Full opinion text
HOLMES, Circuit Judge. INTRODUCTION In this case, we -must resolve whether section 5 of the National Voter Registration Act (the “NVRA”), 52 U.S.C. § 20504, preempts a Kansas law requiring documentary proof of citizenship (“DPOC”) for voter registration, Kan. Stat. Ann. § 25-2309©, as applied to the federally mandated .voter-registration form that must be a part of any application to obtain or renew a driver’s license (the “motor voter” process). Section 5 of the NVRA mandates that states include a voter-registration form as part of the application for a driver’s license, and provides that this voter-registration form “may require only the minimum amount of information necessary to” prevent duplicate registrations and to “enable State election officials to assess the eligibility of the applicant and to administer voter registration and other parts of the election process.”, 52 .U.S.C. § 20504(c)(2)(B). Section 5 further mandates that, motor voter forms include the following: a statement of the criteria for eligibility, “including citizenship”; an attestation that the applicant, meets those crite.ria; and the, applicant’s signature “under penalty of perjury.” § 20504(c)(2)(C). Granting a motion for a preliminary injunction against enforcement of Kansas’s DPOC requirements, the U.S. District Court for the District of Kansas held that the Plaintiffs-Appellees had made a strong showing that Kansas’s DPOC law was preempted by NVRA section 5, insofar as DPOC was more than the “minimum amount of information necessary” to achieve the purposes set forth by the statute. Defendant-Appellant Kansas Secretary of State Kris Kobach appeals from the district court’s entry of the preliminary injunction, which required him to register to vote any applicants previously unable to produce DPOC and to cease enforcement of Kansas’s DPOC requirement with respect to individuals who apply to register to vote at the Kansas Department of Motor Vehicles (“DMV”) through the motor voter process. Exercising jurisdiction pursuant to 28 U.S.C. § 1292, we hold that the district court did not abuse its discretion in granting the preliminary injunction because the NVRA preempts Kansas’s DPOC law as enforced against those applying to vote while obtaining or renewing a driver’s license. Specifically, section 5 of the NVRA provides, as most relevant here, that the state motor voter form “may require only the minimum amount of information necessary to ... enable State election officials to assess the eligibility of the applicant and to administer voter registration and other parts of the election process.” 52 U.S.C. § 20504(c)(2)(B)(ii). Section 5 also requires motor voter forms to include a signed attestation under penalty of perjury that the applicant meets the state’s eligibility criteria, including citizenship. § 20504(c)(2)(C). We hold that this attestation under penalty of perjury is the presumptive minimum amount of information necessary for state election officials to carry out their eligibility-assessment and registration duties. As it pertains to the citizenship requirement, the presumption ordinarily can be rebutted (i.e., overcome) only by a factual showing that substantial numbers of noncitizens have successfully registered to vote under the NVRA’s attestation requirement. Having determined that Secretary Kobach has failed to make this showing, we conclude that the DPOC required by Kansas law is more than the minimum amount of information necessary and, therefore, is preempted by the NVRA. We affirm the grant of a preliminary injunction. I. BACKGROUND A. Kansas’s DPOC Requirement and Prior Litigation Unremarkably, in Kansas, only citizens may vote in state and federal elections. Kan. Const, art. V, § 1. The Kansas Constitution also requires the legislature to “provide by law for proper proofs of the right to suffrage.” Id. art. V, § 4. Kansas adopted its DPOC requirement for voter registration on April 18, 2011. Secure and Fair Elections (“SAFE”) Act, ch. 56, § 8(1), 2011 Kan. Sess. Laws 795, 806, 809-11 (codified at Kan. Stat. Ann. § 25-2309(Z)). The requirement took effect January 1, 2013. Id. at § 8(u), 2011 Kan. Sess. Laws at 812. The SAFE Act requires that (l) The county election officer or secretary of state’s office shall accept any completed application for registration, but an applicant shall not be registered until the applicant has provided satisfactory evidence of United States citizenship. Evidence of United States citizenship as required in this section will be satisfied by presenting one of the documents listed ... in person at the time of filing the application for registration or by including a photocopy of one of the following documents with a mailed registration application. After a person has submitted satisfactory evidence of citizenship, the county election officer shall indicate this information in the person’s permanent voter file. Kan. Stat. Ann. § 25-2309(i). The statute then lists thirteen forms of documentation acceptable to prove U.S. citizenship, including a birth certificate or passport. See § 25-2309(0(l)-(13). For citizens unable to present DPOC, subsection (m) provides an alternate means to prove citizenship by the submission of evidence to the state election board followed by a hearing. See § 25-2309(m). The state election board is composed of “the lieutenant governor, the secretary of state and the attorney general.” § 25-2203(a). Secretary Kobach promulgated regulations for the DPOC requirement on October 2, 2015. Kan. Admin. Regs. § 7-23-15 (the “90-day regulation”). Those regulations provide that applications unaccompanied by DPOC are deemed to be “incomplete.” § 7-23-15(a). Once an application is designated as incomplete, a voter has ninety days to provide DPOC or else the application is canceled and a new voter-registration application is required to register. See § 7-23-15(b)-(c), We believe that it will provide useful context for our subsequent discussion of the procedural history of the present case for us to briefly refer to Kansas’s prior litigation before our court involving the DPOC issue. Some groundwork must be laid first, however. In 2013, an Arizona DPOC requirement was challenged as running afoul of sections 6 and 9 of the NVRA. Arizona v. Inter Tribal Council of Ariz., Inc. (Inter Tribal), — U.S. -, 133 S.Ct. 2247, 2252-53, 186 L.Ed.2d 239 (2013). Section 9 provides for a universal mail-in form for voter registration for federal elections (the “Federal Form”) and entrusts the creation and administration of that form to the Election Assistance Commission (the “EAC”) in consultation with the chief election officers of the states. See 52 U.S.C. § 20508(a). Section 6 provides that “[e]ach State shall accept and use the mail voter registration application form prescribed by ... Section 20508(a)(2).” § 20505(a)(1). The ease came before the U.S. Supreme Court, which was faced with the question of whether the federal statutory requirement that states “accept and use” the Federal Form preempted Arizona’s law requiring officials to reject Federal Form applications unaccompanied by DPOC. See Inter Tribal, 133 S.Ct. at 2253. The Court held that the NVRA did require Arizona to accept Federal Forms unaccompanied by DPOC but also stated that Arizona could petition the EAC to add a state-specific instruction requiring DPOC and, in the ease of its refusal to add it, the state could obtain judicial review of the EAC decision. Id. at 