and power to adjudicate “Cases” and “Controversies”—concrete disputes with consequences for the parties involved. The Framers appreciated that the laws judges would necessarily apply in resolving those dis2Both petitions also presented questions regarding the consistency of the Rule with the MSA. See Pet. for Cert. in No. 22–451, p. i; Pet. for Cert. in No. 22–1219, p. ii. We did not grant certiorari with respect to those questions and thus do not reach them.
putes would not always be clear. Cognizant of the limits of human language and foresight, they anticipated that “[a]ll new laws, though penned with the greatest technical skill, and passed on the fullest and most mature deliberation,” would be “more or less obscure and equivocal, until their meaning” was settled “by a series of particular discussions and adjudications.” The Federalist No. 37, p. 236 (J. Cooke ed. 1961) (J. Madison).
The Framers also envisioned that the fnal “interpretation of the laws” would be “the proper and peculiar province of the courts.” Id., No. 78, at 525 (A. Hamilton). Unlike the political branches, the courts would by design exercise “neither Force nor Will, but merely judgment.” Id., at 523. To ensure the “steady, upright and impartial administration of the laws,” the Framers structured the Constitution to allow judges to exercise that judgment independent of infuence from the political branches. Id., at 522; see id., at 522–524; Stern v. Marshall, 564 U. S. 462, 484 (2011).
This Court embraced the Framers' understanding of the judicial function early on. In the foundational decision of Marbury v. Madison, Chief Justice Marshall famously declared that “[i]t is emphatically the province and duty of the judicial department to say what the law is.” 1 Cranch 137, 177 (1803). And in the following decades, the Court understood “interpret[ing] the laws, in the last resort,” to be a “solemn duty” of the Judiciary. United States v. Dickson, 15 Pet. 141, 162 (1841) (Story, J., for the Court). When the meaning of a statute was at issue, the judicial role was to “interpret the act of Congress, in order to ascertain the rights of the parties.” Decatur v. Paulding, 14 Pet. 497, 515 (1840).
The Court also recognized from the outset, though, that exercising independent judgment often included according due respect to Executive Branch interpretations of federal statutes. For example, in Edwards' Lessee v. Darby, 12 Wheat. 206 (1827), the Court explained that “[i]n the conPage Proof Pending Publication struction of a doubtful and ambiguous law, the contemporaneous construction of those who were called upon to act under the law, and were appointed to carry its provisions into effect, is entitled to very great respect.” Id., at 210; see also United States v. Vowell, 5 Cranch 368, 372 (1809) (Marshall, C. J., for the Court).
Such respect was thought especially warranted when an Executive Branch interpretation was issued roughly contemporaneously with enactment of the statute and remained consistent over time. See Dickson, 15 Pet., at 161; United States v. Alabama Great Southern R. Co., 142 U. S. 615, 621 (1892); National Lead Co. v. United States, 252 U. S. 140, 145–146 (1920). That is because “the longstanding `practice of the government' ”—like any other interpretive aid—“can inform [a court's] determination of `what the law is.' ” NLRB v. Noel Canning, 573 U. S. 513, 525 (2014) (frst quoting McCulloch v. Maryland, 4 Wheat. 316, 401 (1819); then quoting Marbury, 1 Cranch, at 177). The Court also gave “the most respectful consideration” to Executive Branch interpretations simply because “[t]he offcers concerned [were] usually able men, and masters of the subject,” who were “[n]ot unfrequently . . . the draftsmen of the laws they [were] afterwards called upon to interpret.” United States v. Moore, 95 U. S. 760, 763 (1878); see also Jacobs v. Prichard, 223 U. S. 200, 214 (1912).
“Respect,” though, was just that. The views of the Executive Branch could inform the judgment of the Judiciary, but did not supersede it. Whatever respect an Executive Branch interpretation was due, a judge “certainly would not be bound to adopt the construction given by the head of a department.” Decatur, 14 Pet., at 515; see also Burnet v. Chicago Portrait Co., 285 U. S. 1, 16 (1932). Otherwise, judicial judgment would not be independent at all. As Justice Story put it, “in cases where [a court's] own judgment . . . differ[ed] from that of other high functionaries,” the court Page Proof Pending Publication was “not at liberty to surrender, or to waive it.” Dickson, 15 Pet., at 162.
B
The New Deal ushered in a “rapid expansion of the administrative process.” United States v. Morton Salt Co., 338 U. S. 632, 644 (1950). But as new agencies with new powers proliferated, the Court continued to adhere to the traditional understanding that questions of law were for courts to decide, exercising independent judgment.
During this period, the Court often treated agency determinations of fact as binding on the courts, provided that there was “evidence to support the fndings.” St. Joseph Stock Yards Co. v. United States, 298 U. S. 38, 51 (1936). “When the legislature itself acts within the broad feld of legislative discretion,” the Court reasoned, “its determinations are conclusive.” Ibid. Congress could therefore “appoint[ ] an agent to act within that sphere of legislative authority” and “endow the agent with power to make fndings of fact which are conclusive, provided the requirements of due process which are specially applicable to such an agency are met, as in according a fair hearing and acting upon evidence and not arbitrarily.” Ibid. (emphasis added).
But the Court did not extend similar deference to agency resolutions of questions of law. It instead made clear, repeatedly, that “[t]he interpretation of the meaning of statutes, as applied to justiciable controversies,” was “exclusively a judicial function.” United States v. American Trucking Assns., Inc., 310 U. S. 534, 544 (1940); see also So cial Security Bd. v. Nierotko, 327 U. S. 358, 369 (1946); Medo Photo Supply Corp. v. NLRB, 321 U. S. 678, 681–682, n. 1 (1944). The Court understood, in the words of Justice Brandeis, that “[t]he supremacy of law demands that there shall be opportunity to have some court decide whether an erroneous rule of law was applied.” St. Joseph Stock Yards, 298 Page Proof Pending Publication U. S., at 84 (concurring opinion). It also continued to note, as it long had, that the informed judgment of the Executive Branch—especially in the form of an interpretation issued contemporaneously with the enactment of the statute—could be entitled to “great weight.” American Trucking Assns., 310 U. S., at 549.
Perhaps most notably along those lines, in Skidmore v. Swift & Co., 323 U. S. 134 (1944), the Court explained that the “interpretations and opinions” of the relevant agency, “made in pursuance of offcial duty” and “based upon . . . specialized experience,” “constitute[d] a body of experience and informed judgment to which courts and litigants [could] properly resort for guidance,” even on legal questions. Id., at 139–140. “The weight of such a judgment in a particular case,” the Court observed, would “depend upon the thoroughness evident in its consideration, the validity of its reasoning, its consistency with earlier and later pronouncements, and all those factors which give it power to persuade, if lacking power to control.” Id., at 140.
