Cross references. —

As to duties of state geologists, see § 9-2-803 .

As to Taylor Grazing Act funds, see §§ 9-4-401 through 9-4-406 .

As to cooperative marketing associations, see §§ 17-10-101 through 17-10-125.

As to agriculture and extension work at the University of Wyoming, see §§ 21-17-301 through 21-17-308 .

As to game and fish generally, see title 23.

As to roads and highways generally, see title 24.

As to breeders' liens, see §§ 29-7-201 through 29-7-207 .

As to protection of livestock from mining shafts, see § 30-1-123 .

As to regulations for abandonment of mines with reference to the protection of persons and animals, see § 30-2-407 .

As to permitting or allowing natural gas to contaminate the atmosphere so as to injure growing crops, vegetables and livestock, see § 30-5-121 .

As to veterinarians, see §§ 33-30-201 through 33-30-215 .

As to food and drugs generally, see chapter 7 of title 35.

As to public lands generally, see title 36.

As to water, water rights, irrigation and drainage generally, see title 41.

Revision of title. —

Laws 1978, ch. 32, §§ 1 and 2, revised this title, amending and renumbering §§ 11-1-101 through 11-28-201 and 11-29-101 through 11-44-104 as §§ 11-1-101 through 11-39-104 , and amending and renumbering §§ 11-28-301 through 11-28-307 as §§ 29-7-107 through 29-7-113.Section 11-5-122, enacted by § 1, ch. 27, Laws 1978, was renumbered § 11-5-201 by the revisor of statutes.

Sections 11-18-114 through 11-18-116 have been excluded in this revised title. See Editor's notes under these section numbers.

No detailed explanation of the changes made by the 1978 act has been attempted, but historical citations to former provisions and annotations from cases decided under former provisions have been placed under comparable sections in this title where appropriate. See tables of revised and renumbered sections in Volume 11.

Law reviews. —

For article, “The Rise and Fall of Grazing Reform,” see XXXII Land & Water L. Rev. 413 (1997).

Am. Jur. 2d, ALR and C.J.S. references. —

3 Am. Jur. 2d Agriculture § 1 et seq.; 4 Am. Jur. 2d Animals § 1 et seq.; 21A Am. Jur. 2d Crops § 1 et seq.; 45 Am. Jur. 2d Irrigation § 1 et seq.; 52 Am. Jur. 2d Markets and Marketing § 1 et seq.

Who is a “farmer” within provisions of Bankruptcy Act (§ 75) for agricultural compositions and extensions, 3 ALR2d 544.

Effectiveness of reservation of vendor's crop rights in land contracts in absence of such reservation in deed later executed, 8 ALR2d 565.

What constitutes “farm use” within provision of insurance policy, 10 ALR2d 674.

Cooperative marketing of farm products by producers' associations, 12 ALR2d 130.

Admissibility in condemnation proceedings of opinion evidence as to probable profits derivable from land condemned if devoted to particular agricultural purposes, 16 ALR2d 1113.

Liability of owner or operator of place of public resort, other than animal exhibitor, to patron injured by animal or insect, 17 ALR2d 459, 64 ALR4th 963.

Injury by animal as willful and malicious injury so as to preclude it or judgment procured on it from operation of discharge in bankruptcy, 26 ALR2d 1368.

Insurance on animals: risks and losses covered, 29 ALR2d 790.

Person in charge of livestock on highway as “pedestrian” with respect to rights given, and duties imposed, by traffic rules and regulations, 30 ALR2d 866.

Sufficiency of description of property, as against third persons, in chattel mortgage on farm equipment, machinery, implements, and the like, 32 ALR2d 929.

Measure and elements of recovery of buyer rescinding sale of domestic animal for seller's breach of warranty, 35 ALR2d 1273.

Liability for statement or publication representing plaintiff as cruel to or killer of animals, 39 ALR2d 1388.

Statutory liability for physical injuries inflicted by animal as surviving defendant's death, 40 ALR2d 543.

Conversion, identification of animals involved in, 51 ALR2d 1154.

What constitutes “agricultural” or “farm” labor within social security or Unemployment Compensation Acts, 53 ALR2d 406.

Liability for injury to property inflicted by wild animals, 57 ALR2d 242.

Injunction against repeated or continuing trespasses by interference with crops, 60 ALR2d 310.

Landlord's liability to tenant, or member of tenant's family, for injury by animal or insect, 67 ALR2d 1005.

Master's liability to servant injured by farm machinery, 67 ALR2d 1120.

What constitutes “farm produce” or “farm product” within coverage of fire insurance policy, 71 ALR2d 1266.

Life tenant's and remainderman's rights as to increase in livestock, 76 ALR2d 162.

Measure and elements of damages, in action other than one against a carrier, for conversion, injury, loss or destruction of livestock, 79 ALR2d 677.

Liability to social guest injured by animal, 79 ALR2d 990.

Sharecropper's share in crop wholly or partly unharvested as subject to garnishment, 82 ALR2d 858.

Construction and effect of provision for payment of damages to “crops” or “growing crops” in mineral deed or lease or in conveyance of pipeline or other underground easement, 87 ALR2d 235.

Validity, construction and effect of contract between grower of vegetable or fruit crops, and purchasing processor, packer or canner, 87 ALR2d 732.

Construction and effect of restrictive covenant in deed or conveyance specifically prohibiting or limiting the keeping of animals on the premises, 89 ALR2d 990.

Rights in growing, unmatured annual crops as between personal representative of decedent's estate and heirs or devisees, 92 ALR2d 1373.

Personal liability of public officer for killing or injuring animal while carrying out statutory duties with respect to it, 2 ALR3d 822.

Farmer's comprehensive personal liability insurance, 8 ALR3d 916.

Master's liability to agricultural worker injured other than by farm machinery, 9 ALR3d 1061.

Determination of amount payable on loss to growing crop under policy insuring against loss or injury, 20 ALR3d 924.

Owner's or keeper's liability for personal injury or death inflicted by wild animal, 21 ALR3d 603.

What constitutes total or permanent disability within the coverage of disability insurance coverage issued to farmer or agricultural worker, 26 ALR3d 714.

Liability for injury consequent upon spraying or dusting of crops, 37 ALR3d 833.

Validity and construction of statute prohibiting sale within state of skin or body of specified wild animals or of the animal itself, 44 ALR3d 1008.

Excessiveness or adequacy of damages awarded for personal injuries resulting in death of persons engaged in farming, ranching or agricultural labor, 46 ALR3d 733.

Rights in respect to crops as between estate of life tenant and remainderman, 47 ALR3d 784.

Grazing of livestock or gathering of natural crop as fulfilling traditional elements of adverse possession, 48 ALR3d 818.

Liability of owner or operator of business premises for injuries to patron caused by insect or small animal, 48 ALR3d 1257.

Liability of oil and gas lessee or operator for injuries to or death of livestock, 51 ALR3d 304.

Zoo as nuisance, 58 ALR3d 1126.

Contracts for artificial insemination of cattle, 61 ALR3d 811.

Sufficiency of description of crops under Uniform Commercial Code §§ 34.1-9-203(a)(ii) and 34.1-9-402(a), 67 ALR3d 308.

Exemption of agricultural activities or occupations from business or occupation license or tax, 38 ALR4th 1074.

Livestock or animal insurance: risks and losses, 47 ALR4th 772.

Tort liability for pollution from underground storage tank, 5 ALR5th 1.

Liability for injury inflicted by horse, dog, or other domestic animal exhibited at show, 68 ALR5th 599.

Construction of § 1 of the Capper-Volstead Act (7 U.S.C. § 291) authorizing persons engaged in production of agricultural products to act together in association, 20 ALR Fed 924.

3 C.J.S. Agriculture §§ 2, 3, 5, 15 to 19, 23.

Chapter 1 General Provisions

§ 11-1-101. Definitions.

  1. As used in title 11, unless the context  otherwise requires or unless otherwise specifically noted:
    1. “Board” means the state board of agriculture;
    2. “Director” means the director of the department  of agriculture for the state of Wyoming or his designated representative;
    3. “Crop” or “agricultural crop,” when not  otherwise defined by statute, means corn, oats, wheat, barley, flax,  sorghums and other grains, potatoes, vegetables, hay, wheatgrasses  (agropyron species), needlegrasses (stipa species), bluegrasses (poa  species), fescue grasses (festuca species), grama grasses (bouteloua  species), sedges and rushes, shrubby or woody forage plants which  include salt sages (atriplex species), sagebrushes (artemisia species),  winterfat (eurotia lanata), and forage legumes which include astragalus,  lupinus and other members of the family leguminosae;
    4. “Department” means the Wyoming department  of agriculture;
    5. “Person” includes an individual, partnership,  corporation, joint stock company or any other association or entity,  public or private.

History. Laws 1955, ch. 85, § 1; W.S. 1957, § 11-1; Laws 1978, ch. 32, § 1; 1993, ch. 191, § 3.

Editor's notes. —

There is no subsection (b) in this section as it appears in the printed acts.

§ 11-1-102. Disposition of revenue.

Except as otherwise provided by law, all licensing, registration and service fees collected by the department together with such other monies as may accrue by law to the department shall be deposited with the state treasurer and credited to the general fund.

History. Laws 1969, ch. 102, § 1; W.S. 1957, § 11-4.1; Laws 1974, ch. 16, § 2; W.S. 1977, § 11-2-104 ; Laws 1978, ch. 32, § 1; 1993, ch. 191, § 3.

§ 11-1-103. Penalty for violations.

A person who violates any of the following sections commits a misdemeanor punishable by imprisonment for not more than six (6) months, a fine of not more than seven hundred fifty dollars ($750.00), or both for the first offense, or by imprisonment for not more than one (1) year, a fine of not more than one thousand five hundred dollars ($1,500.00), or both for second or subsequent offenses: W.S. 11-6-210(a) or (f), 11-18-112 , 11-19-101 , 11-19-102 , 11-19-103 , 11-19-111 , 11-19-210 , 11-19-215 , 11-19-304 , 11-19-306 , 11-19-401 , 11-20-114 , 11-20-117 , 11-20-229 , 11-20-230 , 11-21-104 , 11-22-118 , 11-23-106 , 11-23-207 , 11-24-103 , 11-24-106 , 11-26-101(b), 11-30-114 and 11-48-102 . A person who violates board rules promulgated pursuant to W.S. 11-18-103(a)(v) shall be subject to the penalties specified in this section.