2259-60. The court further held that to raise a constitutional doubt under the Qualifications Clause (i.e., U.S. Const, art. I, § 2, cl. 1), the state would have had to show that the law precluded it “from obtaining information necessary for enforcement” of the state’s voter qualifications. Id. at 2259. Ken Bennet, then Secretary of State of Arizona, together with Secretary Kobach, subsequently requested that the EAC add state-specific instructions for Arizona and Kansas requiring DPOC. Rebuffed by the EAC, they filed suit in the District of Kansas attempting to force the EAC to grant their request to add Arizona- and Kansas-specific DPOC instructions to the Federal Form or to obtain a judgment that the NVRA was unconstitutional as applied. Kobach v. U.S. Election Assistance Comm’n (EAC), 772 F.3d 1183, 1187-88 (10th Cir. 2014). They prevailed in district court, but we reversed on appeal. Specifically, we rejected their challenge and held that the EAC’s refusal was in accordance with the NVRA and the Administrative Procedure Act and that no Qualifications Clause issue had been raised. See id, at 1199. Now we proceed to the procedural circumstances of this case. B. Procedural Background Steven Wayne. Fish, Donna Bucci, Charles Strieker, Thomas J. Boynton, and Douglas Hutchinson (together with the League of Women Voters of Kansas, the “Plaintiffs-Appellees”) filed their initial complaint in the U.S. District Court for the District of Kansas on February 18, 2016. The individual Plaintiffs-Appellees are U.S. citizens eligible to vote who claim that they have been prevented from registering to vote by Kansas’s DPOC requirement. Bringing suit under the private right of action established by the NVRA, 52 U.S.C. § 20510(b), and 42 U.S.C. § 1983, Plaintiffs-Appellees allege that Kansas’s DPOC requirement and the 90-day regulation are preempted by the NVRA and are unconstitutional under both the Elections Clause (i.e., U.S. Const, art. I, § 4, cl. 1) and the Privileges and Immunities Clause (i.e., U.S. Const, art. IV, § 2, cl. 1), After Plaintiffs-Appellees filed their motion for a preliminary injunction on February 25, 2016, limited and expedited discovery ensued. In response to the preliminary injunction motion, Secretaiy Kobach argued that the NVRA did not speak to or preempt state DPOC requirements and, to so interpret the statute, would raise a doubt as to whether the NVRA was constitutional because it would-bring the statute into conflict with the states’ power under the Qualifications Clause. The district court disagreed, issuing a memorandum and order on May 17. - The order granted in part and denied in part the Plaintiffs-Appellees’ motion for a preliminary injunction. The court denied the motion as to enjoining enforcement of the 90-day regulation, holding that the Plaintiffs-Appellees were unlikely to prevail on them claim that the regulation was preempted by Section 8 of the NVRA. But the court granted the motion to enjoin Kansas from enforcing the DPOC requirement and further enjoined Secretary Ko-bach to register each person whose application had been suspended or cancelled for failure to provide DPOC. The court did so on the grounds that the minimum-information principle of NVRA section 5 preempted Kansas’s DPOC requirements and, in that regard, Secretary Kobach had failed to show that the statute’s attestation requirement did not meet this statutory principle or to raise a constitutional doubt under the Qualifications Clause. To reach this conclusion, the court first interpreted the term “minimum” in NVRA section 5 to bear its plain meaning. Accordingly, under the minimum-information principle, a “State may require only the least possible amount of information necessary to enable State election officials to assess whether the applicant is a United States Citizen.” Fish v. Kobach, — F.Supp.3d -, -, 2016 WL 2866195, at *16 (D. Kan. 2016). Next the court determined that DPOC was quite burdensome whereas attestation was less burdensome and had successfully prevented all but a very few noncitizens from registering to vote. DPOC was therefore adjudged to be greater than the least amount of information necessary and preempted by the NVRA, while attestation met the statutory minimum-information principle. Lastly, the court rejected Secretary Kobach’s Qualifications Clause challenge to preemption under the NVRA. Guided by Inter Tribal and EAC, the court held that, because Kansas had failed to show that the statutory attestation requirement resulted in a “significant number of noncitizens voting,” the NVRA’s preemption of Kansas’s DPOC requirement did not preclude the state from enforcing its citizenship qualification in contravention of the Qualification Clause. Id. at -, 2016 WL 2866196, at *23. After the court issued its preliminary injunction, Secretary Kobach timely appealed, arguing that the district court erred in its interpretation of the NVRA, that the Plaintiffs-Appellees had failed to meet the irreparable-harm standard, and that the balance of harms was improperly weighed. C. Statutory Background: The National Voter Registration Act 1. General Purposes and Structure Acting pursuant to the Elections Clause, Congress crafted and passed the NVRA against a backdrop of lackluster voter registration and political participation. Congress found that “discriminatory and unfair registration laws and procedures can have a direct and damaging effect on voter participation in elections for Federal office and disproportionately harm voter participation by various groups, including racial minorities.” 62 U.S.C. § 20501(a)(3). In crafting the NVRA, Congress had four overriding purposes: (1) to establish procedures that will increase the number of eligible citizens who register to vote in elections for Federal office; (2) to make it possible for Federal, State, and local governments to implement this chapter in a manner that enhances the participation of eligible citizens as voters in elections for Federal office; (3) to protect the integrity of the electoral process; and (4) to ensure that accurate and current voter registration rolls are maintained. § 20501(b). To achieve these purposes, the NVRA creates three federally mandated voter-registration mechanisms, two of which are implemented almost entirely by the states. Section 4 provides the basic outlines of the statute’s requirements: [N]otwithstanding any other Federal or State law, in addition to any other method of voter registration provided for under State law, each State shall establish procedures to register to vote in elections for Federal office— (1) by application made simultaneously with an application for a motor vehicle driver’s license pursuant to section 20504 of this title; (2) by mail application pursuant to section 20505 of this title; (3) by application in person— (B) at a Federal, State, or nongovernmental office designated under section 20506 of this title. § 20503(a). Together, these mechanisms ensure that, whatever else the states do, simple means are available to register for federal elections and those means are actively presented to voters by the states. The NVRA thus mandates both the means by which registration is achieved and where and how those means will be presented to potential voters. The NVRA sets requirements for the contents of both the Federal Form and any state forms used in the motor voter or agency registration processes. The contents of the mail-in Federal Form of sections 6 