On occasion, to be sure, the Court applied deferential review upon concluding that a particular statute empowered an agency to decide how a broad statutory term applied to specifc facts found by the agency. For example, in Gray v. Powell, 314 U. S. 402 (1941), the Court deferred to an administrative conclusion that a coal-burning railroad that had arrangements with several coal mines was not a coal “producer” under the Bituminous Coal Act of 1937. Congress had “specifcally” granted the agency the authority to make that determination. Id., at 411. The Court thus reasoned that “[w]here, as here, a determination has been left to an administrative body, this delegation will be respected and the administrative conclusion left untouched” so long as the agency's decision constituted “a sensible exercise of judgment.” Id., at 412–413. Similarly, in NLRB v. Hearst Pub lications, Inc., 322 U. S. 111 (1944), the Court deferred to the determination of the National Labor Relations Board that Page Proof Pending Publication newsboys were “employee[s]” within the meaning of the National Labor Relations Act. The Act had, in the Court's judgment, “assigned primarily” to the Board the task of marking a “defnitive limitation around the term `employee.' ” Id., at 130. The Court accordingly viewed its own role as “limited” to assessing whether the Board's determination had a “ `warrant in the record' and a reasonable basis in law.” Id., at 131.
Such deferential review, though, was cabined to factbound determinations like those at issue in Gray and Hearst. Neither Gray nor Hearst purported to refashion the longstanding judicial approach to questions of law. In Gray, after deferring to the agency's determination that a particular entity was not a “producer” of coal, the Court went on to discern, based on its own reading of the text, whether another statutory term—“other disposal” of coal—encompassed a transaction lacking a transfer of title. See 314 U. S., at 416–417. The Court evidently perceived no basis for deference to the agency with respect to that pure legal question. And in Hearst, the Court proclaimed that “[u]ndoubtedly questions of statutory interpretation . . . are for the courts to resolve, giving appropriate weight to the judgment of those whose special duty is to administer the questioned statute.” 322 U. S., at 130–131. At least with respect to questions it regarded as involving “statutory interpretation,” the Court thus did not disturb the traditional rule. It merely thought that a different approach should apply where application of a statutory term was suffciently intertwined with the agency's factfnding.
In any event, the Court was far from consistent in reviewing deferentially even such factbound statutory determinations. Often the Court simply interpreted and applied the statute before it. See K. Davis, Administrative Law § 248, p. 893 (1951) (“The one statement that can be made with confdence about applicability of the doctrine of Gray v. Powell is that sometimes the Supreme Court applies it and somePage Proof Pending Publication Page Proof Pending Publication times it does not.”); B. Schwartz, Gray vs. Powell and the Scope of Review, 54 Mich. L. Rev. 1, 68 (1955) (noting an “embarrassingly large number of Supreme Court decisions that do not adhere to the doctrine of Gray v. Powell”). In one illustrative example, the Court rejected the U. S. Price Administrator's determination that a particular warehouse was a “public utility” entitled to an exemption from the Administrator's General Maximum Price Regulation. Despite the striking resemblance of that administrative determination to those that triggered deference in Gray and Hearst, the Court declined to “accept the Administrator's view in deference to administrative construction.” Davies Ware house Co. v. Bowles, 321 U. S. 144, 156 (1944). The Administrator's view, the Court explained, had “hardly seasoned or broadened into a settled administrative practice,” and thus did not “overweigh the considerations” the Court had “set forth as to the proper construction of the statute.” Ibid. Nothing in the New Deal era or before it thus resembled the deference rule the Court would begin applying decades later to all varieties of agency interpretations of statutes. Instead, just fve years after Gray and two after Hearst, Congress codifed the opposite rule: the traditional understanding that courts must “decide all relevant questions of law.” 5 U. S. C. § 706.3 3The dissent plucks out Gray, Hearst, and—to “gild the lily,” in its telling—three more 1940s decisions, claiming they refect the relevant historical tradition of judicial review. Post, at 468–469, and n. 6 (opinion of Kagan, J.). But it has no substantial response to the fact that Gray and Hearst themselves endorsed, implicitly in one case and explicitly in the next, the traditional rule that “questions of statutory interpretation . . . are for the courts to resolve, giving appropriate weight”—not outright deference—“to the judgment of those whose special duty is to administer the questioned statute.” Hearst, 322 U. S., at 130–131. And it fails to recognize the deep roots that this rule has in our Nation's judicial tradition, to the limited extent it engages with that tradition at all. See post, at 467– 468, n. 5. Instead, like the Government, it strains to equate the “respect” or
C
Congress in 1946 enacted the APA “as a check upon administrators whose zeal might otherwise have carried them to excesses not contemplated in legislation creating their offces.” Morton Salt, 338 U. S., at 644. It was the culmination of a “comprehensive rethinking of the place of administrative agencies in a regime of separate and divided powers.” Bowen v. Michigan Academy of Family Physicians, 476 U. S. 667, 670–671 (1986).
In addition to prescribing procedures for agency action, the APA delineates the basic contours of judicial review of such action. As relevant here, Section 706 directs that “[t]o the extent necessary to decision and when presented, the reviewing court shall decide all relevant questions of law, interpret constitutional and statutory provisions, and determine the meaning or applicability of the terms of an agency action.” 5 U. S. C. § 706. It further requires courts to “hold unlawful and set aside agency action, fndings, and conclusions found to be . . . not in accordance with law.” § 706(2)(A).
The APA thus codifes for agency cases the unremarkable, yet elemental proposition refected by judicial practice dat“weight” traditionally afforded to Executive Branch interpretations with binding deference. See ibid.; Brief for Respondents in No. 22–1219, pp. 21–24. That supposed equivalence is a fction. The dissent's cases establish that a “contemporaneous construction” shared by “not only ... the courts” but also “the departments” could be “controlling,” Schell's Executors v. Fauché, 138 U. S. 562, 572 (1891) (emphasis added), and that courts might “lean in favor” of a “contemporaneous” and “continued” construction of the Executive Branch as strong evidence of a statute's meaning, United States v. Alabama Great Southern R. Co., 142 U. S. 615, 621 (1892). They do not establish that Executive Branch interpretations of ambiguous statutes—no matter how inconsistent, late breaking, or fawed—always bound the courts. In reality, a judge was never “bound to adopt the construction given by the head of a department.” Decatur v. Paulding, 14 Pet. 497, 515 (1840).