History. Laws 1981, ch. 98, § 1; 1990, ch. 87, § 2; 1996, ch. 46, § 2; 2001, ch. 26, § 1; 2002 Sp. Sess., ch. 22, § 1; 2006, ch. 39, § 2; 2011, ch. 21, § 1; ch. 96, § 1; 2013, ch. 12, § 1; ch. 47, § 1.

The 2006 amendment, inserted “11-20-230” in the first sentence.

Laws 2006, ch. 39, § 5, makes the act effective immediately upon completion of all acts necessary for a bill to become law as provided by art. 4, § 8, Wyo. Const. Approved March 10, 2006.

The 2011 amendments. —

The first 2011 amendment, by Laws 2011, ch. 21, § 1, effective July 1, 2011, inserted “and 11-48-102 ,” and made related changes.

The second 2011 amendment, by Laws 2011, ch. 96, § 1, inserted “11-19-103.”

Laws 2011, ch. 96, § 3, makes the act effective immediately upon completion of all acts necessary for a bill to become law as provided by art. 4, § 8, Wyo. Const. Approved March 2, 2011.

This section is set out as reconciled by the Wyoming Legislative Service office.

The 2013 amendments. —

The first 2013 amendment, by ch. 12, § 1, effective July 1, 2013, added “11-19-210, 11-19-215 , 11-19-304 , 11-19-306 ” to the string of references in the section.

The second 2013 amendment, by ch. 47, § 1, effective July 1, 2013, added “11-24-103” following “11-23-207”; and added “11-26-101(b)” following “11-24-106.”

While neither amendment gave effect to the other, both have been given effect in this section as set out above.

§ 11-1-104. License and regulation by the department of agriculture; fee.

  1. The department shall collect a minimum  annual fee of twenty-five dollars ($25.00) for the first license or  activity issued or regulated under subsection (b) of this section  which shall be deposited in the general fund. An additional annual  fee of twenty-five dollars ($25.00) shall be collected for each subsequent  license issued or activity regulated under subsection (b) of this  section. No person shall be required to pay more than one hundred  dollars ($100.00) in any calendar year for each place of business  even if the person obtains more than four (4) licenses from the department.
  2. The fee imposed by subsection (a) of this  section shall be collected upon the following persons or activities:
    1. Aerial hunting permit under W.S. 11-6-105 ;
    2. Apiary registration under W.S. 11-7-212 ;
    3. Resident and nonresident nursery stock  dealers and salesmen licensed under W.S. 11-9-102 ;
    4. Repealed by Laws 1994, ch. 46, § 2.
    5. Seed dealers licensed under W.S. 11-12-103 ;
    6. Aircraft registration under W.S. 35-7-373(b);
    7. through (xi) Repealed  by Laws 2000, ch. 37, § 4.
    8. Repealed by Laws 1995, ch. 21, § 2.
    9. Repealed by Laws 2009, ch. 191, § 2.

History. Laws 1993, ch. 135, § 1; ch. 160, § 2; 1994, ch. 46, § 2; 1995, ch. 21, §§ 1, 2; 2000, ch. 37, § 4; 2009, ch. 191, § 2.

The 2009 amendment, effective July 1, 2009, repealed former (b)(xiii) which read: “Persons with regulated weights, measures, weighing or measuring devices under W.S. 40-10-117 through 40-10-136 .”

Chapter 2 Department of Agriculture

Cross references. —

As to duty of department to establish plan for rodent and predator control, see § 11-6-104 .

As to authority of department to conduct state fair, see § 11-10-101 .

As to licensing seed dealers, see § 11-12-103 .

As to administering Fertilizer Law, see § 11-14-102 .

As to the Wyoming state loan and investment board, see chapter 34 of this title.

As to the Wyoming beef council, see chapter 37 of this title.

As to the Wyoming wheat commission, see chapter 38 of this title.

As to license requirement for a food wholesaler or retailer, see § 35-7-124 .

As to transfer of office of state chemist to state department of agriculture, see § 35-7-201 .

As to license requirement for a food wholesaler or retailer, see § 35-7-124 .

Am. Jur. 2d, ALR and C.J.S. references. —

3 Am. Jur. 2d Agriculture § 1 et seq.

3 C.J.S. Agriculture §§ 15 to 24.

Article 1. Board of Agriculture

Cross references. —

As to duty to supervise, operate and maintain pioneer memorial museum, see § 11-10-113 .

As to appointment of state seed analyst, see § 11-12-115 .

§ 11-2-101. Department and board created; director.

  1. A state department of agriculture is created  under the management and control of the director with the advice of  the board of agriculture.
  2. Repealed by Laws 1993, ch. 191, § 4.
  3. The department is authorized to accept,  administer and expend agricultural commodity promotion, research and  advertising assessments.

History. Laws 1923, ch. 100, § 1; R.S. 1931, § 5-101; C.S. 1945, § 34-101; W.S. 1957, § 11-2; Laws 1978, ch. 32, § 1; 1987, ch. 111, § 1; 1993, ch. 191, §§ 3, 4.

Task force. —

Laws 2005, ch. 125, § 1, directs the state health officer and the department of health in collaboration with the Wyoming department of agriculture and the Wyoming department of environmental quality to convene a multi-disciplinary task force to conduct a study of environmental health issues currently identified, the state and federal agencies to whom those issues are currently assigned and those environmental health threats identified but not clearly assigned to a particular state agency. The study is to examine overlapping governmental jurisdiction and jurisdictional gaps in environmental health matters and, to the extent needed, recommend solutions to these problems. The department is to produce and submit a comprehensive plan to coordinate and clarify agency responsibility for environmental health issues, together with recommendations for any initial legislation, to the joint labor, health and social services interim committee by November 15, 2005. The act appropriates $50,000 from the general fund to the department of health to implement the purposes of this act and further provides that the department of health may use existing resources and apply for any federal or private grants that may be available to augment funding for the required study and plan.

Laws 2005, ch. 125, § 2, makes the act effective immediately upon completion of all acts necessary for a bill to become law as provided by art. 4, § 8, Wyo. Const. Approved February 25, 2005.

§ 11-2-102. Composition; qualifications; appointment and removal of members; quorum.

  1. The board shall consist of thirteen (13)  members, including the governor and the dean of the University of  Wyoming college of agriculture or his designated representative as  ex officio nonvoting members. Eleven (11) voting members shall be  appointed by the governor with the advice and consent of the senate  and may be removed by the governor as provided in W.S. 9-1-202 .
  2. One (1) member shall be appointed from  each of the seven (7) appointment districts pursuant to W.S. 9-1-218 . Appointments in each appointment district shall be rotated  among the several counties comprising the district.
  3. Members appointed in accordance with subsection  (b) of this section from appointment districts shall be appointed  for a term of six (6) years.
  4. The seven (7) members appointed from the  appointment districts:
    1. Shall be selected to represent a cross-section  of the agricultural industry;
    2. Shall be engaged chiefly in agricultural  work; and
    3. Not more than seventy-five percent (75%) shall be members of the same political party.
  5. One (1) member shall be appointed from  each of the four (4) board of agriculture youth leadership quadrants  as follows:
    1. The northeast quadrant shall consist of  Campbell, Crook, Johnson, Niobrara, Sheridan and Weston counties;
    2. The northwest quadrant shall consist of  Big Horn, Hot Springs, Park, Teton and Washakie counties;
    3. The southeast quadrant shall consist of  Albany, Converse, Goshen, Laramie, Natrona and Platte counties; and
    4. The southwest quadrant shall consist of  Carbon, Fremont, Lincoln, Sublette, Sweetwater and Uinta counties.
  6. The four (4) members appointed from the  board of agriculture youth leadership quadrants:
    1. Shall be selected by considering a cross-section  of the agricultural industry;
    2. Shall be engaged chiefly in agricultural  work;
    3. Shall be between eighteen (18) and thirty  (30) years of age at the time of submitting the application for board  membership; and
    4. Shall be appointed for a term of four  (4) years.
  7. A majority of the appointed members of  the board constitutes a quorum for the transaction of business.
  8. Appointments and terms shall be in accordance  with W.S. 28-12-101 through 28-12-103 .

History. Laws 1923, ch. 100, §§ 2, 5; R.S. 1931, §§ 5-102, 5-104; C.S. 1945, §§ 34-102, 34-104; W.S. 1957, §§ 11-3, 11-5; Laws 1963, ch. 80, §§ 1, 2; W.S. 1977, § 11-2-201 ; Laws 1978, ch. 32, § 1; 1979, ch. 17, § 2; 1987, ch. 175, § 1; 1989, ch. 5, § 1; 1993, ch. 191, § 3; 2005, ch. 242, § 2; 2007, ch. 204, § 1; 2010, ch. 69, § 207; 2012, ch. 91, § 1; 2016, ch. 119, § 1.

Cross references. —

As to supervision and management of farms and experimental stations, see § 21-17-301 .

The 2005 amendment, deleted “or his designated representative” following “including the governor” in (a).

Laws 2005, ch. 242, § 3, makes the act effective immediately upon completion of all acts necessary for a bill to become law as provided by art. 4, § 8, Wyo. Const. Approved March 11, 2005.

The 2007 amendment, effective July 1, 2007, in (a), substituted “thirteen (13)” for “nine (9),” substituted “Eleven (11) voting” for “Seven (7)”; added (e) and (f), and the designations (b) through (d); in present (c), substituted “six (6)” for “four (4)”; substituted “appointment” for “various” in (d); redesignated former (c) and (d) as (g) and (h); and made related and stylistic changes.

The 2010 amendment, effective July 1, 2010, in (h), deleted “Effective July 1, 1979” at the beginning.

The 2012 amendment, substituted present (c) for former (c), which read: “Appointed members shall be appointed for a term of six (6) years.”; and added (f)(iv), and made related changes.

Laws 2012, ch. 91, § 3, makes the act effective immediately upon completion of all acts necessary for a bill to become law as provided by art. 4, § 8, Wyo. Const. Approved March 15, 2012.

The 2016 amendment , effective July 1, 2016, substituted “seventy-five percent (75%)” for “four (4)” in (d)(iii).

Editor's notes. —

Laws 2007, ch. 204, § 3, states as follows: “W.S. 11-2-102(f) shall not apply to members of the board of agriculture appointed prior to the effective date of this act, but shall apply to members of the board of agriculture appointed after the effective date of this act.”

Laws 2012, ch. 91, § 2, states as follows: “Nothing in this act shall affect the terms of members currently serving on the board of agriculture. This act and the modification of the term for members appointed from the board of agriculture youth leadership quadrants to the board of agriculture shall apply upon expiration of terms of the current members.”