and 9 (the subject of both Inter Tribal and EAC) are prescribed partly by statute, § 20508(b), and otherwise entrusted to the administrative judgment of the EAC, a federal agency. See § 20508(a); EAC, 772 F.3d at 1195-96. While states are permitted to create their own mail-in forms, § 20505(a)(2), they must nevertheless accept and use the Federal Form, see § 20505(a)(1)—(2); Inter Tribal, 133 S.Ct. at 2247. Similarly, in the context of Section 7’s agency provisions, state agencies must either distribute the Federal Form or use “the office’s own form if it is equivalent to the form described in section 20508(a)(2),” i.e. the Federal Form. § 20506(a)(6)(A)(i)— (ii). By contrast, section 5’s motor voter provisions require states to develop a form for use in tandem with applications to obtain or renew a driver’s license. See § 20504(c). But the NVRA does not give states a free hand to determine the contents of their motor voter forms. The statute sets out requirements for the contents of state motor voter forms in terms that largely mirror the requirements for the Federal Form—but that also differ in important ways. Compare § 20504(c)(2) (motor voter form requirements), with § 20508(b) (Federal Form requirements). In addition to mandating and regulating the means of voter registration, the NVRA requires that states actively present voters with those means. Alongside the motor voter regime, section 7’s agency provisions require state public assistance agencies and other offices designated by the state (as well as armed forces recruitment offices) to distribute with their applications for services either the Federal Form or an “equivalent” state form and to accept completed forms for transmittal to state election officials. § 20506(a)(1)—(4), (6); see also § 20506(c) (military recruitment office provision). Congress intended with this provision to reach potential voters who would otherwise not be reached by the motor voter program. See H.R. Rep. No. 103-66, at 19 (1993) (Conf. Rep.) (“If a State does not include either public assistance, agencies serving persons with disabilities, or unemployment compensation offices in its agency program, it will exclude a segment of its population from those for whom registration will be convenient and readily available—the poor and persons with disabilities who do not have driver’s licenses and will not come into contact with the other principle [sic] place to register under this Act.... The only way to assure that no State can create an agency registration program that discriminates against a distinct portion of its population is to require that the agencies designated in each State include an agency that has regular contact with those who do not have driver’s licenses.”), as reprinted in 1993 U.S.C.C.A.N. 140,144. The motor voter provision assures that all persons who drive will sooner or later be presented with an opportunity to register to vote: Each State motor vehicle driver’s license application (including any renewal application) submitted to the appropriate State motor vehicle authority under State law shall serve as an application for voter registration with respect to elections for Federal office unless the applicant fails to sign the voter registration application. § 20504(a)(1). Once a valid motor voter registration form is submitted to a state, the state is required to ensure registration so long as the form is submitted within the lesser of thirty days before the election date or the period provided by state law. See § 20507(a)(1)(A). Indeed, section 8 requires that whenever any “valid voter registration form” mandated by the statute is submitted, the state must ensure registration to vote in an election so long as the form was submitted within the requisite time period. § 20507(a)(l)(A)-(C). In other words, when an eligible voter avails herself of one of the mandated means of registration and submits to the state a valid form, ordinarily the state must register that person. See Inter Tribal, 133 S.Ct. at 2255. 2. The Motor Voter Provisions In the present case, only the motor voter provisions are at issue—specifically, the requirements for the contents of motor voter forms. Subsection (c) of section 5 both sets out specific requirements for the motor voter form and establishes an overarching principle that restrains the discretion of states to require additional information in carrying out their eligibility-assessment and registration duties. The relevant statutory language reads: - (2) The voter registration application portion of an application for a State motor vehicle driver’s license— (A) may not require any information that duplicates information required in the driver’s license portion of the form (other than a second signature or other information necessary under subparagraph (Q); (B) may require only the minimum amount of information necessary to— (i) prevent duplicate voter registrations; and (ii) enable state election officials to assess the eligibility of the applicant and to administer voter registration and other parts of the election process; (C) shall include a statement that— (i) states each eligibility requirement (including citizenship); (ii) contains an attestation that the applicant meets each such requirement; and (iii) requires the signature of the applicant, under penalty of perjury[.] § 20504(c)(2)(A)-(C) (emphasis added). Thus, under subparagraph (A), no duplicate information may be required, § 20504(c)(2)(A); under subparagraph (B), while states may require more than what is expressly required by the NVRA, such discretion is restricted by the principle that the states not require more than “the minimum amount of information necessary to” prevent duplicate registrations and to carry out their eligibility-assessment and registration duties, § 20504(c)(2)(B); and under subparagraph (C) the application must include a list of eligibility requirements, “including citizenship,” and a signed attestation under penalty of perjury that the applicant meets those requirements, § 20504(c)(2)(C). II. DISCUSSION After stating our standard of review, we begin by recalling the éléments of the preliminary injunction standard. We then discuss each prong of the preliminary injunction standard, beginning with the likelihood of success on the merits. In determining whether the district court erred in holding that the Plaintiffs-Appellees were likely to succeed on the merits, we consider first the nature of Congress’s power under the Elections Clause and Congress’s role in regulating elections vis-a-vis the states. We next consider preemption questions and the nature of statutory interpretation under the Elections Clause. Under the Elections Clause, we apply ordinary tools of statutory interpretation and any conflicting state provision is preempted. Third, we interpret the meaning of the NVRA’s requirements for state motor voter forms and hold that the NVRA attestation requirement presumptively meets the minimum-information principle; it therefore preempts Kansas’s DPOC requirement absent a factual showing that the attestation requirement is insufficient on these facts to satisfy that principle. Next we examine whether Secretary Kobach has succeeded in showing that attestation is insufficient under the statutory minimum-information principle and hold that he has not. Last, we turn to Secretary Kobach’s Qualifications Clause. arguments and the remaining prongs of the preliminary injunction standard. A. Standard of