Page Proof Pending Publication ing back to Marbury: that courts decide legal questions by applying their own judgment. It specifes that courts, not agencies, will decide “all relevant questions of law” arising on review of agency action, § 706 (emphasis added)—even those involving ambiguous laws—and set aside any such action inconsistent with the law as they interpret it. And it prescribes no deferential standard for courts to employ in answering those legal questions. That omission is telling, because Section 706 does mandate that judicial review of agency policymaking and factfnding be deferential. See § 706(2)(A) (agency action to be set aside if “arbitrary, capricious, [or] an abuse of discretion”); § 706(2)(E) (agency fact- fnding in formal proceedings to be set aside if “unsupported by substantial evidence”).
In a statute designed to “serve as the fundamental charter of the administrative state,” Kisor v. Wilkie, 588 U. S. 558, 580 (2019) (plurality opinion) (internal quotation marks omitted), Congress surely would have articulated a similarly deferential standard applicable to questions of law had it intended to depart from the settled pre-APA understanding that deciding such questions was “exclusively a judicial function,” American Trucking Assns., 310 U. S., at 544. But nothing in the APA hints at such a dramatic departure. On the contrary, by directing courts to “interpret constitutional and statutory provisions” without differentiating between the two, Section 706 makes clear that agency interpretations of statutes—like agency interpretations of the Constitution—are not entitled to deference. Under the APA, it thus “remains the responsibility of the court to decide whether the law means what the agency says.” Perez v. Mortgage Bankers Assn., 575 U. S. 92, 109 (2015) (Scalia, J., concurring in judgment).4 4The dissent observes that Section 706 does not say expressly that courts are to decide legal questions using “a de novo standard of review.” Post, at 463. That much is true. But statutes can be sensibly understood only “by reviewing text in context.” Pulsifer v. United States, 601 Page Proof Pending Publication Page Proof Pending Publication The text of the APA means what it says. And a look at its history if anything only underscores that plain meaning. According to both the House and Senate Reports on the legislation, Section 706 “provide[d] that questions of law are for courts rather than agencies to decide in the last analysis.” H. R. Rep. No. 1980, 79th Cong., 2d Sess., 44 (1946) (emphasis added); accord, S. Rep. No. 752, 79th Cong., 1st Sess., 28 (1945). Some of the legislation's most prominent supporters articulated the same view. See 92 Cong. Rec. 5654 (1946) (statement of Rep. Walter); P. McCarran, Improving “Administrative Justice”: Hearings and Evidence; Scope of Judicial Review, 32 A. B. A. J. 827, 831 (1946). Even the Department of Justice—an agency with every incentive to endorse a view of the APA favorable to the Executive Branch—opined after its enactment that Section 706 merely “restate[d] the present law as to the scope of judicial review.” Dept. of Justice, Attorney General's Manual on the Administrative Procedure Act 108 (1947); see also Kisor, 588 U. S., at 582 (plurality opinion) (same). That “present law,” as we have described, adhered to the traditional conception of the judicial function. See supra, at 387–390.
Various respected commentators contemporaneously maintained that the APA required reviewing courts to exercise independent judgment on questions of law. Professor John Dickinson, for example, read the APA to “impose a clear mandate that all [questions of law] shall be decided by the reviewing Court for itself, and in the exercise of its own U. S. 124, 133 (2024). Since the start of our Republic, courts have “decide[d] . . . questions of law” and “interpret[ed] constitutional and statutory provisions” by applying their own legal judgment. § 706. Setting aside its misplaced reliance on Gray and Hearst, the dissent does not and could not deny that tradition. But it nonetheless insists that to codify that tradition, Congress needed to expressly reject a sort of deference the courts had never before applied—and would not apply for several decades to come. It did not. “The notion that some things `go without saying' applies to legislation just as it does to everyday life.” Bond v. United States, 572 U. S. 844, 857 (2014).
independent judgment.” Administrative Procedure Act: Scope and Grounds of Broadened Judicial Review, 33 A. B. A. J. 434, 516 (1947). Professor Bernard Schwartz noted that § 706 “would seem . . . to be merely a legislative restatement of the familiar review principle that questions of law are for the reviewing court, at the same time leaving to the courts the task of determining in each case what are questions of law.” Mixed Questions of Law and Fact and the Administrative Procedure Act, 19 Ford. L. Rev. 73, 84– 85 (1950). And Professor Louis Jaffe, who had served in several agencies at the advent of the New Deal, thought that § 706 leaves it up to the reviewing “court” to “decide as a `question of law' whether there is `discretion' in the premises”—that is, whether the statute at issue delegates particular discretionary authority to an agency. Judicial Control of Administrative Action 570 (1965).
The APA, in short, incorporates the traditional understanding of the judicial function, under which courts must exercise independent judgment in determining the meaning of statutory provisions. In exercising such judgment, though, courts may—as they have from the start—seek aid from the interpretations of those responsible for implementing particular statutes. Such interpretations “constitute a body of experience and informed judgment to which courts and litigants may properly resort for guidance” consistent with the APA. Skidmore, 323 U. S., at 140. And interpretations issued contemporaneously with the statute at issue, and which have remained consistent over time, may be especially useful in determining the statute's meaning. See ibid.; American Trucking Assns., 310 U. S., at 549.
In a case involving an agency, of course, the statute's meaning may well be that the agency is authorized to exercise a degree of discretion. Congress has often enacted such statutes. For example, some statutes “expressly delegate[ ]” to an agency the authority to give meaning to a particular statutory term. Batterton v. Francis, 432 U. S. 416, Page Proof Pending Publication Page Proof Pending Publication 425 (1977) (emphasis deleted).5 Others empower an agency to prescribe rules to “fll up the details” of a statutory scheme, Wayman v. Southard, 10 Wheat. 1, 43 (1825), or to regulate subject to the limits imposed by a term or phrase that “leaves agencies with fexibility,” Michigan v. EPA, 576 U. S. 743, 752 (2015), such as “appropriate” or “reasonable.” 6 When the best reading of a statute is that it delegates discretionary authority to an agency, the role of the reviewing court under the APA is, as always, to independently interpret the statute and effectuate the will of Congress subject to constitutional limits. The court fulflls that role by recognizing constitutional delegations, “fx[ing] the boundaries of [the] delegated authority,” H. Monaghan, Marbury and the Administrative State, 83 Colum. L. Rev. 1, 27 (1983), and ensuring the agency has engaged in “ `reasoned decision- making' ” within those boundaries, Michigan, 576 U. S., at 750 (quoting Allentown Mack Sales & Service, Inc. v. NLRB, 522 U. S. 359, 374 (1998)); see also Motor Vehicle Mfrs. Assn. of United States, Inc. v. State Farm Mut. Automobile Ins. Co., 463 U. S. 29 (1983). By doing so, a court upholds the 5See, e. g., 29 U. S. C. § 213(a)(15) (exempting from provisions of the Fair Labor Standards Act “any employee employed on a casual basis in domestic service employment to provide companionship services for individuals who (because of age or infrmity) are unable to care for themselves (as such terms are defned and delimited by regulations of the Secretary)” (emphasis added)); 42 U. S. C. § 5846(a)(2) (requiring notifcation to Nuclear Regulatory Commission when a facility or activity licensed or regulated pursuant to the Atomic Energy Act “contains a defect which could create a substantial safety hazard, as defned by regulations which the Commis sion shall promulgate” (emphasis added)).