Laws 2016, ch. 119 § 3, provides: “Nothing in this act shall be deemed to affect the current term of any member of any authority, board, commission, committee or council. The governor shall make appointments in accordance with this act for any vacancy occurring on or after the effective date of this act.”

Appropriations. —

Laws 2007, ch. 204, § 2 states as follows: “There is appropriated from the general fund to the department of agriculture twenty-five thousand dollars ($25,000.00) for the purpose of implementing this act through June 30, 2008.”

§ 11-2-103. Regular and special meetings.

The board shall meet annually on the second Monday of April, and special meetings of the board may be held by a call of the director, the president of the board or a majority of the members of the board.

History. Laws 1923, ch. 100, § 4; 1925, ch. 24, § 1; R.S. 1931, § 5-103; C.S. 1945, § 34-103; Laws 1951, ch. 53, § 1; W.S. 1957, § 11-6; W.S. 1977, § 11-2-202 ; Laws 1978, ch. 32, § 1; 1993, ch. 191, § 3.

§ 11-2-104. Salary and expenses; oath; election of president and vice-president.

The board members, except the governor and the dean of the University of Wyoming college of agriculture, shall be paid the salary, for attending and traveling to and from official board business shall be one hundred dollars ($100.00) per day and the mileage and per diem for attending and traveling to and from official board business in the same manner and amount as state employees. The appointed board members, within a reasonable time after their appointment, shall qualify by taking the constitutional oath of office and filing it with the secretary of state. The appointed members shall elect from their members a president and vice-president.

History. Laws 1923, ch. 100, § 6; R.S. 1931, § 5-105; C.S. 1945, § 34-105; W.S. 1957, § 11-7; W.S. 1977, § 11-2-203 ; Laws 1978, ch. 32, § 1; 1993, ch. 191, § 3; 2007, ch. 204, § 1.

Cross references. —

As to constitutional oath of office, see art. 6, §§ 20 and 21, Wyo. Const.

The 2007 amendment, effective July 1, 2007, rewrote the first sentence relating to the salary and mileage for official board business.

Article 2. Director of the Department of Agriculture

Cross references. —

As to power to issue and enforce rules concerning nursery stock, see § 11-9-107 .

As to enforcement of provisions dealing with buying, selling and storing of grain, see § 11-11-107 .

As to duty to enforce pure seed laws, see § 11-12-112 .

As to enforcement of Commercial Feed Law, see § 11-13-104 .

As to authority to establish rules and regulations in regard to Fertilizer Law, see § 11-14-111 .

As to duty to appoint potato inspectors, see § 11-15-104 .

As to duties as a member of wildlife/livestock disease research partnership, see § 11-19-602 .

As to director being ex officio member of state advisory board on soil conservation programs, see § 21-17-306 .

As to the duty to establish and maintain a food safety program, see § 35-7-123 et seq.

As to duty of director to administer and enforce Environmental Pesticide Control Act, see § 35-7-355 .

As to duty to enforce provisions relative to standards for gasoline and eliminating oil, see § 40-7-105 .

As to duty to enforce provisions relative to weights and measures, see §§ 40-10-121 through 40-10-123 .

§ 11-2-201. Qualifications; appointment.

  1. The director of the department of agriculture  shall:
    1. Be a college graduate with at least five  (5) years experience in agriculture; or
    2. Have at least twelve (12) years experience  in agriculture and otherwise be qualified if not a college or university  graduate.
  2. The governor with the approval of the  senate, shall appoint the director. The director shall serve at the  pleasure of the governor and may be removed by the governor as provided  in W.S. 9-1-202 . Any vacancy shall be filled by the governor in accordance  with W.S. 28-12-101 .

History. Laws 1923, ch. 100, § 5; R.S. 1931, § 5-104; C.S. 1945, § 34-104; W.S. 1957, § 11-3; Laws 1963, ch. 80, § 1; W.S. 1977, § 11-2-102 ; Laws 1978, ch. 32, § 1; 1987, ch. 10, § 1; 1993, ch. 191, § 3.

§ 11-2-202. Powers and duties of director generally.

  1. The director shall have his office in  Cheyenne and shall:
    1. Act as secretary and executive officer  of the board;
    2. Through the appropriate division established  by W.S. 11-2-101 and with the advice of the board, enforce and execute  all laws of the state and rules and regulations of the board;
    3. Repealed by Laws 1998, ch. 6, § 5.
    4. Cooperate with other state institutions  and organizations, the agricultural departments of other states and  the secretary of agriculture of the United States;
    5. Foster a practicable conservation of state  natural resources;
    6. Publish information of practical value  to state agricultural interests for free distribution among the farmers  and other interested persons within the state;
    7. Promulgate necessary rules and regulations  to implement W.S. 11-2-202 .
  2. and  (c) Repealed by Laws 1993, ch. 191, § 4.
  3. The director in collecting information  necessary to perform duties of the department and its divisions, may  request information from any agency of the state, a county, city,  town or other political subdivision. An agency shall furnish information  upon written request of the director. An owner, operator or manager  of any manufacturing, mining or other business establishment operating  in this state or other person having information necessary to carry  out the purposes of this act shall upon request of the director, furnish  the information upon forms supplied by the board.
  4. For purposes consistent with duties imposed  by law and rule and regulation, the director may accept grants from  private or public agencies, organizations or other persons.
  5. The director may allow the permitting,  registration, licensing, testing, inspection and reporting requirements  of this title to be conducted electronically as provided by the Uniform  Electronic Transaction Act, W.S. 40-21-101 through 40-21-119 and any applicable federal electronic requirements.

History. Laws 1923, ch. 100, §§ 12, 14; 1927, ch. 57, § 1; R.S. 1931, §§ 5-111, 5-113; C.S. 1945, §§ 34-111, 34-113; W.S. 1957, §§ 11-10, 11-11; Laws 1973, ch. 23, § 1; W.S. 1977, §§ 11-2-302, 11-2-303; Laws 1978, ch. 32, § 1; 1987, ch. 111, § 1; 1988, ch. 27, § 1; 1993, ch. 191, §§ 3, 4; 1998, ch. 6, § 5; 2005, ch. 175, § 2; 2010, ch. 82, § 1.

The 2005 amendment added (f).

Laws 2005, ch. 175, § 3, makes the act effective immediately upon completion of all acts necessary for a bill to become law as provided by art. 4, § 8, Wyo. Const. Approved March 2, 2005.

The 2010 amendment, in (d), substituted “director” for “commissioner” at the end of second sentence.

Laws 2010, ch. 82, § 6, makes the act effective immediately upon completion of all acts necessary for a bill to become law as provided by art. 4, § 8, Wyo. Const. Approved March 9, 2010.

§ 11-2-203. Deputy director; employment of personnel.

The deputy director shall serve at the pleasure of the director and is responsible to and under the control and supervision of the director. The director may employ professional, technical and other personnel as necessary to perform duties prescribed by law and rule and regulation of the board.

History. Laws 1923, ch. 100, § 9; R.S. 1931, § 5-108; C.S. 1945, § 34-108; W.S. 1957, § 11-12; W.S. 1977, § 11-2-304; Laws 1978, ch. 32, § 1; 1987, ch. 111, § 1; 1993, ch. 191, § 3.

§ 11-2-204. Services of persons in employ of university; reimbursement; applicability of provisions.

  1. In performing duties imposed by law which  require technical scientific training, the director may request the  services of qualified members of the University of Wyoming faculty,  resident or extension. Faculty members shall serve without additional  compensation but the department shall reimburse the University of  Wyoming for fifty percent (50%) of the salary paid by the university  while the faculty member is actually performing services for the director.  The use of faculty members and the proportion and distribution of  their time shall be determined by agreement between the director and  the president of the university and the faculty member shall be employed  by the department when performing duties for the director under this  section.
  2. This section applies to horticulture,  apiculture, poultry, dairying, food, oils, seeds, marketing farm crops  and any other duties imposed upon the department which the director  and the board determine to be more efficiently and economically administered  by use of university faculty members. This section does not apply  to any branch of agriculture otherwise specifically provided for by  law.

History. Laws 1923, ch. 100, § 10; R.S. 1931, § 5-109; C.S. 1945, § 34-109; W.S. 1957, § 11-13; W.S. 1977, § 11-2-305; Laws 1978, ch. 32, § 1; 1987, ch. 111, § 1; 1988, ch. 27, § 1; 1993, ch. 191, § 3; 2004, ch. 130, § 1.

The 2004 amendment, in (a), substituted “director” for “commissioner.”

Laws 2004, ch. 130, § 4, makes the act effective immediately upon completion of all acts necessary for a bill to become law as provided by art. 4, § 8, Wyo. Const. Approved March 19, 2004.

Conflicting legislation. —

Laws 2004, ch. 130, § 3, provides: “Any other act adopted by the Wyoming legislature during the same session in which this act is adopted shall be given precedence and shall prevail over the amendments in this act to the extent that such acts are in conflict with this act.”

§ 11-2-205. [Repealed.]

Repealed by Laws 1987, ch. 111, § 2.

Editor's notes. —

This section, which derived from Laws 1923, ch. 100, § 10, related to the oath, duties and compensation for deputies.

§ 11-2-206. Reports to governor.

The director shall report to the governor respecting the programs and fiscal activities of the department as required by W.S. 9-2-1014 .

History. Laws 1923, ch. 100, § 17; R.S. 1931, § 5-116; C.S. 1945, § 34-116; W.S. 1957, § 11-17; Laws 1973, ch. 215, § 1; W.S. 1977, § 11-2-309; Laws 1978, ch. 32, § 1; 1993, ch. 191, § 3.

§ 11-2-207. Rangeland health assessments.