Review On appeal, we review a district court’s decision to grant a preliminary injunction for abuse of'discretion. See, e.g., Heideman v. S. Salt Lake City, 348 F.3d 1182, 1188 (10th Cir. 2003). An abuse of discretion occurs where a decision is premised “on an erroneous conclusion of law or where, there is no rational basis in the evidence for the ruling.” Awad v. Ziriax, 670 F.3d 1111, 1125 (10th Cir. 2012) (quoting Wilderness Workshop v. U.S. Bureau of Land Mgmt., 531 F.3d 1220, 1223-24 (10th Cir. 2008)). Thus, we review the district court’s factual findings for clear error and its conclusions of law de novo. Heideman, 348 F.3d at 1188. B. Preliminary Injunction Standard Four factors must be shown by the movant to obtain a preliminary injunction: (1) the movant “is substantially likely to succeed on the merits; (2) [the movant] will suffer irreparable injury if the injunction is denied; (3) [the movant’s] threatened injury outweighs the injury the opposing party will suffer under the injunction; and (4) the injunction would not be. adverse to the public interest.” Beltronics USA, Inc. v. Midwest Inventory Distrib., LLC, 562 F.3d 1067, 1070 (10th Cir. 2009). Additionally, some preliminary injunctions are disfavored and require a stronger showing by the movant—viz., movants must satisfy a heightened standard. They are “(1) preliminary injunctions that alter the status quo; (2) mandatory preliminary injunctions; and (3) preliminary injunctions that afford the movant all the relief that it could recover at the con-elusion of a full trial on the merits.” Awad, 670 F.3d at 1125 (quoting Summum v. Pleasant Grove City, 483 F.3d 1044, 1048-49 (10th Cir. 2007), rev’d on other grounds, 555 U.S. 460, 129 S.Ct. 1125, 172 L.Ed.2d 853 (2009)). In seeking such an injunction, the movant must “make[ ] a strong showing both with regard to the likelihood of success on the merits and with regard to the balance of harms.” Beltronics, 562 F.3d at 1071 (quoting O Centro Espirita Beneficiente Uniao Do Vegetal v. Ashcroft, 389 F.3d 973, 976 (10th Cir. 2004) (en banc)). The parties dispute whether the injunction requested here falls under one or more of these categories. The district court did not reach the question because it held that the Plaintiffs-Appellees had made a sufficiently strong showing to meet the heightened standard. Similarly, we decline to reach the question of whether the heightened standard for disfavored preliminary injunctions applies and hold that, even assuming arguendo that the heightened standard applies, the Plaintiffs-Ap-pellees meet that'standard. C. Likelihood of Success on the Merits We first examine the text of the Elections Clause and the Supreme Court’s jurisprudence concerning statutory interpretation and preemption under that clause. We next interpret the NVRA’s requirements for the contents of state motor voter forms and apply that interpretation to the facts as found by the district court. Last, we address Secretary Kobach’s arguments regarding constitutional doubt under the Qualifications Clause. 1. The Elections Clause The Elections Clause states: The Times, Places and Manner of holding Elections for Senators and Representatives, shall be prescribed in each State by the Legislature thereof; but the Congress may at any time by Law make or alter such Regulations, except as to the Places of chusing Senators. U.S. Const, art. I, § 4, cl. 1. The plain text of the clause requires the states to provide for the regulation of congressional elections. See Inter Tribal, 133 S.Ct. at 2253; Foster v. Love, 522 U.S. 67, 69, 118 S.Ct. 464, 139 L.Ed.2d 369 (1997). The text makes equally clear, however, that Congress can step in, either making its own regulations that wholly displace state regulations or else modifying existing state regulations. See Inter Tribal, 133 S.Ct. at 2253 (“The Clause empowers Congress to preempt state regulations governing the ‘Times, , Places and Manner’ of holding congressional elections.”). This unusual allocation of powers and responsibilities between the federal government and the states stems from the Founders’ concern that the states could refuse to conduct federal elections, effectively terminating the national government. See id.; see also The Fedehalist NO. 59, at 328 (Alexander Hamilton) (Robert A. Ferguson ed., 2006) (“Nothing can be more evident, than that an exclusive power of regulating elections for the national government, in the hands of the state legislatures, would leave the existence of the union entirely at their mercy. They could at any moment annihilate it, by neglecting to provide for the choice of persons to administer its affairs.”). Thus, although the regulation of congressional elections is in the first instance entrusted by the Elections Clause to the states, Congress can always intervene. Indeed, the Anti-Federalists themselves recognized the preemptive power of Congress under the Elections Clause, although they discerned more insidious motives in its breadth. See Federal Farmer No. XII (Jan. 12, 1788), reprinted in 2 The Complete Anti-Federalist 294, 300 (Herbert J. Storing, ed., 1981) (“[T]he true construction is, that when congress shall see fit to regulate the times, places, and manners of holding elections, congress may do it, and state regulations, on this head, must cease.... [But] it was not merely to prevent an annihilation of the federal , government that congress has power to regulate elections.”). Justice Story also shared this understanding. of the Elections Clause, despite the fact that in the decades between the Constitution’s adoption and the drafting of his commentary on the Elections Clause, Congress had not exercised this preemptive power. 3 Joseph Story, Commentaries on the Constitution op the United States § 824, at 290-92 (Fred B. Rothman & Co. 1991) (1833). He characterized the preemptive power of the clause as constituting a “superintending” or “supervisory” power over state regulations. See, e.g., id. §§ 813, 820, at 280, 288. He also observed that opponents of the Constitution “assailed” the Elections Clause “with uncommon, zeal and virulence” because of the express power granted to Congress to preempt state election regulations. Id. § 813, at 280. The Supreme Court has hewn to this view of the Elections Clause since at least 1880 in Ex parte Siebold, 100 U.S. 371, 25 L.Ed. 717 (1879) and has reaffirmed it in both Inter Tribal and in Foster v. Love, 522 U.S. at 68, 118 S.Ct. 464 (1997). In Ex parte Siebold, the Court was presented with the argument—put forth by defendants seeking habeas relief, following their conviction under federal law for ballot box stuffing—that when Congress acts under the Elections Clause, it must, in modern terms, occupy the field. 