6See, e. g., 33 U. S. C. § 1312(a) (requiring establishment of effuent limitations “[w]henever, in the judgment of the [Environmental Protection Agency (EPA)] Administrator . . . , discharges of pollutants from a point source or group of point sources . . . would interfere with the attainment or maintenance of that water quality . . . which shall assure” various outcomes, such as the “protection of public health” and “public water supplies”); 42 U. S. C. § 7412(n)(1)(A) (directing EPA to regulate power plants “if the Administrator fnds such regulation is appropriate and necessary”). traditional conception of the judicial function that the APA adopts.
III
The deference that Chevron requires of courts reviewing agency action cannot be squared with the APA.
A
In the decades between the enactment of the APA and this Court's decision in Chevron, courts generally continued to review agency interpretations of the statutes they administer by independently examining each statute to determine its meaning. Cf. T. Merrill, Judicial Deference to Executive Precedent, 101 Yale L. J. 969, 972–975 (1992). As an early proponent (and later critic) of Chevron recounted, courts during this period thus identifed delegations of discretionary authority to agencies on a “statute-by-statute basis.” A. Scalia, Judicial Deference to Administrative Interpretations of Law, 1989 Duke L. J. 511, 516.
Chevron, decided in 1984 by a bare quorum of six Justices, triggered a marked departure from the traditional approach. The question in the case was whether an EPA regulation “allow[ing] States to treat all of the pollution-emitting devices within the same industrial grouping as though they were encased within a single `bubble' ” was consistent with the term “stationary source” as used in the Clean Air Act. 467 U. S., at 840. To answer that question of statutory interpretation, the Court articulated and employed a now familiar two-step approach broadly applicable to review of agency action.
The frst step was to discern “whether Congress ha[d] directly spoken to the precise question at issue.” Id., at 842. The Court explained that “[i]f the intent of Congress is clear, that is the end of the matter,” ibid., and courts were therefore to “reject administrative constructions which are contrary to clear congressional intent,” id., at 843, n. 9. To disPage Proof Pending Publication cern such intent, the Court noted, a reviewing court was to “employ[ ] traditional tools of statutory construction.” Ibid. Without mentioning the APA, or acknowledging any doctrinal shift, the Court articulated a second step applicable when “Congress ha[d] not directly addressed the precise question at issue.” Id., at 843. In such a case—that is, a case in which “the statute [was] silent or ambiguous with respect to the specifc issue” at hand—a reviewing court could not “simply impose its own construction on the statute, as would be necessary in the absence of an administrative interpretation.” Ibid. (footnote omitted). A court instead had to set aside the traditional interpretive tools and defer to the agency if it had offered “a permissible construction of the statute,” ibid., even if not “the reading the court would have reached if the question initially had arisen in a judicial proceeding,” ibid., n. 11. That directive was justifed, according to the Court, by the understanding that administering statutes “requires the formulation of policy” to fll statutory “gap[s]”; by the long judicial tradition of according “considerable weight” to Executive Branch interpretations; and by a host of other considerations, including the complexity of the regulatory scheme, EPA's “detailed and reasoned” consideration, the policy-laden nature of the judgment supposedly required, and the agency's indirect accountability to the people through the President. Id., at 843, 844, and n. 14, 865.
Employing this new test, the Court concluded that Congress had not addressed the question at issue with the necessary “level of specifcity” and that EPA's interpretation was “entitled to deference.” Id., at 865. It did not matter why Congress, as the Court saw it, had not squarely addressed the question, see ibid., or that “the agency ha[d] from time to time changed its interpretation,” id., at 863. The latest EPA interpretation was a permissible reading of the Clean Air Act, so under the Court's new rule, that reading controlled.
Page Proof Pending Publication Page Proof Pending Publication Initially, Chevron “seemed destined to obscurity.” T.
Merrill, The Story of Chevron: The Making of an Accidental Landmark, 66 Admin. L. Rev. 253, 276 (2014). The Court did not at frst treat it as the watershed decision it was fated to become; it was hardly cited in cases involving statutory questions of agency authority. See ibid. But within a few years, both this Court and the courts of appeals were routinely invoking its two-step framework as the governing standard in such cases. See id., at 276–277. As the Court did so, it revisited the doctrine's justifcations. Eventually, the Court decided that Chevron rested on “a presumption that Congress, when it left ambiguity in a statute meant for implementation by an agency, understood that the ambiguity would be resolved, frst and foremost, by the agency, and desired the agency (rather than the courts) to possess whatever degree of discretion the ambiguity allows.” Smiley v. Citibank (South Dakota), N. A., 517 U. S. 735, 740–741 (1996); see also, e. g., Cuozzo Speed Technologies, LLC v. Lee, 579 U. S. 261, 276–277 (2016); Utility Air Regulatory Group v. EPA, 573 U. S. 302, 315 (2014); National Cable & Telecom munications Assn. v. Brand X Internet Services, 545 U. S. 967, 982 (2005).
B
Neither Chevron nor any subsequent decision of this Court attempted to reconcile its framework with the APA. The “law of deference” that this Court has built on the foundation laid in Chevron has instead been “[h]eedless of the original design” of the APA. Perez, 575 U. S., at 109 (Scalia, J., concurring in judgment).
Chevron defes the command of the APA that “the reviewing court”—not the agency whose action it reviews—is to “decide all relevant questions of law” and “interpret . . . statutory provisions.” § 706 (emphasis added). It requires a court to ignore, not follow, “the reading the court would have reached” had it exercised its independent judgment as required by the APA. Chevron, 467 U. S., at 843, n. 11. And although exercising independent judgment is consistent with the “respect” historically given to Executive Branch interpretations, see, e. g., Edwards' Lessee, 12 Wheat., at 210; Skidmore, 323 U. S., at 140, Chevron insists on much more. It demands that courts mechanically afford binding deference to agency interpretations, including those that have been inconsistent over time. See 467 U. S., at 863. Still worse, it forces courts to do so even when a pre-existing judicial precedent holds that the statute means something else—unless the prior court happened to also say that the statute is “unambiguous.”