  1. The rangeland health assessment program  is hereby created. The director shall provide for the cooperation  and participation with the University of Wyoming, state agencies,  county governments, federal agencies and private landowners in the  assessment of the condition of the health of Wyoming grazing lands.  The rangeland health program shall include, but not be limited to:
    1. The necessity for a rangeland health assessment  for a particular area of Wyoming grazing lands, including the impact  on state, federal, local and private property;
    2. The rangeland health assessment shall  be done only with the voluntary cooperation and participation of all  participants, including the private landowner, the state grazing lessee  and the federal grazing permittee or lessee;
    3. The rangeland health assessment shall  be conducted on federal or state managed lands only under a memorandum  of agreement with the federal or state land management agency and  with the participation of that federal or state land management agency;
    4. The rangeland health assessment shall  include, as necessary, establishment of rangeland monitoring, compliance  with federal agency standards and guidelines and participation in  the incorporation of assessment outcomes into any federal or state  decision affecting livestock grazing;
    5. The rangeland health assessment shall  include any protections necessary for the management of soil erosion  and vegetation loss.
  2. The director is authorized to contract  with the University of Wyoming, institutions of higher education and  other qualified state and local governmental agencies to:
    1. Conduct rangeland health assessments as  provided pursuant to subsection (a) of this section;
    2. Conduct rangeland health assessments on  previously established exclosures which exclude livestock grazing  to determine what effect the elimination of grazing has had on the  quality of the rangeland. These assessments may include an assessment  of nearby grazed rangeland as provided in paragraph (i) of this subsection  to assist in the evaluation of the effect of excluding grazing.
  3. The director shall establish matching  funds for any contract entered into pursuant to subsection (b) of  this section.
  4. The director may accept additional matching  funds to augment the planned rangeland health assessment to:
    1. [VETOED BY GOVERNOR MARCH 10, 2010.]
    2. Identify tools and strategies for resource  use that best promote rangeland health;
    3. Facilitate the efficacy of the rangeland  study.
  5. The director shall establish priorities  for the distribution of available funding, including consideration  of:
    1. Applications that include multiple resource  partners;
    2. Amount and variety of funding sources;
    3. Timing and urgency of the project.
  6. The director is authorized to adopt rules  and regulations necessary to implement this section.

History. Laws 2010, ch. 107, § 1.

Editor's notes. —

The governor vetoed language in (d)(i) that would have facilitated multiple use of the resource.

§ 11-2-208. Agricultural research funding program.

  1. The director shall, through rule and regulation,  establish a process to solicit applications from the agricultural  industry in the state for applied agricultural research projects.
  2. The director, with approval from the board,  may solicit applications for applied research under this section and  shall contract with any appropriate educational institution or other  qualified entity to conduct the research as provided in the application.
  3. In soliciting and reviewing applications  under this section, the director and the board shall:
    1. Consult with producers and nonprofit organizations  representing Wyoming agricultural producers;
    2. Consider the potential impacts of the  research in strengthening Wyoming’s agricultural industry and agricultural  production;
    3. Consider the time for anticipated completion  of the research;
    4. Consider the educational institution or  other qualified entity which will conduct the research, giving preference  to educational institutions located within the state;
    5. Ensure that the research results will  be widely disseminated to the appropriate sectors of Wyoming agriculture;
    6. Establish requirements for matching contributions  from the educational institution or entity involved in the research  and give preference to those projects which include additional private  and institutional funding in support of the projects.

History. Laws 2012, ch. 73, § 1.

Effective date. —

Laws 2012, ch. 73, § 3, makes the act effective July 1, 2012.

Chapter 3 Agricultural Statistics

Repealing clauses. —

Section 5, ch. 87, Laws 1925, repealed all laws and parts of laws in conflict with that act.

Am. Jur. 2d, ALR and C.J.S. references. —

3 Am. Jur. 2d Agriculture § 1 et seq.

3 C.J.S. Agriculture § 5.

§ 11-3-101. Duty of county assessors.

At the time of making annual assessment of property, each county assessor shall collect statistics in relation to farm products and agricultural resources from each farm and ranch owner, operator or renter as called for by the director. Necessary forms shall be furnished by the director, but shall not duplicate questions in assessor’s schedules.

History. Laws 1925, ch. 87, § 1; R.S. 1931, § 5-501; C.S. 1945, § 34-401; W.S. 1957, § 11-18; Laws 1978, ch. 32, § 1; 1993, ch. 191, § 3.

Cross references. —

As to duty of director of agriculture to compile agricultural statistics, see § 11-2-202 .

As to other duties of county assessors, see § 18-3-204 .

§ 11-3-102. Disposition of forms.

The original forms upon which statistics are gathered by the county assessor shall be returned to the director immediately upon completion of the assessment work, and not later than June 1 each year.

History. Laws 1925, ch. 87, § 2; R.S. 1931, § 5-502; C.S. 1945, § 34-402; W.S. 1957, § 11-19; Laws 1978, ch. 32, § 1; 1993, ch. 191, § 3.

§ 11-3-103. Reports confidential.

The reports made to the director are confidential. The records of individuals, firms or corporations supplying information called for by law shall not be used to disclose personal or corporate affairs.

History. Laws 1925, ch. 87, § 3; R.S. 1931, § 5-503; C.S. 1945, § 34-403; W.S. 1957, § 11-20; Laws 1978, ch. 32, § 1; 1993, ch. 191, § 3.

§ 11-3-104. Service to be performed under general assessment law.

The service performed by the several assessors in the state shall be performed in connection with their service under the general assessment law of the state and as one of the regular duties devolving upon the county assessor’s office. No extra compensation shall be allowed.

History. Laws 1925, ch. 87, § 4; R.S. 1931, § 5-504; C.S. 1945, § 34-404; W.S. 1957, § 11-21; Laws 1978, ch. 32, § 1.

Chapter 4 State Entomologist [Repealed]

§§ 11-4-101 through 11-4-104. [Repealed.]

Repealed by Laws 1991, ch. 16, § 1.

Editor's notes. —

This chapter derived from Laws 1925, ch. 148, §§ 1 through 3 and 38.

Laws 1991, ch. 29, § 3, purported to amend § 11-4-103, but this amendment was not given effect due to the repeal of this section by Laws 1991, ch. 16, § 1.

Chapter 5 Weed and Pest Control

Cross references. —

As to prohibition against sale of noxious weed seeds, see § 11-12-104 .

As to requiring screenings to be free from noxious weed seeds, see § 11-12-108 .

As to expenditure of moneys derived from grazing fees under Taylor Grazing Act, see § 9-4-404 .

Lowest resident bidder, denied spraying contract by private corporation, not denied property right. —

A dusting pilot engaged in the weed and pest control business, who was denied a spraying contract by a private, nonprofit corporation despite being the lowest resident bidder, did not establish his federal civil rights claim. The private corporation's receipt of substantial amount of public funding from a county weed and pest control district, a public corporation, did not convert its status to that of a public corporation. Thus, the pilot had no more than a unilateral expectation of a statutory preference right (§ 16-6-102 ), and not a legitimate claim of entitlement, i.e., property right. Wright v. No Skiter, Inc., 774 F.2d 422, 1985 U.S. App. LEXIS 21844 (10th Cir. Wyo. 1985).

Weed and pest board without power to direct tax amount. —

Nothing in all of this chapter, particularly § 11-5-105 , relating to powers and duties of the county weed and pest district board, nor the provisions of the Municipal Budget Act (now repealed), specifically invests the board with the power to direct the board of county commissioners as to the amount of the tax necessary to carry out this chapter. State ex rel. Albany County Weed & Pest Dist. v. Board of County Comm'rs, 592 P.2d 1154, 1979 Wyo. LEXIS 393 (Wyo. 1979).

Article 1. In General

Am. Jur. 2d, ALR and C.J.S. references. —

3 Am. Jur. 2d Agriculture §§ 38 to 48.

Tort liability of governmental unit for injury or damage resulting from insecticide and vermin eradication operations, 25 ALR2d 1057.

Validity of statutes, ordinances, or regulations for protection of vegetation against disease or infection, 70 ALR2d 852.

Product liability — fertilizers, insecticides, pesticides, fungicides, weed killers, and the like, or articles used on the application thereof, 12 ALR4th 462.

Exterminator's tort liability for personal injury or death directly resulting from operations, 29 ALR4th 987.

Liability of private landowner for vegetation obscuring view at highway or street intersection, 69 ALR4th 1092.

Right of nonregistrants under Federal Environmental Pesticide Control Act of 1972 (7 U.S.C. §§ 136 -136y) to oppose cancellation of pesticide use registrations, 48 ALR Fed 756.

3 C.J.S. Agriculture §§ 95 to 104.

§ 11-5-101. Short title; purpose of provisions.

  1. This act may be cited as the “Wyoming  Weed and Pest Control Act.”
  2. The purpose of this act is controlling  designated and declared weeds and pests.

History. Laws 1973, ch. 30, § 1; W.S. 1957, § 11-6.9; Laws 1978, ch. 32, § 1; 1979, ch. 135, § 2; 2011, ch. 37, § 1.

The 2011 amendment, effective July 1, 2011, in (a), deleted “of 1973” following “Pest Control Act”; and in (b), inserted “and declared.”

Meaning of “this act.” —

For the definition of “this act,” referred to this section, see § 11-5-102(a)(xxiv).

§ 11-5-102. Definitions.