100 U.S. at 382-83 (“[T]hey contend that [Congress] has no constitutional power to make partial regulations to be carried out in conjunction with regulations made by the States.”). Although the Court agreed that Congress could, if it so desired, occupy the field of election regulations, the Court flatly rejected the proposition that Congress could not partially regulate alongside state regulations or alter state regulations; in doing so, the Court made clear that when Congress makes or alters regulations and this action engenders conflict with state election regulations, state law must give way: If Congress does not interfere [with state election regulations], of course they may be made wholly by the State; but if it chooses to interfere, there is nothing in the words to prevent its doing so, either wholly or partially.... If it only alters, leaving, as manifest convenience requires, the general organization of the polls to the State, there results a necessary co-operation of the two governments in regulating the subject. But no repugnance in the system of regulations can arise thence; for the power, of Congress over the subject is paramount. It may be exercised as and when Congress sees fit to exercise it. When exercised, the action of Congress, so far as it extends and conflicts with, the regulations of the State, necessarily supersedes them. This is implied in the power to “make or alter.” Id. at 383-84 (emphasis added; emphasis on “alter” in the original). This concept of the Election Clause’s preemptive reach has not fallen into desuetude since then. The Supreme Court has recently and repeatedly reaffirmed that “the power the Elections Clause confers is none other than the power to pre-empt.” Inter Tribal, 133 S.Ct. at 2257. In Foster v. Love, the Court observed, “The Clause is a default provision; it invests the States with responsibility for the mechanics of congressional elections, but only so far as Congress declines to preempt state legislative choices.” 522 U.S. at 69, 118 S.Ct. 464 (citations omitted). Indeed,- when Congress legislates under the Elections Clause, “it necessarily displaces some element of a pre-existing legal regime erected by the States.” Inter Tribal, 133 S.Ct. at 2257. Further, both the Supreme Court and this court have recognized that the power to preempt state regulations of “time, places, and manner” extends to the regulation of voter registration: “The Clause’s substantive scope is broad. ‘Times, Places, and Manner,’ we have written, are ‘comprehensive words,’ which ‘embrace authority to provide a complete code for congressional elections,’ including, as relevant here and as petitioners do not contest, regulations relating to ‘registration.’ ” EAC, 772 F.3d at 1195 (quoting Inter Tribal, 133 S.Ct. at 2253); see also Smiley v. Holm, 285 U.S. 355, 366, 52 S.Ct. 397, 76 L.Ed. 795 (1932) (source for the second-level internal quotations). Congress therefore has the power to preempt state voter-registration regulations. Although the preceding doctrine is well settled, it" is important to define clearly the relationship that the Constitution establishes between the states and the federal government and the extent arid nature of the power delegated to each. Congress permissively allows the states to regulate, but only to the extent that Congress chooses not to regulate. Congress possesses the power to alter existing state regulations—not the other way around. At bottom, Secretary Kobach argues that states should be able to modify existing federal election regulations, in order to repurpose an existing federal registration regime for the states’ own ends. This would invert the relationship that the Elections Clause establishes between Congress and the states because it would give the states—rather than Congress—the last word. Having established Congress’s preemptive power under the Elections Clause, we turn now to how to interpret the scope of preemption. 2. Preemption and Statutory Interpretation Under the Elections Clause Sitting en banc, the Ninth Circuit, in Gonzalez v. Arizona, 677 F.3d 383 (9th Cir. 2012) (en banc), aff'd sub nom. Inter Tribal, 133 S.Ct. 2247, has offered a persuasive synthesis of the method of statutory construction required when-a congressional enactment under the Elections Clause allegedly conflicts with state election regulations. There, the Ninth Circuit construed Siebold and Foster as requiring courts to consider the relevant congressional and state laws as part of a single statutory scheme but treating the congressional enactment as enacted later and thus superseding any conflicting state provision: Reading Siebold and Foster together, we derive the following approach for determining whether federal enactments under the Elections Clause displace a state’s procedures for conducting federal elections. First, as suggested in Siebold, we consider the state and federal laws as if they comprise a single system of federal election procedures. Siebold, 100 U.S. at 384. If the state law complements the congressional procedural scheme, we treat it as if it were adopted by Congress as part of that .scheme. See id. If Congress addressed the same subject as the state law, we consider whether the federal act has superseded the state act, based on a natural reading of the two laws and viewing the federal act as if it were a subsequent enactment by the same legislature. Foster, 522 U.S. at 74, 118 S.Ct. 464; see id. at 72-73, 118 S.Ct. 464. If the two statutes do not operate harmoniously in a single procedural scheme for federal voter registration, then Congress has exercised its power to “alter” the state’s regulation, and that regulation is superseded. Gonzalez, 677 F.3d at 394. This framework that the Ninth Circuit has articulated is supported by close readings of Siebold and Foster as well the Supreme Court’s more recent decision, Inter Tribal, as we demonstrate infra. We first address the closely related decision, Inter Tribal, to show that the Court did not repudiate or abandon the framework of Siebold and Foster— indeed Inter Tribal depends on them— before turning to those cases. In Inter Tribal, the Court rejected Arizona’s argument that the presumption against preemption applies in Elections Clause cases and held instead that the plain text of a federal statute “accurately communicates the scope of Congress’s preemptive intent.” Inter Tribal, 133 S.Ct. at 2257. First, it observed that the rationale underlying the presumption against preemption under the Supremacy Clause does not apply to the Elections Clause. As to the Supremacy Clause, “we start with the assumption that the historic police powers of the States were not to be superseded by the Federal Act unless that was the clear and manifest purpose of Congress.” Id. at 2256 (quoting Rice v. Santa Fe Elevator Corp., 331 U.S. 218, 230, 67 S.Ct. 1146, 91 L.Ed. 1447 (1947)). Thus, “‘Congress does not exercise lightly’ the ‘extraordinary power’ to ‘legislate in areas traditionally regulated by the States.’ ” Id. (quoting Gregory v. Ashcroft, 501 U.S. 452, 460, 111 S.Ct. 2395, 115 L.Ed.2d 410 (1991)); cf. United States v. Locke, 529 U.S. 89, 108, 120 S.Ct. 1135, 146 L.Ed.2d 69 (2000) (“[A]n ‘assumption’ of nonpre-emption is not triggered when the State regulates in an area where there has been a history of significant federal presence.”). But the regulation of congressional elections is not a subject of state police power nor one that is traditionally the province of the states. Nor could it be, because the states’ power over congressional elections—or rather the duty to provide for elections—derives from an express grant in the Constitution, See U.S. Const. art. 1, § 4, cl. 1; U.S. Term Limits, Inc. v. Thornton, 514 U.S. 779, 802, 115 S.Ct. 1842, 131 L.Ed.2d 881 (1995) (“As Justice Story recognized, ‘the states can exercise no powers whatsoever, which exclusively spring out of the existence of .the national government, which the constitution does not delegate to them — ” (quoting 1 Joseph Story, Commentaries on the Constitution of the United States § 627)); id. at 804-05, 115 S.Ct. 1842 (“It is surely no coincidence that the context of federal elections provides one of the few areas in which the Constitution expressly requires action by the States.... This duty parallels the duty under Article II [to appoint electors to choose the president].”). Thus “[ujnlike the States’ ‘historic police powers,’ the States’ role in regulating congressional elections— while weighty and worthy of respect—has always existed subject to the express qualification that it ‘terminates according to federal law.’ ” Inter Tribal, 133 S.Ct. at 2257 (citations omitted) (quoting, respectively, Rice, 331 U.S. at 230, 67 S.Ct. 1146; Bnckman Co. v. Plaintiffs’ Legal Comm., 531 U.S. 341, 347, 121 S.Ct. 1012, 148 L.Ed.2d 854 (2001)). The Court concluded, “[TJhere is no compelling reason not to read Elections Clause legislation simply to mean what it says.” Inter Tribal, 133 S.Ct. at 2257 (emphases added). Applying these concepts, the Court held that under “the fairest reading of the statute” Arizona’s DPOC requirement was inconsistent with the NVRA’s requirement that states “accept and use” the Federal Form and, thus, preempted. Id. To arrive at this result, the Court simply compared Arizona’s DPOC requirement with the requirements of the -NVRA and asked whether Arizona’s requirement conflicted with the NVRA—to the extent that it did, Arizona’s DPOC law was preempted by the NVRA. Id. (“If this reading prevails, the Elections Clause requires that Arizona’s rule give way.”). Further, Siebold and Foster help to more fully flesh out how to approach this interpretive task and how it is influenced by Congress’s presumptively preemptive power under the Elections Clause. In Sie-bold, the Court likened the task of statutory construction in a case of federal-state conflict under the Elections Clause to that of reading a single, harmonious code of regulations. This analogy derives from Congress’s plenary power under the Elections clause: “If [Congress] only alters [state regulations] ... there results a necessary co-operation of the two governments in regulating the subject. But no repugnance in the system of regulations can arise thence; for the power of congress over the subject is paramount.” Siebold, 100 U.S. at 383-84. The court then likened the analysis to reading the state and federal provisions as part of a single statutory scheme: Suppose the Constitution of a State should say, “The first legislature elected under this Constitution may by law regulate the election of members of the two Houses; but any subsequent legislature may make or alter such regulations,”— could not a subsequent legislature modify the regulations made by the first legislature without making an entirely new set? Would it be obliged to go over the whole subject anew? Manifestly not: it could alter or modify, add or subtract, in its discretion. The greater power, of making wholly new regulations, would include the lesser, of only altering or modifying the old. The new law, if contrary or repugnant to the old, would so far, and so far only, take its place. If consistent with it, both would stand. The objection, so often repeated, that such an application of congressional regulations to those previously made by a State would produce a clashing of jurisdictions and a conflict of rules, loses sight of the fact that the regulations made by Congress are paramount to those made by the State legislature; and if they conflict therewith, the latter, so far as the conflict extends, ceases to be operative. Id. at 384. Foster establishes that the reading to be applied to the federal and state statutes at issue is a plain one. In Foster, the Court was presented with the question of whether a Louisiana statute violated a federal law that set the date for congressional elections. 522 U.S. at 70, 118 S.Ct. 464. Louisiana's law created an open primary in October such that if no candidate took a majority, a runoff would be held between the two highest performing candidates on the federally mandated election day. Id. But this could and did result in congressional elections being decided in October, id. rather than on the federally mandated “Tuesday next after the 1st Monday of November,” id. at 69, 118 S.Ct. 464. The Court, rather than getting lost in the “nicety [of] isolating precisely what acts a State must cause to be done on federal election day (and not before it) in order to satisfy the statute,” id. at 72, 118 S.Ct. 464, instead applied a plain meaning analysis of the two statutes (i.e., the state and federal statutes): “The State’s provision for an October election addresses timing quite as obviously as [the federal statute] does.... [T]he open primary does purport to affect the timing of federal elections: a federal election takes place prior to federal election day whenever a candidate gets a majority in the open primary.” Id. at 72-73, 118 S.Ct. 464. In other words, the fact that the federal and state regulations both spoke to the same issue and differed in their requirements was sufficient to preempt the state regulation. Importantly, the Court reached this conclusion without parsing the congressional enactment for lacunae or silences where the state could regulate. Thus, the Court held that “a contested selection of candidates for a congressional office that is concluded as a matter of law before the federal election day, with no act in law or in fact to take place on the date chosen by Congress, clearly violates [the federal statute].” Id. at 72, 118 S.Ct. 464. Guided by these cases, it is clear to us that the Elections Clause requires that we straightforwardly and naturally read the federal and state provisions in question as though part of a unitary system of federal election regulation but with federal law prevailing over state law where conflicts arise. We do not finely parse the federal statute for gaps or silences into which state regulation might fit. We refrain from doing so because were states able to build on or fill gaps or silences in federal election statutes—as Secretary Ko-baeh suggests he is permitted to do with respect to the NVRA—they could fundamentally alter the structure and effect of those statutes. If Congress intended to permit states to so alter or modify federal election statutes, like the NVRA, it would have so indicated. The Elections Clause does not require Congress to expressly foreclose such modifications by the states. i. The Plain Statement Rule Derives from the Presumption Against Preemption and Does Not Apply to Legislation Under the Elections Clause Secretary Kobach argues— while conceding that there is no presumption against preemption under the Elections Clause—that the plain statement rule nonetheless applies. That rule requires that, when Congress intends to preempt state law, “it must make its intention to do so ‘unmistakably clear in the language of the statute.’ ” Gregory, 501 U.S. at 460, 111 S.Ct. 2395 (quoting Will v. Mich. Dep’t of State Police, 491 U.S. 58, 65, 109 S.Ct. 2304, 105 L.Ed.2d 45 (1989)). But as .the Plaintiffs-Appellees point out, this argument was forfeited for failure to raise it before the district court. “[I]f [a new] theory simply wasn’t, raised before the district court, we usually hold it forfeited.” Richison v. Ernest Grp., Inc., 634 F.3d 1123, 1128 (10th Cir. 2011). A forfeited argument, unlike one that is waived, may nonetheless be presented and considered on appeal—but we will reverse a district court’s judgment on the basis of a forfeited argument “only if failing to do so would entrench a plainly erroneous result.” Id. Further, under Ri-chison, “the failure to argue for plain error and its application on appeal—surely marks the end of the road for an argument for reversal not first presented to the district court.” Id. at 1131. Secretary . Kobach contends that he “repeatedly argued below that the NVRA must contain an express statement prohibiting DPOC if any preemption can occur,” Aplt.’s Reply Br. 12 n.5. He points to five pages of his Memorandum in Opposition to Plaintiffs’ Motion for Preliminary Injunction, but that section of his briefing before the district court argues only that the statute is silent and cannot be construed to prohibit DPOC, reasoning from precedent and ordinary principles of statutory interpretation. No mention is made of the plain statement rule. Our review of the record below does not reveal any other material that could fairly be read to present Secretary Kobach’s plain statement theory. Nor does he make an argument for plain error review on appeal. Consequently, his plain statement argument has come to the end of the road and is effectively waived. In seeking to avoid such an outcome, in his reply brief, Secretary Kobach concedes that in his briefing before the district court he cited no caselaw regarding the plain statement rule. Id. But he points to United States v. Johnson, 821 F.3d 1194 (10th Cir. 2016) for the proposition that “[o]nce a federal claim is properly presented, a party can make any argument in support of that claim; parties are not limited to the precise arguments they made below.” Id. at 1199 (quoting Lebron v. Nat’l R.R. Passenger Corp., 513 U.S. 374, 379, 115 S.Ct. 961, 130 L.Ed.2d 902 (1995)). On the basis of Johnson, he argues that the “claim (minus the case law) was certainly presented,” So his theory was not forfeited. Aplt.’s Reply Br. 12 n.5. But this argument is spurious under our forfeiture and waiver principles. The proposition from Johnson is not relevant in this context because the heart of our waiver and forfeiture doctrines lies in the recognition that we are not “a ‘second-shot’ forum, a forum where secondary, back-up theories may be mounted for the first time. Parties must be encouraged ‘to give it everything they’ve got’ at the trial level.” Tele-Commc’ns, Inc. v. Comm’r, 104 F.3d 1229, 1233 (10th Cir. 1997) (emphasis added) (citation omitted). Theories—as opposed to the overarching claims or legal rubrics that provide the foundation for them—are what matters. Richison, 634 F.3d at 1127 (“Where, as here, a plaintiff pursues a new legal theory for' the first time on appeal, that new theory suffers the distinct disadvantage of starting at least a few paces back from the block.” (emphasis added)); see Lyons v. Jefferson Bank & Tr., 994 F.2d 716, 722 (10th Cir. 1993) (noting that “a situation where a litigant changes to a new theory on appeal that falls under the same general category as an argument presented at trial” constitutes a failure of preservation where the issue was “not passed upon below [and thus] will not be considered on appeal” (emphasis added)); accord McDonald v. Kinder-Morgan, Inc., 287 F.3d 992, 999 (10th Cir. 2002) (stating that forfeiture and waiver apply to a “new theory on appeal that falls under the same general category as an argument presented at trial” (quoting Lyons, 994 F.2d at 722)). We have expressly rejected the notion that Secretary Kobach urges: “It would' force the judicial system to permit costly ‘do-overs’ in the district court anytime a party can conceive a new winning argument on appeal—even when the district court answered perfectly every question of law the parties bothered to put before it.” Richison, 634 F.3d at 1130 (emphasis added). Secretary Kobach failed to raise an argument based on a plain statement theory before the district court and fails also to make an argument for plain error. Therefore, we would be well within the boundaries of our discretion to decline to consider his plain statement argument. Even were we to reach Secretary Kobach’s plain statement argument, we would conclude that it lacks merit: specifically, it rests both on an incomplete reading of the plain statement cases that he cites and on an erroneous distinction between the presumption against preemption and the plain statement rule. In this regard, Gregory, which Secretary Kobach cites, makes clear that the plain statement rule applies only where “Congress intends to alter the ‘usual constitutional balance between the States and the Federal Government.’ ” 501 U.S. at 460, 111 S.Ct. 2395 (quoting Will, 491 U.S. at 65, 109 S.Ct. 2304). Or, as Secretary Kobach’s brief quotes Gregory, “This plain statement rule is nothing more than an acknowledgment that the States retain substantial sovereign powers under our constitutional scheme, powers with which Congress does not readily interfere.” Aplt.’s Opening Br. 28 (quoting Gregory, 501 U.S. at 461, 111 S.Ct. 2395). But the states in fact have no inherent sovereign power in the area at issue here—federal elections—nor could they have any if not for the Constitution’s delegation of power to the states. And this delegation is expressly limited by Congress’s power to “make or alter”' state regulations. See Inter Tribal, 133 S.Ct. at 2256-57, 2257 n.6; U.S. Term Limits, 514 U.S. at 802, 804-05, 115 S.Ct. 1842; see also Discussion supra Section II.C.2. Unsurprisingly, Secretary Kobach is unable to cite Elections Clause cases to support his plain statement argument: Will addressed congressional preemption of sovereign immunity, 491 U.S. at 64-65, 109 S.Ct. 2304; Gregory concerned whether the Age Discrimination in Employment Act was intended to preempt state, age-based mandatory retirement provisions for judges, 501 U.S. at 460-61, 111 S.Ct. 2395; and Sugarman v. Dougall, 413 U.S. 634, 635-36, 93 S.Ct. 2842, 37 L.Ed.2d 853 (1973), is not even a preemption case, dealing instead with whether a state may bar aliens from civil service positions under the Fourteenth Amendment. This inability to cite even one case applying the plain statement rule in the Elections Clause context is telling. In truth, contrary to Secretary Kobach’s suggestion, the plain statement rule is not independent of the presumption against preemption; instead, it is one way that the presumption is applied. See Gonzales v. Oregon, 546 U.S. 243, 291-92, 126 S.Ct. 904, 163 L.Ed.2d 748 (2006) (Scalia, J., dissenting) (“The clear-statement rule based on the presumption against preemption does not apply because the Directive does not pre-empt any state law.”). “In traditionally sensitive areas, such as legislation affecting the federal balance, the requirement of clear statement assures that the legislature has in fact faced, and intended to bring' into issue, the critical matters involved in the judicial decision [to interpret a statute as effecting preemption of state law].” Gregory, 501 U.S. at 461, 111 S.Ct. 2395 (quoting Will, 491 U.S. at 65, 109 S.Ct. 2304). However, the Supreme Court has noted that. this presumption against preemption occurs nowhere in its Election Clause jurisprudence. Inter Tribal, 133 S.Ct. at 2256 (“We have never mentioned such a principle [i.e., the presumption] in our Elections Clause cases.”). Similarly, the Ninth Circuit observed that the Court has never applied either the presumption or the plain statement rule in the context of Elections Clause legislation. Gonzalez, 677 F.3d at 392 (“[T]he ‘presumption against preemption’ and ‘plain statement rule’ that guide Supremacy Clause analysis are