Brand X, 545 U. S., at 982.
That regime is the antithesis of the time honored approach the APA prescribes. In fretting over the prospect of “allow[ing]” a judicial interpretation of a statute “to override an agency's” in a dispute before a court, ibid., Chevron turns the statutory scheme for judicial review of agency action upside down.
Chevron cannot be reconciled with the APA, as the Government and the dissent contend, by presuming that statutory ambiguities are implicit delegations to agencies. See Brief for Respondents in No. 22–1219, pp. 13, 37–38; post, at 451–462 (opinion of Kagan, J.). Presumptions have their place in statutory interpretation, but only to the extent that they approximate reality. Chevron's presumption does not, because “[a]n ambiguity is simply not a delegation of law- interpreting power. Chevron confuses the two.” C. Sun- stein, Interpreting Statutes in the Regulatory State, 103 Harv. L. Rev. 405, 445 (1989). As Chevron itself noted, ambiguities may result from an inability on the part of Congress to squarely answer the question at hand, or from a failure to even “consider the question” with the requisite precision. 467 U. S., at 865. In neither case does an ambiguity necessarily refect a congressional intent that an agency, as opposed to a court, resolve the resulting interpretive question. Page Proof Pending Publication And many or perhaps most statutory ambiguities may be unintentional. As the Framers recognized, ambiguities will inevitably follow from “the complexity of objects, . . . the imperfection of the human faculties,” and the simple fact that “no language is so copious as to supply words and phrases for every complex idea.” The Federalist No. 37, at 236.
Courts, after all, routinely confront statutory ambiguities in cases having nothing to do with Chevron—cases that do not involve agency interpretations or delegations of authority. Of course, when faced with a statutory ambiguity in such a case, the ambiguity is not a delegation to anybody, and a court is not somehow relieved of its obligation to independently interpret the statute. Courts in that situation do not throw up their hands because “Congress's instructions have” supposedly “run out,” leaving a statutory “gap.” Post, at 449 (opinion of Kagan, J.). Courts instead understand that such statutes, no matter how impenetrable, do— in fact, must—have a single, best meaning. That is the whole point of having written statutes; “every statute's meaning is fxed at the time of enactment.” Wisconsin Cen tral Ltd. v. United States, 585 U. S. 274, 284 (2018) (emphasis deleted). So instead of declaring a particular party's reading “permissible” in such a case, courts use every tool at their disposal to determine the best reading of the statute and resolve the ambiguity.
In an agency case as in any other, though, even if some judges might (or might not) consider the statute ambiguous, there is a best reading all the same—“the reading the court would have reached” if no agency were involved. Chevron, 467 U. S., at 843, n. 11. It therefore makes no sense to speak of a “permissible” interpretation that is not the one the court, after applying all relevant interpretive tools, concludes is best. In the business of statutory interpretation, if it is not the best, it is not permissible.
Perhaps most fundamentally, Chevron's presumption is misguided because agencies have no special competence in Page Proof Pending Publication resolving statutory ambiguities. Courts do. The Framers, as noted, anticipated that courts would often confront statutory ambiguities and expected that courts would resolve them by exercising independent legal judgment. And even Chevron itself reaffrmed that “[t]he judiciary is the fnal authority on issues of statutory construction” and recognized that “in the absence of an administrative interpretation,” it is “necessary” for a court to “impose its own construction on the statute.” Id., at 843, and n. 9. Chevron gravely erred, though, in concluding that the inquiry is fundamentally different just because an administrative interpretation is in play. The very point of the traditional tools of statutory construction—the tools courts use every day—is to resolve statutory ambiguities. That is no less true when the ambiguity is about the scope of an agency's own power—perhaps the occasion on which abdication in favor of the agency is least appropriate.
The Government responds that Congress must generally intend for agencies to resolve statutory ambiguities because agencies have subject matter expertise regarding the statutes they administer; because deferring to agencies purportedly promotes the uniform construction of federal law; and because resolving statutory ambiguities can involve policymaking best left to political actors, rather than courts. See Brief for Respondents in No. 22–1219, pp. 16–19. The dissent offers more of the same. See post, at 456–461. But none of these considerations justifes Chevron's sweeping presumption of congressional intent.
Beginning with expertise, we recently noted that interpretive issues arising in connection with a regulatory scheme often “may fall more naturally into a judge's bailiwick” than an agency's. Kisor, 588 U. S., at 578 (opinion of the Court). We thus observed that “[w]hen the agency has no comparative expertise in resolving a regulatory ambiguity, Congress presumably would not grant it that authority.” Ibid. Page Proof Pending Publication Page Proof Pending Publication Chevron's broad rule of deference, though, demands that courts presume just the opposite. Under that rule, ambiguities of all stripes trigger deference. Indeed, the Government and, seemingly, the dissent continue to defend the proposition that Chevron applies even in cases having little to do with an agency's technical subject matter expertise. See Brief for Respondents in No. 22–1219, p. 17; post, at 457. But even when an ambiguity happens to implicate a technical matter, it does not follow that Congress has taken the power to authoritatively interpret the statute from the courts and given it to the agency. Congress expects courts to handle technical statutory questions. “[M]any statutory cases” call upon “courts [to] interpret the mass of technical detail that is the ordinary diet of the law,” Egelhoff v. Egel hoff, 532 U. S. 141, 161 (2001) (Breyer, J., dissenting), and courts did so without issue in agency cases before Chevron, see post, at 444–445 (Gorsuch, J., concurring). Courts, after all, do not decide such questions blindly. The parties and amici in such cases are steeped in the subject matter, and reviewing courts have the beneft of their perspectives. In an agency case in particular, the court will go about its task with the agency's “body of experience and informed judgment,” among other information, at its disposal. Skidmore, 323 U. S., at 140. And although an agency's interpretation of a statute “cannot bind a court,” it may be especially informative “to the extent it rests on factual premises within [the agency's] expertise.” Bureau of Alcohol, Tobacco and Fire arms v. FLRA, 464 U. S. 89, 98, n. 8 (1983). Such expertise has always been one of the factors which may give an Executive Branch interpretation particular “power to persuade, if lacking power to control.” Skidmore, 323 U. S., at 140; see, e. g., County of Maui v. Hawaii Wildlife Fund, 590 U. S. 165, 180 (2020); Moore, 95 U. S., at 763.