  1. As used in this act:
    1. “Pesticide” means any material used to control or eradicate weeds or pests;
    2. “Authorized dealer” means any pesticide dealer licensed in Wyoming who sells, retails, wholesales, distributes, offers or exposes for sale, exchanges, barters or gives away any pesticide within this state;
    3. “Board” means the Wyoming board of agriculture established by authority of W.S. 11-2-101 through 11-2-104 ;
    4. “Director” means the director of the department of agriculture for the state of Wyoming or his designated agent;
    5. “Control” means the process of containing, preventing, identifying and mitigating weed and pest infestations by using multiple integrated management practices, including but not limited to, regulation, prevention, survey, eradication, pesticides, cultivation, competition, grazing and biological control in an adaptive management effort designed to reduce economic and ecological impacts from designated and declared species and to protect uninfested lands;
    6. “County commissioners” means the board of county commissioners of a county within which a district is located;
    7. “Declared pest” means any animal or insect species which the board and the Wyoming weed and pest council have found, either by virtue of its direct or indirect effect to negatively impact management of agricultural or natural ecosystems, or as a carrier of disease or parasites, to be detrimental to the general welfare of persons residing within a district;
    8. “Declared weed” means any plant species which the board and the Wyoming weed and pest council have found, either by virtue of its direct or indirect effect to negatively impact management of agricultural or natural ecosystems, or as a carrier of disease or parasites, to be detrimental to the general welfare of persons residing within a district;
    9. “Department” means the state department of agriculture;
    10. “Designated list” means the list of weeds and pests from time to time designated by joint resolution of the board and the Wyoming weed and pest council or by an emergency declaration of the director;
    11. “Designated noxious weed” means plant species having seeds or other plant parts determined to be detrimental to the general health or welfare of the state based upon the following:
      1. Has demonstrated the ability to aggressively invade native plant communities and agricultural crops;
      2. Is injurious or poisonous to livestock;
      3. Is a carrier of disease or parasites;
      4. Can, by virtue of either direct or indirect effect, negatively impact management of agricultural or natural ecosystems.
    12. “Designated pest” means any animal or insect species that is determined to be detrimental to the health or general welfare of the state based upon the following:
      1. Has demonstrated the ability to aggressively invade native plant communities and agricultural crops;
      2. Is injurious or poisonous to livestock;
      3. Is a carrier of disease or parasites;
      4. Can, by virtue of either its direct or indirect effect, negatively impact management of agricultural or natural ecosystems.
    13. Repealed by Laws 1993, ch. 191, § 4.
    14. “District” means any county weed and pest control district;
    15. “District board” means the board of directors of a district having jurisdiction within the boundaries of the district it represents;
    16. “District board member area” means a geographical area within a district from which a member of the board of the district is appointed;
    17. Repealed by Laws 1993, ch. 191, § 4.
    18. “Farm products” means all crops, crop products, nursery stock, plants or portions thereof, but shall not mean livestock;
    19. “Infested farm products” means farm products which contain injurious insects, pests, weed seed, poisonous or injurious plants or any injurious portion thereof, or plant diseases;
    20. “Landowner” means any person who has actual use, exclusive possession of or exercises control over the land through any lease, easement, right-of-way or estate in the land. Federal landowner means the federal agency having jurisdiction over any lands affected by this act;
    21. “District supervisor” means the person appointed or employed by the district board for the purpose of carrying out this act within a district;
    22. “Wyoming weed and pest council” means the state council composed of one (1) representative of each district as authorized in writing by that board of directors. The director of the department of agriculture or his designated representative shall serve ex officio;
    23. “Emergency declaration” means the addition of a weed or pest to either the statewide designated list or to a county declared list on an emergency basis to allow for immediate control activities. An emergency declaration shall only last until formal action can be taken by the council and the board to list the species through established rules, and in any case not to exceed one (1) year;
    24. “This act” means W.S. 11-5-101 through 11-5-120 .

History. Laws 1973, ch. 30, § 1; W.S. 1957, § 11-69.3; W.S. 1977, § 11-5-103 ; Laws 1977, ch. 62, § 1; 1978, ch. 32, § 1; 1979, ch. 135, § 2; 1993, ch. 191, §§ 3, 4; 2011, ch. 37, § 1; 2021, ch. 2, § 2.

The 2011 amendment, effective July 1, 2011, in (a)(i), deleted “Agricultural” at the beginning; in (a)(ii), substituted “any pesticide dealer licensed in” for “a resident of,” and deleted “agricultural” preceding “pesticide”; rewrote (a)(v), which formerly read: “ ‘Control’ means the process of containing and limiting weed and pest infestations”; inserted “species” following “insect,” “or indirect” following “direct,” and “to negatively impact management of agricultural or natural ecosystems” in (a)(vii) and (a)(viii); in (a)(x), inserted “or by an emergency declaration of the director”; rewrote the introductory language of (a)(xi), which formerly read: “‘Designated noxious weeds’ means the weeds, seeds or other plant parts that are considered detrimental, destructive, injurious or poisonous, either by virtue of their direct effect or as carriers of diseases or parasites that exist within this state, and are on the designated list”; added (a)(xi)(A) through (a)(xi)(D); rewrote the introductory language of (a)(xii), which formerly read: “ ‘Designated pests’ means animals or insects which are on the designated list considered detrimental to the general welfare of the state”; added (a)(xii)(A) through (a)(xii)(D); in (a)(xviii), inserted “nursery stock”; in (a)(xx), substituted “person who has actual use, exclusive possession of or exercises control over the land through any lease” for “owner or lessee of state, municipal or private land, and includes an owner of any”; inserted present (a)(xxiii) and redesignated former (a)(xxiii) as (a)(xxiv).

The 2021 amendment, substituted "11-5-120" for "11-5-119" following "through" in (a)(xxiv).

Editor's notes. —

There is no subsection (b) in this section as it appears in the printed acts.

§ 11-5-103. Composition of districts.

All land within the boundaries of Wyoming including all federal, state, private and municipally owned lands, is hereby included in weed and pest control districts within the county in which the land is located, with the boundaries of the district being the same as the boundaries of the county. Each district shall be known as the “ . . . . . County Weed and Pest Control District, State of Wyoming.”

History. Laws 1973, ch. 30, § 1; W.S. 1957, § 11-69.4; W.S. 1977, § 11-5-104 ; Laws 1978, ch. 32, § 1.

Cited in

Cranston v. Weston County Weed & Pest Bd., 826 P.2d 251, 1992 Wyo. LEXIS 23 (Wyo. 1992).

§ 11-5-104. District board of directors; appointment; terms; vacancies; compensation and expenses.

  1. The county commissioners of each district shall hold a public meeting for appointing a district board of directors for the district. Prior to the meeting the county commissioners shall establish the number of members of the district board and shall establish district board member areas. The county commissioners may seek the advice and counsel of the members of the former district board for the establishment of district board member areas. Each district board member area shall be contiguous. Notice of the meeting shall be advertised at least once in the designated official newspaper of the county and posted on the county’s official website in the manner provided in W.S. 18-3-516(f) at least twenty (20) days prior to the date of the meeting. The notice shall solicit nominations for directors by petition signed by at least ten (10) landowners to be submitted at least five (5) days before the date of the meeting.
  2. From the nominations submitted the county  commissioners shall appoint the district board which shall consist  of five (5) or seven (7) directors. Directors shall serve for a term  of four (4) years or until their successors are appointed and qualified.
  3. Any qualified elector in the district  board member area he is appointed to represent is eligible to hold  the office of director.
  4. All district board members shall be appointed  by the county commissioners at their first regular meeting in January  of each year from among nominations submitted by petition in the manner  set forth in subsection (a) of this section. In districts encompassing  cities or towns with a population of five thousand (5,000) or more,  one (1) district board member shall be appointed from within the limits  of a city or town. A district board member shall assume office at  the first regular meeting of the district board following appointment.
  5. The county commissioners shall remove  a director for repeated unexcused failure to attend meetings or for  refusal or incapacity to act as a district board member.
  6. When a vacancy occurs on a district board  the county commissioners shall, at the next regular meeting, appoint  an individual who possesses the necessary qualifications as a district  board member to fill the unexpired term.
  7. At the first regular meeting in February  the district board shall elect from its members a chairman and a vice-chairman,  and appoint a secretary and a treasurer. The positions of secretary  and treasurer need not be members of the district board. The treasurer  shall furnish a surety bond to the district before entering upon the  duties of office in an amount to be set by the district board but  not less than fifty thousand dollars ($50,000.00).
  8. The members of the district board shall  serve without pay, but are entitled to reimbursement for actual and  necessary expenses and a mileage allowance at the rate as established  for state employees.

History. Laws 1973, ch. 30, § 1; W.S. 1957, § 11-69.5; W.S. 1977, § 11-5-105 ; Laws 1978, ch. 32, § 1; 1979, ch. 135, § 2; 2011, ch. 37, § 1; 2014, ch. 93, § 1.

Cross references. —

As to mileage allowance for county officers, see § 9-3-103 .

The 2011 amendment, effective July 1, 2011, in (g), substituted “fifty thousand dollars ($50,000.00)” for “three thousand dollars ($3,000.00).”

The 2014 amendment, in (a), substituted “advertised at least once in the designated official newspaper of the county and posted on the county's official website in the manner provided in W.S. 18-3-516(f) at least twenty (20) days” for “advertised in the official newspaper of the county at least two (2) times before the date of the meeting, with the last publication being at least two (10) days” in the third sentence.

Applied in

Cranston v. Weston County Weed & Pest Bd., 826 P.2d 251, 1992 Wyo. LEXIS 23 (Wyo. 1992).

Cited in

Eastern Laramie County Solid Waste v. State Bd. of Equalization, 9 P.3d 268, 2000 Wyo. LEXIS 174 (Wyo. 2000).

§ 11-5-105. Duties; powers; supervisor compensation.

  1. The district board shall:
    1. Implement and pursue an effective program for the control of designated weeds and pests;
    2. Fix the time and place of regular meetings, which shall occur at least once each month and shall be open to the public;
    3. Keep minutes of all meetings and a complete record of all official acts, including all warrants issued against monies belonging to the district, which are open for public inspection during regular office hours;
    4. Employ certified district supervisors and if certified personnel are not available, employ an acting district supervisor who shall become certified within twenty-four (24) months from the initial date of employment;
    5. Make at least one (1) annual inspection to determine the progress of weed and pest activities within a district;
    6. Obtain competitive bids for any purchase costing more than ten thousand dollars ($10,000.00);
    7. Control and disburse all monies received from any source;
    8. Render technical assistance to any city or town with a population of five thousand (5,000) or more which establishes a program as provided in W.S. 11-5-115 ;
    9. Share data with the Wyoming weed and pest council and take other actions to support the coordinated and comprehensive invasive plant species control authorized in W.S. 11-5-120 .
  2. The district board of each district may:
    1. Sue and be sued;
    2. Employ personnel and determine duties and conditions of employment;
    3. Coordinate activities with the department and enter into cooperative agreements with other agencies;
    4. Secure and maintain bond or liability insurance, when deemed feasible by the district board;
    5. Submit to the department reports required by the board;
    6. Participate in programs for the control of declared weeds and declared pests not included on the designated list;
    7. Buy and sell real property, personal property and equipment as needed to carry out district programs.
  3. The district supervisor shall receive a salary and expenses as approved by the district board.

History. Laws 1973, ch. 30, § 1; W.S. 1957, § 11-69.8; W.S. 1977, § 11-5-108 ; Laws 1978, ch. 32, § 1; 1979, ch. 135, § 2; 1993, ch. 191, § 3; 2009, ch. 102, § 1; 2011, ch. 37, § 1; 2021, ch. 2, § 2.

The 2009 amendment, effective July 1, 2009, substituted “ten thousand dollars ($10,000.00)” for “one thousand five hundred dollars ($1,500.00)” in (a)(vi).

The 2011 amendment, effective July 1, 2011, in (b)(vi), deleted the former last sentence, which read: “Such programs do not qualify for cost sharing from the department”; and added (b)(vii).

The 2021 amendment, effective July 1, 2021, added (a)(ix).