not transferable to the Elections Clause context.... [O]ur survey of Supreme .Court opinions deciding issues under the Elections Clause reveals no case where the Court relied on or even discussed Supremacy Clause principles.”). The reason for this absence is patent. Because Congress’s' regulation of congressional elections necessarily displaces state regulations, and because the states have no power qua sovereigns to regulate such elections, Inter Tribal, 133 S.Ct. at 2257 & n.6, the plain statement rule, as a creature of the presumption against preemption, has no work to do in the Elections Clause setting—viz., it is unnecessary to prevent inadvertent or ill-considered preemption from altering the traditional state-federal balance. See Gonzalez, 677 F.3d at 392 (“[T]he Elections Clause, as a standalone preemption provision, establishes its own balance [between competing sovereigns]. For this reason, the ‘presumption against preemption’ and ‘plain statement rule’ that guide Supremacy Clause analysis are not transferable to the Elections Clause ¡context.”). Therefore, ■Secretary Kobach’s reliance on the plain statement rule is misplaced. We also reject Secretary Kobach’s argument that preemption of Kansas’s DPOC law cannot be inferred because the NVRA’s express terms are silent as to whether'states may impose a DPOC requirement. Were we to adopt such interpretive reasoning, we would upset the relationship that our Constitution establishes between the state and federal governments regarding regulation of congressional elections. States, rather than Congress, would have the power to “alter” or build on congressional regulations, rather than the other way around. The Elections Clause clearly does not contemplate such an eventuality: it empowers Congress to displace or alter state regulations governing the procedures for congressional elections. Having rejected the heightened interpretive principle advanced by Secretary Kobach—the plain statement rule—we examine the plain meaning of the NVRA and apply the canons of construction as we ordinarily would to determine whether the NVRA’s minimum-information principle preempts Kansas’s DPOC requirement. We examine the Kansas statute and then the NVRA, cognizant that conflicting state provisions are preempted. 3. NVRA Requirements for State Motor Voter Forms Here, the relevant Kansas statute provides: “The county election officer or secretary of state’s office shall accept any completed application for registration, but an applicant shall not be registered until the applicant has provided satisfactory evidence of United States citizenship,” and it enumerates thirteen forms of documentation, including a birth certificate and a passport, that meet this requirement. Kan. Stat. Ann. § 25-2309©. The NVRA provisions at issue are in section 5, specifically subparagraphs (c)(2)(B) and (C). The relevant statutory language reads: (2) The voter registration application portion of an application for a State motor vehicle driver’s license— (B) may require only the minimum amount of information necessary to— (i) prevent duplicate voter registrations; and (ii) enable state election officials to assess the eligibility of the applicant and to administer voter registration and other parts of the election process; (C) shall include a statement that— (i) states each eligibility requirement (including citizenship); (ii) contains an attestation that the applicant meets each such requirement; and (iii) requires the signature of the applicant, under penalty of perjury; 52 U.S.C. § 20504(c)(2). By their express terns, these subparagraphs have related but distinct meanings. Absent a convincing argument to the contrary, “may” should be “construed as permissive and to vest discretionary power,” United States v. Bowden, 182 F.2d 251, 252 (10th Cir. 1950), while “shall” should be construed as “mandatory,” Milk ‘N’ More, Inc. v. Beavert, 963 F.2d 1342, 1346 (10th Cir. 1992). Each provision restricts the discretion of states in fashioning the motor voter form in unique ways that are consistent with this permissive-mandatory distinction. More specifically, subparagraph (B) serves to restrict what states “may” do— restricting states’ discretion in creating their own DMV voter-registration forms by establishing the statutory minimum-information principle. See § 20504(c)(2)(B). This principle establishes a ceiling on what information the states can require. Understanding the nature of this limit on state discretion begins with an examination of the meaning of the term “minimum.” “If the words of the statute have a plain and ordinary meaning, we apply the text as written, We may consult a dictionary to determine the plain meaning of a term.” Fruitt v. Astrue, 604 F.3d 1217, 1220 (10th Cir. 2010) (quoting Conrad v. Phone Directories Co., 585 F.3d 1376, 1381 (10th Cir.2009)). Dictionaries agree on the meaning of “minimum”: “Of, consisting of, or representing the lowest possible amount or degree permissible or attainable,” AmeRican Heritage Dictionary of the English Language 1150 (3d ed. 1992); “Of, relating to, or constituting the smallest acceptable or possible quantity in a given case,” Minimum, Blaok’s Law Dictionary (10th ed. 2014); “smallest or lowest,” The New Oxford English Dictionary 1079 (2d ed. 2005); “of, relating to, or constituting a minimum: least amount possible,” Webster’s Third New International Dictionary 1438 (1961). Notably, this is in contrast to NVRA section 9, which was at issue in Inter Tribal and EAC. Section 5 establishes a stricter principle than that applied in Inter Tribal and EAC under section 9. Under NVRA section 5, a state motor voter form “may require only the minimum amount of information necessary” for state officials to carry out their eligibility-assessment and registration duties. § 20504(c)(2)(B). But section 9 states that, as to the Federal Form, the EAC “may require only such identifying information ... as is necessary” for state officials to meet their eligibility-assessment and registration duties. § 20508(b)(2). Because we must,' if possible, give effect “to every clause and word” of a statute, Toomer v. City Cab, 443 F.3d 1191, 1194 (10th Cir. 2006), we hold that section 5’s “only the minimum amount of information necessary” is a stricter principle than section 9’s “such identifying information ... as is necessary.” By adding “minimum,” Congress intended to restrain the discretion of states more strictly than it restrains the EAC’s discretion in composing the Federal Form. Accordingly, states do not enjoy the same breadth of discretion as the EAC to require DPOC, see Inter Tribal, 133 S.Ct. at 2259-60—a higher burden must be met before a state may require DPOC for its motor voter form. We reject Secretary Kobach’s argument to the contrary. Secretary Kobach takes the position that the principle established in subparagraph (B) of section 5 is no different than that of section 9 because the former’s “only the minimum amount of information necessary” and the latter’s “only such ... information ... as is necessary” mean “substantially the same thing.” Aplt.’s Opening Br. 34. Accordingly, under his view, states should enjoy the same discretion accorded to the EAC under Inter Tribal to require DPOC. The similarity of the language between section 5 and section 9 is undeniable. Adopting Secretary Kobach’s reading, however, would make surplusage of section 5’s term “minimum”—something we cannot do. See Toomer, 443 F.3d at 1194