For those reasons, delegating ultimate interpretive authority to agencies is simply not necessary to ensure that the resolution of statutory ambiguities is well informed by subject matter expertise. The better presumption is therefore that Congress expects courts to do their ordinary job of interpreting statutes, with due respect for the views of the Executive Branch. And to the extent that Congress and the Executive Branch may disagree with how the courts have performed that job in a particular case, they are of course always free to act by revising the statute.
Nor does a desire for the uniform construction of federal law justify Chevron. Given inconsistencies in how judges apply Chevron, see infra, at 407–410, it is unclear how much the doctrine as a whole (as opposed to its highly deferential second step) actually promotes such uniformity. In any event, there is little value in imposing a uniform interpretation of a statute if that interpretation is wrong. We see no reason to presume that Congress prefers uniformity for uniformity's sake over the correct interpretation of the laws it enacts.
The view that interpretation of ambiguous statutory provisions amounts to policymaking suited for political actors rather than courts is especially mistaken, for it rests on a profound misconception of the judicial role. It is reasonable to assume that Congress intends to leave policymaking to political actors. But resolution of statutory ambiguities involves legal interpretation. That task does not suddenly become policymaking just because a court has an “agency to fall back on.” Kisor, 588 U. S., at 575 (opinion of the Court). Courts interpret statutes, no matter the context, based on the traditional tools of statutory construction, not individual policy preferences. Indeed, the Framers crafted the Constitution to ensure that federal judges could exercise judgment free from the infuence of the political branches. See The Federalist No. 78, at 522–525. They were to construe the law with “[c]lear heads . . . and honest hearts,” not with an eye to policy preferences that had not made it into Page Proof Pending Publication the statute. 1 Works of James Wilson 363 (J. Andrews ed.
1896).
That is not to say that Congress cannot or does not confer discretionary authority on agencies. Congress may do so, subject to constitutional limits, and it often has. But to stay out of discretionary policymaking left to the political branches, judges need only fulfll their obligations under the APA to independently identify and respect such delegations of authority, police the outer statutory boundaries of those delegations, and ensure that agencies exercise their discretion consistent with the APA. By forcing courts to instead pretend that ambiguities are necessarily delegations, Chev ron does not prevent judges from making policy. It prevents them from judging.
In truth, Chevron's justifying presumption is, as Members of this Court have often recognized, a fction. See Buffng- ton v. McDonough, 598 U. S. 1021, 1029–1030 (2022) (GorU. S., at 286 (Thomas, J., concurring); Scalia, 1989 Duke L. J., at 517; see also post, at 462 (opinion of Kagan, J.). So we have spent the better part of four decades imposing one limitation on Chevron after another, pruning its presumption on the understanding that “where it is in doubt that Congress actually intended to delegate particular interpretive authority to an agency, Chevron is `inapplicable.' ” United States v. Mead Corp., 533 U. S. 218, 230 (2001) (quoting Christensen v. Harris County, 529 U. S. 576, 597 (2000) (Breyer, J., dissenting)); see also Adams Fruit Co. v. Barrett, 494 U. S. 638, 649 (1990).
Consider the many refnements we have made in an effort to match Chevron's presumption to reality. We have said that Chevron applies only “when it appears that Congress delegated authority to the agency generally to make rules carrying the force of law, and that the agency interpretation claiming deference was promulgated in the exercise of that Page Proof Pending Publication authority.” Mead, 533 U. S., at 226–227. In practice, that threshold requirement—sometimes called Chevron “step zero”—largely limits Chevron to “the fruits of notice-andcomment rulemaking or formal adjudication.” 533 U. S., at 230. But even when those processes are used, deference is still not warranted “where the regulation is `procedurally defective'—that is, where the agency errs by failing to follow the correct procedures in issuing the regulation.” Encino Motorcars, LLC v. Navarro, 579 U. S. 211, 220 (2016) (quoting Mead, 533 U. S., at 227).
Even where those procedural hurdles are cleared, substantive ones remain. Most notably, Chevron does not apply if the question at issue is one of “deep `economic and political signifcance.' ” King v. Burwell, 576 U. S. 473, 486 (2015). We have instead expected Congress to delegate such authority “expressly” if at all, ibid., for “[e]xtraordinary grants of regulatory authority are rarely accomplished through `modest words,' `vague terms,' or `subtle device[s],' ” West Vir ginia v. EPA, 597 U. S. 697, 723 (2022) (quoting Whitman v. American Trucking Assns., Inc., 531 U. S. 457, 468 (2001); alteration in original). Nor have we applied Chevron to agency interpretations of judicial review provisions, see Adams Fruit Co., 494 U. S., at 649–650, or to statutory schemes not administered by the agency seeking deference, see Epic Systems Corp. v. Lewis, 584 U. S. 497, 519–520 (2018). And we have sent mixed signals on whether Chev ron applies when a statute has criminal applications. Compare Abramski v. United States, 573 U. S. 169, 191 (2014), with Babbitt v. Sweet Home Chapter, Communities for Great Ore., 515 U. S. 687, 704, n. 18 (1995).
Confronted with this byzantine set of preconditions and exceptions, some courts have simply bypassed Chevron, saying it makes no difference for one reason or another.7 And 7See, e.g., Guedes v. Bureau of Alcohol, Tobacco, Firearms and Explo sives, 45 F. 4th 306, 313–314 (CADC 2022), abrogated by Garland v. Car- gill, 602 U. S. 406 (2024); County of Amador v. United States Dept. of Page Proof Pending Publication even when they do invoke Chevron, courts do not always heed the various steps and nuances of that evolving doctrine. In one of the cases before us today, for example, the First Circuit both skipped “step zero,” see 62 F. 4th, at 628, and refused to “classify [its] conclusion as a product of Chevron step one or step two”—though it ultimately appears to have deferred under step two, id., at 634.
This Court, for its part, has not deferred to an agency interpretation under Chevron since 2016. See Cuozzo, 579 U. S., at 280 (most recent occasion). But Chevron remains on the books. So litigants must continue to wrestle with it, and lower courts—bound by even our crumbling precedents, see Agostini v. Felton, 521 U. S. 203, 238 (1997)—understandably continue to apply it.