Weed and pest board without power to direct tax amount. —

Nothing in all of this chapter, particularly this section, nor the provisions of the Municipal Budget Act (now repealed) specifically invests the board with the power to direct the board of county commissioners as to the amount of the tax necessary to carry out this chapter. State ex rel. Albany County Weed & Pest Dist. v. Board of County Comm'rs, 592 P.2d 1154, 1979 Wyo. LEXIS 393 (Wyo. 1979).

Board independent governmental entity. —

A district board under this title is an independent governmental entity for purposes of the Governmental Claims Act (§ 1-39-101 et seq.). Accordingly, the plaintiffs' presentation of a notice of claim to the county board of commissioners within the two-year claim period in lieu of presenting a claim to the district board deprived the court of subject matter jurisdiction over the district board. Cranston v. Weston County Weed & Pest Bd., 826 P.2d 251, 1992 Wyo. LEXIS 23 (Wyo. 1992).

Stated in

Bush Land Dev. Co. v. Crook Cnty. Weed & Pest Control Dist., 2017 WY 12, 388 P.3d 536, 2017 Wyo. LEXIS 12 (Wyo. 2017).

§ 11-5-106. Board of certification; duties.

A board of certification is established consisting of the director or his designee, a University of Wyoming weed or pest specialist appointed by the dean of the college of agriculture, two (2) certified district supervisors and a district board member appointed by the Wyoming weed and pest council. The board of certification shall promulgate rules and requirements for certification of district supervisors and shall certify all personnel meeting the established requirements.

History. Laws 1973, ch. 30, § 1; W.S. 1957, § 11-69.9; W.S. 1977, § 11-5-109 ; Laws 1978, ch. 32, § 1; 1979, ch. 135, § 2; 1993, ch. 191, § 3; 2011, ch. 37, § 1.

The 2011 amendment, effective July 1, 2011, deleted the former last sentence, which read: “All inspectors certified as of February 10, 1973 are deemed certified district supervisors without any further actions of the board of certification.”

§ 11-5-107. Purchase and sale of pesticides; cost share with landowner.

  1. The district board may purchase from authorized  dealers such quantities of pesticides as are necessary, and hire labor  to carry out the provisions of this act. Warrants in payment shall  be drawn on the weed and pest control fund.
  2. The district board may sell pesticides  which have been registered with the department for designated or declared  noxious weed and pest control.
  3. In the case of delinquent indebtedness  under this section the district board may seek a judgment from the  district court for the indebtedness, reasonable attorneys’ fees and  costs. The judgment shall be enforced as provided by law.
  4. The district board may cost share with  the landowner the cost of the pesticides, the cost of the application  and the cost of any other integrated management practice for the control  of designated or declared noxious weeds and pests.

History. Laws 1973, ch. 30, § 1; W.S. 1957, § 11-69.10; W.S. 1977, § 11-5-110 ; Laws 1978, ch. 32, § 1; 1979, ch. 135, § 2; 2011, ch. 37, § 1.

The 2011 amendment, effective July 1, 2011, in (a), substituted “pesticides” for “agricultural pesticides and equipment”; in (b), deleted “agricultural” preceding “pesticides,” and inserted “designated or declared noxious”; and added (d).

Meaning of “this act.” —

For the definition of “this act,” referred to in this section, see § 11-5-102(a)(xxiv).

§ 11-5-108. Rates and application of pesticides; payment by landowner; bidding restriction.

  1. The district board may establish rates  and engage in the application of pesticides for weed and pest control,  subject to subsection (b) of this section. If services provided are  not paid for by the landowner for whom rendered as provided in W.S. 11-5-107(d), such indebtedness may be collected as provided by W.S. 11-5-107(c).
  2. A district board shall not engage in competitive  bidding of bare ground application of pesticides for industrial weed  control, unless there are no commercially licensed entities operating  in the state that are able and willing to perform the service. Nothing  in this subsection shall limit the district board’s authority to act  pursuant to W.S. 11-5-105(a)(i) and 11-5-109 .

History. Laws 1973, ch. 30, § 1; W.S. 1957, § 11-69.11; W.S. 1977, § 11-5-111 ; Laws 1978, ch. 32, § 1; 1979, ch. 135, § 2; 2009, ch. 110, § 1; 2011, ch. 37, § 1.

The 2009 amendment, effective July 1, 2009, added (b); designating the existing provisions as (a); and in (a), added “subject to subsection (b) of this section” following “control” in the first sentence.

The 2011 amendment, effective July 1, 2011, in (a), deleted “agricultural” preceding “pesticides,” deleted the former second sentence, which read: “The district board may cost share in the agricultural pesticides, and the landowner shall pay the full cost of the application,” and inserted “as provided in W.S. 11-5-107(d).”

§ 11-5-109. Inspection of land; remedial requirements; cost to landowner.

  1. Whenever the district board has probable cause to believe that a landowner’s property is infested by weeds or pests which are liable to spread and contribute to the injury or detriment of others and the board has provided written notice of probable cause to the landowner, it shall make or have made an inspection of the suspected premises through the use of lawful entry procedures. No entry upon any premises, lands or places shall be permitted under this subsection until the landowner or occupant has been notified by certified mail and, if the landowner has consented to receive notices electronically, by electronic means that provide actual notice to the landowner or occupant that the inspection is pending at least fifteen (15) days prior to the inspection. If possible, inspections shall be scheduled and conducted with the concurrence of the landowner or occupant. If, after receiving notice that an inspection is pending, the landowner or occupant denies access to the district supervisor or the supervisor’s designee, the supervisor may seek an administrative inspection warrant issued by a municipal, circuit or district court having jurisdiction over the land. No landowner shall deny access to land when presented with an administrative inspection warrant issued by a court. The court shall issue an administrative inspection warrant upon presentation by the district board, through its agent or employee, of an affidavit stating:
    1. The information that gives the district board probable cause to believe that any provision of this chapter is being or has been violated;
    2. That the landowner or occupant has denied access to the district supervisor or the supervisor’s designee or has not responded within fifteen (15) days of receiving notice; and
    3. A particularized description of the location of the affected land.
  2. If the suspected area is found to be infested, the district board, by resolution adopted by two-thirds (2/3) of its members, shall confirm such fact. The resolution may set forth minimum remedial requirements for control of the infested area, provided that:
    1. The remedial requirements are likely to be effective in controlling an infestation of the species in question at the infested area;
    2. The board includes potential estimated costs if available;
    3. The benefits, both economic and environmental, exceed the estimated costs of the remedial requirements;
    4. The board may assist the landowner in developing an integrated pest management plan for the species in question; and
    5. The landowner may propose alternate remedial requirements.
  3. The district board shall deliver, by certified mail, to the address of the landowner appearing on the most recent tax rolls of the district and, if the landowner has consented to receive notices electronically, by electronic means that provide actual notice to the landowner all of the following:
    1. A copy of the resolution;
    2. A statement of the estimated cost to the landowner of fulfilling the requirements and the amount that may be shared with the landowner, as determined by district board policy.
    3. Repealed by Laws 2020, ch. 135, § 2.
  4. At the request of the landowner, the district board shall hold a hearing in accordance with the Wyoming Administrative Procedure Act. The landowner may appeal the board’s resolution to the district court.
  5. A landowner who is responsible for an infestation and fails or refuses to perform the remedial requirements for the control of the weed or pest on the infested area within the time designated in the district board’s resolution may be fined not more than fifty dollars ($50.00) per day for each day of violation and not more than a total of two thousand five hundred dollars ($2,500.00) per year as determined by the court. Any person accused under this act is entitled to a trial by jury. The accumulated fines under this section are a lien against the property of the landowner from the day notice is delivered to the landowner by the district board. All fines shall be deposited with the county treasurer and credited to the county school fund.

History. Laws 1973, ch. 30, § 1; W.S. 1957, § 11-69.12; W.S. 1977 § 11-5-112 ; Laws 1978, ch. 32, § 1; 1979, ch. 135, § 2; 2020, ch. 135, §§ 1, 2.

The 2020 amendment, effective July 1, 2020, in the introductory language of (a) substituted “a landowner’s property is infested” for “there exists land infested,” “detriment of others and the board has provided written notice of probable cause to the landowner” for “detriment of others,” “inspection of the suspected premises” for “investigation of the suspected premises,” deleted the former second and third sentences, which read “The designated representative of the district board, after giving the landowner written notice, may go upon premises within the district, through the use of lawful entry procedures, without interference or obstruction for purposes of making a reasonable investigation of the infested area. Notice is deemed to have been given if it is deposited in a United States post office by certified mail with sufficient postage, addressed to the last known address of the landowner at least five (5) days before entry,” and added the second through fifth sentences; added (a)(i) through (a)(iii); in the introductory language of (b) substituted “resolution may set forth” for “district board may set forth” and “infested area, provided that” for “infested area”; added (b)(i) through (b)(v) and made a related change; in the introductory language of (c) substituted “tax rolls” for “tax roles” and added “and, if the landowner has consented to receive notices electronically, by electronic means that provide actual notice to the landowner all of the following” at the end; in (c)(ii) substituted “estimated cost to the landowner of fulfilling” for “cost of fulfilling” and added “the amount that may be shared with the landowner, as determined by district board policy” at the end and made a related change; repealed (c)(iii), which read “A request that the requirements contained in the resolution be carried out at the owner’s expense within a designated period of time or on a cooperative basis”; in (d) added the last sentence; and in (e) substituted “within the time designated in the district board’s resolution” for “within the time designated.”

Meaning of “this act.” —

For the definition of “this act,” referred to in this section, see § 11-5-102(a)(xxiv).

Wyoming Administrative Procedure Act. —

See § 16-3-101(a), (b)(xi) and notes thereto.

§ 11-5-110. Appraisal of damage to landowner; hearing.

When the district board determines by resolution that the landowner’s property has been damaged as a result of carrying out its requirements, the district board shall by resolution appoint three (3) disinterested freeholders within the district to appraise the amount of damage, upon which the district shall forthwith compensate the landowner. The landowner may file a claim for damages and is entitled to a hearing relative to the amount of damages pursuant to the Wyoming Administrative Procedure Act.

History. Laws 1973, ch. 30, § 1; W.S. 1957, § 11-69.13; W.S. 1977, § 11-5-113 ; Laws 1978, ch. 32, § 1; 1979, ch. 135, § 2.

Wyoming Administrative Procedure Act. —

See § 16-3-101(a), (b)(xi) and notes thereto.