The experience of the last 40 years has thus done little to rehabilitate Chevron. It has only made clear that Chevron's fctional presumption of congressional intent was always unmoored from the APA's demand that courts exercise independent judgment in construing statutes administered by agencies. At best, our intricate Chevron doctrine has been nothing more than a distraction from the question that matters: Does the statute authorize the challenged agency action? And at worst, it has required courts to violate the APA by yielding to an agency the express responsibility, vested in “the reviewing court,” to “decide all relevant ques- Interior, 872 F. 3d 1012, 1021–1022 (CA9 2017); Estrada-Rodriguez v. Lynch, 825 F. 3d 397, 403–404 (CA8 2016); Nielsen v. AECOM Tech. Corp., 762 F. 3d 214, 220 (CA2 2014); Alaska Stock, LLC v. Houghton Miffin Harcourt Publishing Co., 747 F. 3d 673, 685, n. 52 (CA9 2014); Jurado- Delgado v. Attorney Gen. of U. S., 498 Fed. Appx. 107, 117 (CA3 2009); see also D. Brookins, Confusion in the Circuit Courts: How the Circuit Courts Are Solving the Mead-Puzzle by Avoiding It Altogether, 85 Geo. Wash. L. Rev. 1484, 1496–1499 (2017) (documenting Chevron avoidance by the lower courts); A. Vermeule, Our Schmittian Administrative Law, 122 Harv. L. Rev. 1095, 1127–1129 (2009) (same); L. Bressman, How Mead Has Muddled Judicial Review of Agency Action, 58 Vand. L. Rev. 1443, 1464–1466 (2005) (same).
Page Proof Pending Publication tions of law” and “interpret . . . statutory provisions.” § 706 (emphasis added).
IV
The only question left is whether stare decisis, the doctrine governing judicial adherence to precedent, requires us to persist in the Chevron project. It does not. Stare deci sis is not an “inexorable command,” Payne v. Tennessee, 501 U. S. 808, 828 (1991), and the stare decisis considerations most relevant here—“the quality of [the precedent's] reasoning, the workability of the rule it established, . . . and reliance on the decision,” Knick v. Township of Scott, 588 U. S. 180, 203 (2019) (quoting Janus v. State, County, and Municipal Employees, 585 U. S. 878, 917 (2018))—all weigh in favor of letting Chevron go.
Chevron has proved to be fundamentally misguided. Despite reshaping judicial review of agency action, neither it nor any case of ours applying it grappled with the APA—the statute that lays out how such review works. Its faws were nonetheless apparent from the start, prompting this Court to revise its foundations and continually limit its application. It has launched and sustained a cottage industry of scholars attempting to decipher its basis and meaning. And Members of this Court have long questioned its premises. See, e. g., Pereira v. Sessions, 585 U. S. 198, 219–221 (2018) (Kennedy, J., concurring); Michigan, 576 U. S., at 760–764 (Thomas, J., concurring); Buffngton, 598 U. S. 1021 (opinion of Gorsuch, J.); B. Kavanaugh, Fixing Statutory Interpretation, 129 Harv. L. Rev. 2118, 2150–2154 (2016). Even Justice Scalia, an early champion of Chevron, came to seriously doubt whether it could be reconciled with the APA. See Perez, 575 U. S., at 109–110 (opinion concurring in judgment). For its entire existence, Chevron has been a “rule in search of a justifcation,” Knick, 588 U. S., at 204, if it was ever coherent enough to be called a rule at all.
Experience has also shown that Chevron is unworkable.
The defning feature of its framework is the identifcation of Page Proof Pending Publication statutory ambiguity, which requires deference at the doctrine's second step. But the concept of ambiguity has always evaded meaningful defnition. As Justice Scalia put the dilemma just fve years after Chevron was decided: “How clear is clear?” 1989 Duke L. J., at 521.
We are no closer to an answer to that question than we were four decades ago. “ `[A]mbiguity' is a term that may have different meanings for different judges.” Exxon Mobil Corp. v. Allapattah Services, Inc., 545 U. S. 546, 572 (2005) (Stevens, J., dissenting). One judge might see ambiguity everywhere; another might never encounter it. Compare L.
Silberman, Chevron—The Intersection of Law & Policy, 58 Geo. Wash. L. Rev. 821, 822 (1990), with R. Kethledge, Ambiguities and Agency Cases: Refections After (Almost) Ten Years on the Bench, 70 Vand. L. Rev. En Banc 315, 323 (2017). A rule of law that is so wholly “in the eye of the beholder,” Exxon Mobil Corp., 545 U. S., at 572 (Stevens, J., dissenting), invites different results in like cases and is therefore “arbitrary in practice,” Gulfstream Aerospace Corp. v. Mayacamas Corp., 485 U. S. 271, 283 (1988). Such an impressionistic and malleable concept “cannot stand as an every-day test for allocating” interpretive authority between courts and agencies. Swift & Co. v. Wickham, 382 U. S. 111, 125 (1965).
The dissent proves the point. It tells us that a court should reach Chevron's second step when it fnds, “at the end of its interpretive work,” that “Congress has left an ambiguity or gap.” Post, at 449. (The Government offers a similar test. See Brief for Respondents in No. 22–1219, pp. 7, 10, 14; Tr. of Oral Arg. 113–114, 116.) That is no guide at all. Once more, the basic nature and meaning of a statute does not change when an agency happens to be involved. Nor does it change just because the agency has happened to offer its interpretation through the sort of procedures necessary to obtain deference, or because the other preconditions for Chevron happen to be satisfed. The statute still has a best Page Proof Pending Publication meaning, necessarily discernible by a court deploying its full interpretive toolkit. So for the dissent's test to have any meaning, it must think that in an agency case (unlike in any other), a court should give up on its “interpretive work” before it has identifed that best meaning. But how does a court know when to do so? On that point, the dissent leaves a gap of its own. It protests only that some other interpretive tools—all with pedigrees more robust than Chevron's, and all designed to help courts identify the meaning of a text rather than allow the Executive Branch to displace it—also apply to ambiguous texts. See post, at 474. That this is all the dissent can come up with, after four decades of judicial experience attempting to identify ambiguity under Chevron, reveals the futility of the exercise.8 Because Chevron in its original, two-step form was so indeterminate and sweeping, we have instead been forced to clarify the doctrine again and again. Our attempts to do so have only added to Chevron's unworkability, transforming the original two-step into a dizzying breakdance. See Adams Fruit Co., 494 U. S., at 649–650; Mead, 533 U. S., at 226–227; King, 576 U. S., at 486; Encino Motorcars, 579 U. S., at 220; Epic Systems, 584 U. S., at 519–520; on and on. And the doctrine continues to spawn diffcult threshold questions that promise to further complicate the inquiry should Chev ron be retained. See, e. g., Cargill v. Garland, 57 F. 4th 447, 465–468 (CA5 2023) (plurality opinion) (May the Government waive reliance on Chevron? Does Chevron apply to agency interpretations of statutes imposing criminal penalties? Does Chevron displace the rule of lenity?), aff'd, 602 U. S. 406 (2024).