Exhaustion of administrative remedies. —

District court properly dismissed a property owner's claim for inverse condemnation against a county Weed and Pest Control District, its board of directors, and four of its employees because there was no indication in the record did not indicate that the owner specifically pursued the statutory remedy, nothing in the record suggested that following the available procedure would have been futile, that the District adopted a policy or pursued a practice of general applicability which was contrary to the law, or that it was improbable that the owner could obtain appropriate relief through the administrative process. Bush Land Dev. Co. v. Crook Cnty. Weed & Pest Control Dist., 2017 WY 12, 388 P.3d 536, 2017 Wyo. LEXIS 12 (Wyo. 2017).

Am. Jur. 2d, ALR and C.J.S. references. —

Tort liability of governmental unit for injury or damage resulting from insecticide and vermin eradication operations, 25 ALR2d 1057.

Tort liability of governmental unit in connection with destruction of weeds and the like, 34 ALR2d 1210.

§ 11-5-111. Tax levied on property in district; maximum amount; weed and pest control fund.

The county commissioners shall annually levy a tax to carry out this act. The tax shall be levied upon all property in the district and shall not exceed one (1) mill on each one dollar ($1.00) of assessed valuation. The tax is not part of the general county or city mill levies. All taxes levied and collected shall be remitted to the district for a separate fund to be known as the weed and pest control fund, which shall be used only to carry out this act.

History. Laws 1973, ch. 30, § 1; W.S. 1957, § 11-69.14; W.S. 1977, 11-5-114 ; Laws 1978, ch. 32, § 1; 1979, ch. 135, § 2.

Meaning of “this act.” —

For the definition of “this act,” referred to in this section, see § 11-5-102(a)(xxiv).

For discussion of legislative history of section, see State ex rel. Albany County Weed & Pest Dist. v. Board of County Comm'rs, 592 P.2d 1154, 1979 Wyo. LEXIS 393 (Wyo. 1979).

Arbitrary and capricious tax levy prohibited. —

The board of county commissioners may not act in an arbitrary and capricious way and levy no tax if taxation is in fact necessary or levy a tax that is the result of an arbitrary and capricious decision upon its part. State ex rel. Albany County Weed & Pest Dist. v. Board of County Comm'rs, 592 P.2d 1154, 1979 Wyo. LEXIS 393 (Wyo. 1979).

But weed and pest board without power to direct tax amount. —

Nothing in all of this chapter, particularly § 11-5-105 , relating to powers and duties of the county weed and pest district board, nor the provisions of the Municipal Budget Act (now repealed) specifically invests the board with the power to direct the board of county commissioners as to the amount of the tax necessary to carry out this chapter. State ex rel. Albany County Weed & Pest Dist. v. Board of County Comm'rs, 592 P.2d 1154, 1979 Wyo. LEXIS 393 (Wyo. 1979).

Grantee not entitled to reimbursement for weed tax paid. —

Where a deed executed in 1947 did not contain any agreement as to the payment of taxes, the grantee was not entitled to reimbursement from the grantor for the amount of 1948 weed tax paid in 1949. Cooley v. Frank, 68 Wyo. 436, 235 P.2d 446, 1951 Wyo. LEXIS 31 (Wyo. 1951).

Cited in

Cranston v. Weston County Weed & Pest Bd., 826 P.2d 251, 1992 Wyo. LEXIS 23 (Wyo. 1992).

Law reviews. —

For article, “Administration of the General Property Tax in Wyoming,” see 4 Wyo. L.J. 227.

§ 11-5-112. [Repealed.]

Repealed by Laws 1979, ch. 135, § 3.

Editor's notes. —

This section, which derived from Laws 1973, ch. 30, § 1, related to disposition of monies collected by the department of agriculture under this chapter.

§ 11-5-113. Allocation of funds; formula; special funding.

  1. An allocation committee composed of the  director of the department of agriculture, three (3) members appointed  by the Wyoming weed and pest council and one (1) member of the board  shall allocate the funds of any legislative appropriation to the district  boards pursuant to a formula adopted by the committee. No district  board shall receive an amount in excess of one-third (1/3) of its actual  expenditures from any appropriation, unless the appropriation provides  assistance in control to a district board under subsection (b) of  this section.
  2. If the district board determines a weed  or pest is seriously endangering areas of a district or the state,  assistance in control may be provided by legislative appropriation  for this purpose, and the allocation committee shall allocate the  appropriation accordingly, and the allocation committee and each affected  district board shall be responsible for insuring that the funds are  properly expended.

History. Laws 1973, ch. 30, § 1; W.S. 1957, § 11-69.16; W.S. 1977, § 11-5-116 ; Laws 1978, ch. 32, § 1; 1979, ch. 135, § 2; 1993, ch. 191, § 3.

Cited in

Cranston v. Weston County Weed & Pest Bd., 826 P.2d 251, 1992 Wyo. LEXIS 23 (Wyo. 1992).

§ 11-5-114. Allocated funds; procedure to disburse.

A request for allocated funds pursuant to W.S. 11-5-113 shall be initiated by the district board by submitting a voucher and documentation. Upon the approval of the voucher by the allocation committee, payment shall be made by the state auditor out of funds provided for control of weeds and pests.

History. Laws 1973, ch. 30, § 1; W.S. 1957, § 11-69.17; W.S. 1977, § 11-5-117 ; Laws 1978, ch. 32, § 1; 1979, ch. 135, § 2.

§ 11-5-115. Program in cities and towns authorized; funding; use of monies.

  1. The governing body of any city or town  with a population of five thousand (5,000) or more may establish and  administer a program for the control of weeds and pests within the  jurisdictional limits of the city or town. If such a program is not  established, the district board shall administer a program for the  city or town.
  2. A district having a city or town with  a population of five thousand (5,000) or more which establishes a  program shall, within thirty (30) days after receipt of any funds  collected pursuant to W.S. 11-5-111 , transfer eighty-five percent (85%) of the funds attributed  to the property within the corporate limits of the city or town to  the governing body of the city or town, retaining fifteen percent  (15%) of the funds for administration of the district and for technical  assistance rendered to the city or town by the district board.
  3. Monies received by the cities from the  district shall be used to control noxious weeds and pests as determined  by the governing body of the city or town. The city or town shall  provide an annual report to the district board on designated and declared  weed and pest work completed within the jurisdictional limits of the  city or town.
  4. The governing body of a city or town which  establishes a control program may petition the district board for  special assistance and funding authorized by W.S. 11-5-113 and 11-5-114 .

History. Laws 1973, ch. 30, § 1; W.S. 1957, § 11-69.18; W.S. 1977, § 11-5-118 ; Laws 1978, ch. 32, § 1; 1979, ch. 135, § 2; 2011, ch. 37, § 1.

The 2011 amendment, effective July 1, 2011, in (c), substituted “shall be used to control noxious weeds and pests” for “may be used in any phase of weed and pest control,” deleted the former second sentence which read: “The control program shall include work on designated weeds and pests as determined by the district board,” and added the present last sentence.

§ 11-5-116. Quarantine by director; request by district.

  1. Whenever the director, the district board  or their agents find any section of the state to be infested with  insects, pests, poisonous or injurious plants or plant diseases, and  it is established that farm products from that section are liable  to spread the insects, pests, poisonous or injurious plants or plant  diseases into other sections to the injury of others, the director  shall without unnecessary delay, declare a quarantine against such  section to prevent the transfer of farm products from the quarantined  area. When it is ascertained that insects, pests, weed seed, poisonous  or injurious plants or plant diseases are likely to be introduced  into Wyoming by the importation of farm products, domestic animals  or other objects, the director shall declare a quarantine against  the importation of such farm products.
  2. A district may initiate a district-wide  quarantine by one (1) of the following procedures:
    1. A district may request in writing that  the director declare a district-wide quarantine. Upon receipt of the  request, the director shall instruct the district to circulate a petition  for ninety (90) days within the district to obtain signatures of at  least two-thirds (2/3) of all resident landowners owning at least fifty-one  percent (51%) of all resident-owned land. Upon receipt of the properly  executed petition, the director shall declare a district-wide quarantine;
    2. A district board may hold a hearing in  compliance with the Wyoming Administrative Procedure Act. The director  shall declare a district-wide quarantine when the district has provided  the director with proper documentation that a hearing has been held  and the district has found a need for a district-wide quarantine;
    3. The district board may hold a district-wide  referendum. The director shall declare a district-wide quarantine  upon receipt of a certified document indicating that the referendum  was accepted by a majority of the electors who voted in the election.
  3. The director shall declare an individual  quarantine when requested by resolution adopted by a two-thirds (2/3)  majority of the board.
  4. The district board in compliance with W.S. 11-5-101 through 11-5-119 may request a quarantine against the entry of infested  farm products that may be injurious and detrimental to the state and  enter into agreements with the law enforcing agencies to carry out  the quarantine provision:
    1. Farm products and equipment shall be certified  free of designated noxious weed seeds or infested farm products prior  to entry into the state, with the exception of any processed feed  or grain to be reprocessed and fed to livestock;
    2. Farm products and equipment are to be  certified in the state of origin by the proper officials;
    3. Interstate shipment of farm products through  the state need not be certified if covered in a prescribed manner  as not to allow the dissemination of infested farm products.

History. Laws 1973, ch. 30, § 1; W.S. 1957, § 11-69.19; W.S. 1977, § 11-5-119 ; Laws 1978, ch. 32, § 1; 1979, ch. 135, § 2; 1993, ch. 191, § 3.

Wyoming Administrative Procedure Act. —

See § 16-3-101(a), (b)(xi).

§ 11-5-117. Criminal provision; penalty; civil penalties; limitations; necessary proof.

  1. Any person violating any provision of  this act is guilty of a misdemeanor, and shall be fined not more than  seven hundred fifty dollars ($750.00) in addition to fines provided  for in W.S. 11-5-109(e).
  2. In any proceeding to impose any fine or  penalty for any failure to perform a remedial requirement ordered  by a district board for control of a weed or pest in any infested  area, the district board shall have the burden of proving:
    1. That the proposed remedial action would  control the target weed or pest;
    2. That the remedial action would be a cost  effective action and would be more cost effective than any alternative  action proposed or adopted by the landowner; and
    3. That the weed or pest to be controlled  was at risk of spreading to the land of others in the area.

History. Laws 1973, ch. 30, § 1; W.S. 1957, § 11-69.20; W.S. 1977, § 11-5-120 ; Laws 1978, ch. 32, § 1; 1979, ch. 135, § 2; 2011, ch. 37, § 1.

The 2011 amendment, effective July 1, 2011, in (a), substituted “seven hundred fifty dollars ($750.00)” for “one hundred dollars ($100.00),” and added (b).