8Citing an empirical study, the dissent adds that Chevron “fosters agree ment among judges.” Post, at 474. It is hardly surprising that a study might fnd as much; Chevron's second step is supposed to be hospitable to agency interpretations. So when judges get there, they tend to agree that the agency wins. That proves nothing about the supposed ease or predictability of identifying ambiguity in the frst place. Page Proof Pending Publication Page Proof Pending Publication Four decades after its inception, Chevron has thus become an impediment, rather than an aid, to accomplishing the basic judicial task of “say[ing] what the law is.” Marbury,1 Cranch, at 177. And its continuing import is far from clear. Courts have often declined to engage with the doctrine, saying it makes no difference. See n. 7, supra. And as noted, we have avoided deferring under Chevron since 2016. That trend is nothing new; for decades, we have often declined to invoke Chevron even in those cases where it might appear to be applicable. See W. Eskridge & L. Baer, The Continuum of Deference: Supreme Court Treatment of Agency Statutory Interpretations From Chevron to Hamdan, 96 Geo. L. J. 1083, 1125 (2008). At this point, all that remains of Chevron is a decaying husk with bold pretensions.
Nor has Chevron been the sort of “ `stable background' rule” that fosters meaningful reliance. Post, at 455, n. 1 (opinion of Kagan, J.) (quoting Morrison v. National Aus tralia Bank Ltd., 561 U. S. 247, 261 (2010)). Given our constant tinkering with and eventual turn away from Chevron, and its inconsistent application by the lower courts, it instead is hard to see how anyone—Congress included—could reasonably expect a court to rely on Chevron in any particular case. And even if it were possible to predict accurately when courts will apply Chevron, the doctrine “does not provide `a clear or easily applicable standard, so arguments for reliance based on its clarity are misplaced.' ” Janus, 585 U. S., at 927 (quoting South Dakota v. Wayfair, Inc., 585 U. S. 162, 186 (2018)). To plan on Chevron yielding a particular result is to gamble not only that the doctrine will be invoked, but also that it will produce readily foreseeable outcomes and the stability that comes with them. History has proved neither bet to be a winning proposition.
Rather than safeguarding reliance interests, Chevron affrmatively destroys them. Under Chevron, a statutory ambiguity, no matter why it is there, becomes a license authorizing an agency to change positions as much as it likes, with “[u]nexplained inconsistency” being “at most . . . a reason for holding an interpretation to be . . . arbitrary and capricious.” Brand X, 545 U. S., at 981. But statutory ambiguity, as we have explained, is not a reliable indicator of actual delegation of discretionary authority to agencies. Chevron thus allows agencies to change course even when Congress has given them no power to do so. By its sheer breadth, Chevron fosters unwarranted instability in the law, leaving those attempting to plan around agency action in an eternal fog of uncertainty.
Chevron accordingly has undermined the very “rule of law” values that stare decisis exists to secure. Michigan v. Bay Mills Indian Community, 572 U. S. 782, 798 (2014).
And it cannot be constrained by admonishing courts to be extra careful, or by tacking on a new batch of conditions. We would need to once again “revis[e] its theoretical basis . . . in order to cure its practical defciencies.” Montejo v. Louisiana, 556 U. S. 778, 792 (2009). Stare decisis does not require us to do so, especially because any refnements we might make would only point courts back to their duties under the APA to “decide all relevant questions of law” and “interpret . . . statutory provisions.” § 706. Nor is there any reason to wait helplessly for Congress to correct our mistake. The Court has jettisoned many precedents that Congress likewise could have legislatively overruled. See, e. g., Patterson v. McLean Credit Union, 485 U. S. 617, 618 (1988) (per curiam) (collecting cases). And part of “judicial humility,” post, at 450, 471 (opinion of Kagan, J.), is admitting and in certain cases correcting our own mistakes, especially when those mistakes are serious, see post, at 423–424 (opinion of Gorsuch, J.).
This is one of those cases. Chevron was a judicial invention that required judges to disregard their statutory duties. And the only way to “ensure that the law will not merely Page Proof Pending Publication change erratically, but will develop in a principled and intelligible fashion,” Vasquez v. Hillery, 474 U. S. 254, 265 (1986), is for us to leave Chevron behind.
By doing so, however, we do not call into question prior cases that relied on the Chevron framework. The holdings of those cases that specifc agency actions are lawful—including the Clean Air Act holding of Chevron itself—are still subject to statutory stare decisis despite our change in interpretive methodology. See CBOCS West, Inc. v. Humphries, 553 U. S. 442, 457 (2008). Mere reliance on Chevron cannot constitute a “ `special justifcation' ” for overruling such a holding, because to say a precedent relied on Chevron is, at best, “just an argument that the precedent was wrongly decided.” Halliburton Co. v. Erica P. John Fund, Inc., 573 U. S. 258, 266 (2014) (quoting Dickerson v. United States, 530 U. S. 428, 443 (2000)). That is not enough to justify overruling a statutory precedent.
* * * The dissent ends by quoting Chevron: “ `Judges are not experts in the feld.' ” Post, at 478 (quoting 467 U. S., at 865). That depends, of course, on what the “feld” is. If it is legal interpretation, that has been, “emphatically,” “the province and duty of the judicial department” for at least 221 years. Marbury, 1 Cranch, at 177. The rest of the dissent's selected epigraph is that judges “ `are not part of either political branch.' ” Post, at 478 (quoting Chevron, 467 U. S., at 865). Indeed. Judges have always been expected to apply their “judgment” independent of the political branches when interpreting the laws those branches enact. The Federalist No. 78, at 523. And one of those laws, the APA, bars judges from disregarding that responsibility just because an Executive Branch agency views a statute differently.
Chevron is overruled. Courts must exercise their independent judgment in deciding whether an agency has acted within its statutory authority, as the APA requires. Careful Page Proof Pending Publication attention to the judgment of the Executive Branch may help inform that inquiry. And when a particular statute delegates authority to an agency consistent with constitutional limits, courts must respect the delegation, while ensuring that the agency acts within it. But courts need not and under the APA may not defer to an agency interpretation of the law simply because a statute is ambiguous.
Because the D. C. and First Circuits relied on Chevron in deciding whether to uphold the Rule, their judgments are vacated, and the cases are remanded for further proceedings consistent with this opinion.
It is so ordered.