Meaning of “this act.” —

For the definition of “this act,” referred to in this section, see § 11-5-102(a)(xxiv).

§ 11-5-118. Inspection for contamination.

Farm products and agricultural, commercial or industrial equipment entering or moving within the district are subject to inspection for contamination of designated weeds and pests by the district board through its designated agents. The board and the Wyoming weed and pest council may promulgate rules and regulations which establish inspection standards and remedial requirements under this section.

History. Laws 1979, ch. 135, § 1.

Editor's notes. —

Former § 11-5-118 was redesignated as present § 11-5-119 in 1979.

§ 11-5-119. Rules and regulations.

The board, with the approval of a majority of the districts, may promulgate, adopt and publish rules and regulations in accordance with the Wyoming Administrative Procedure Act for the purpose of carrying out the intent of this act.

History. Laws 1973, ch. 30, § 1; W.S. 1957, § 11-69.21; W.S. 1977, § 11-5-121; Laws 1978, ch. 32, § 1; Rev. W.S. 1977, § 11-5-118 ; Laws 1979, ch. 135, § 1.

Meaning of “this act.” —

For the definition of “this act,” referred to in this section, see § 11-5-102(a)(xxiv).

Wyoming Administrative Procedure Act. —

See § 16-3-101(a), (b)(xi) and notes thereto.

§ 11-5-120. Wyoming weed and pest council duties.

  1. In addition to other duties prescribed by law, the Wyoming weed and pest council shall aid county weed and pest control districts in creating, managing and enhancing coordinated and comprehensive invasive plant species control programs by:
    1. Developing and implementing data systems to support each district in making invasive plant species management decisions informed by accurate, timely data, local experts, cultural practices and best available science;
    2. Coordinating with the University of Wyoming and community colleges to assess, to the extent practicable, the impacts that invasive plant species can have on socio-ecological systems. As used in this paragraph, “socio-ecological system” means a dynamic system encompassing interactions between people and nature within a defined geographical area;
    3. Coordinating with the University of Wyoming, community colleges and government agencies to support and expand outreach and provide applied research on the best use of existing tools to control invasive plant species and the development of new invasive plant species management methods;
    4. Working with federal partners to reduce barriers to timely, effective invasive plant species management on federal lands and adjoining nonfederal lands;
    5. On a biennial basis, reporting to the joint agriculture, state and public lands and water resources interim committee on the status of current funding models, existing or new funding challenges and opportunities to improve funding for designated or declared invasive plant species;
    6. Encouraging and incentivizing cooperative, landscape-scale projects to control invasive plant species that include multi-jurisdictional partnerships with clear, long-term strategies;
    7. Coordinating with other state and federal agencies to increase public awareness of the challenges presented by invasive plant species and to encourage prevention and mitigation practices.
  2. The Wyoming weed and pest council may, with the approval of the majority of the board, adopt and publish rules in accordance with the Wyoming Administrative Procedure Act, W.S. 16-3-101 et seq. to carry out the purposes of this act.

History. Laws 2021, ch. 2, § 1.

Effective date. —

Laws 2021, ch. 2, § 5, makes the act effective July 1, 2021.

Article 2. Leafy Spurge Control

§§ 11-5-201 and 11-5-202. [Repealed.]

Repealed by Laws 1983, ch. 87, §§ 1, 2.

Editor's notes. —

These sections, which derived from Laws 1978, ch. 27, § 1, and Laws 1983, ch. 87, § 1, related to the leafy spurge control program.

Article 3. Special Management Program

§ 11-5-301. Authorization of program.

A weed and pest special management program may be carried out as provided by this article and legislative appropriation acts. All state and local governmental entities shall comply with the program.

History. Laws 1989, ch. 113, § 1; 2010, ch. 69, § 207.

The 2010 amendment, effective July 1, 2010, deleted “Effective July 1, 1990” at the beginning.

§ 11-5-302. Definitions.

  1. As used in this article:
    1. “District” means any county weed and pest  control district;
    2. “Integrated management system” means the  planning and implementation of a coordinated program utilizing all  proven methods for containing and controlling undesirable plants and  pests, including but not limited to education, preventive measures,  physical methods, biological agents, pesticide methods, cultural methods  and management;
    3. “Management zone” means a geographical  area within a district;
    4. “Materials” means materials used in carrying  out the objectives of integrated management system;
    5. “Method” means a procedure or process  for carrying out the application method prescribed;
    6. “Pest” means any declared pest or designated  pest defined by W.S. 11-5-102(a);
    7. “Treatment program” means the use of an  integrated management system prescribed by the district board or the  board’s designated representative;
    8. “Undesirable plant” means any declared  weed or designated noxious weed as defined by W.S. 11-5-102(a).

History. Laws 1989, ch. 113, § 1.

Editor's notes. —

There is no subsection (b) in this section as it appears in the printed acts.

§ 11-5-303. Program components; funding; rulemaking authority; penalties.

  1. Any district may carry out a weed and pest special management program in accordance with this article. If a district initiates a program, leafy spurge (Euphorbia esula) shall receive priority in the program. A district may also implement an integrated management system under W.S. 11-5-101 through 11-5-119 using funds specified by W.S. 11-5-111 , provided leafy spurge shall receive priority pursuant to this article.
  2. Repealed by Laws 2021, ch. 2, § 3.
  3. Any district which implements a special management program under this article shall:
    1. Establish one (1) or more management zones within the district. A management zone can only be formed with the written consent of a majority of the landowners in the proposed management zone;
    2. Complete an inventory on lands within each management zone to determine the scope of infestation;
    3. Establish management criteria for the special management program;
    4. Select the materials and methods for the special management program based upon best available scientific facts, current technology and economic considerations;
    5. At least ten (10) days before final approval of the program by the district board, give notice to the public in at least one (1) newspaper of general circulation within the county describing the special management program and approximating the cost of the program. Notice shall also be given through another medium if the board determines additional publication is necessary to ensure sufficient notice to the public.
  4. Programs under this article shall be funded as follows:
    1. Landowners shall contribute to the cost of the treatment program on their land as determined by the district board not to exceed twenty percent (20%) of the total cost;
    2. The district shall contribute to the cost of the treatment program within the limitation of district funds available under subsection (e) of this section;
    3. State or federal agencies owning lands or administering lands, which are untaxed for the purposes of this act, shall contribute to the total cost of the special management program;
    4. Assistance to a district’s coordinated program may be provided by legislative appropriation pursuant to W.S. 11-5-113(b).
  5. A district may levy not to exceed an additional one (1) mill on the assessed value of the taxable property within the district to fund its contributions under this section. Upon request by the district board, the board of county commissioners may levy the amount of tax requested not to exceed the mill levy authorized by W.S. 11-5-111 and this subsection.
  6. Any landowner who refuses to perform remedial requirements as established by the district board after due notice as required by W.S. 11-5-109 may be subject to a fine provided by W.S. 11-5-109 .
  7. The Wyoming weed and pest council, with the approval of the majority of the board, may:
    1. Adopt rules and regulations as provided by W.S. 11-5-119 to implement an effective special management program in Wyoming; and
    2. Establish procedures for prompt reporting and billing of expenditures made and for timely forecasting of future expenditures which will be required.

History. Laws 1989, ch. 113, § 1; 2021, ch. 2, §§ 2, 3.

The 2021 amendments —

The first 2021 amendment, by ch. 2, § 2, effective July 1, 2021, in (c)(v), substituted "board" for "supervisors" following "the district", "give" for "publish" preceding notice, added "to the public" preceding "in at least," substituted "approximating the" for "listing the participating landowners and stating the approximate" preceding "cost of," and added the second sentence; in (d)(iii), added "to" following "contribute", substituted "special management" for "treatment," and deleted "on those lands" at the end; and rewrote (g), which read, "The state board of agriculture may."

The second 2021 amendment, by ch. 2, § 3, effective July 1, 2021, repealed former (b), which read, "Pursuant to this article a district may implement an integrated management system on two (2) undesirable plants or on two (2) pests or a combination of one (1) undesirable plant and one (1) pest but under no circumstance shall the program exceed a total of two (2)."

While neither amendment gave effect to the other, both have been given effect in this section as set out above.

Article 4. Emergency Insect Management Program

§ 11-5-401. Definitions.

  1. As used in this article:
    1. “Account” means the emergency insect management  special revenue account created under W.S. 11-5-402 ;
    2. “Committee” means the director of the  department of agriculture, the director of the department of health,  the director of the game and fish department, the Wyoming state veterinarian  and the governor;
    3. “Insect pests” mean infestations of grasshoppers,  Mormon crickets or other cyclic or outbreak insect infestations or  insect species new, recently introduced or which present a substantial  possibility to be introduced into Wyoming such as fire ants, Africanized  honeybees or other insect pests;
    4. “Insect vectors” mean blood-feeding arthropods,  mosquitoes, biting flies and other such insects that harbor or transmit  pathogens harmful to human health and safety, animal health including  livestock and wildlife, agriculture or natural resources.

History. Laws 2003, ch. 180, § 1; 2005, ch. 242, § 2.

The 2005 amendment, deleted “or his designee” at the end of (a)(ii).

Laws 2005, ch. 242, § 3, makes the act effective immediately upon completion of all acts necessary for a bill to become law as provided by art. 4, § 8, Wyo. Const. Approved March 11, 2005.

Editor's notes. —

There is no subsection (b) in this section as it appears in the printed acts.

§ 11-5-402. Emergency insect management account; established.

The emergency insect management program account is created to consist of funds appropriated or designated to the account by law for the emergency management of insect pests or insect vectors.

History. Laws 2003, ch. 180, § 1; 2005, ch. 231, § 1.

The 2005 amendment, effective July 1, 2005, deleted “special revenue” preceding “account.”

Conflicting legislation. —

Laws 2005, ch. 231, § 3, provides: “The provisions of this act shall supersede the provisions of any other bill enacted into law during the 2005 general session which amends or references accounts or funds to the extent any other enactment is inconsistent with the establishment of the funds and accounts created under this act. The state auditor shall account for any fund or account created in any other legislation enacted in the 2005 general session in accordance with generally accepted accounting principles (GAAP) as promulgated by the governmental accounting standards board (GASB) and in accordance with this act.”

Appropriations. —

Laws 2003, ch. 180, § 2(a), appropriates $20,000.00 from the general fund to the emergency insect management program special revenue account established under W.S. 11-5-402 to be used for the purposes of developing a statewide coordinated response to the threat of insect infestations and for public education regarding health issues arising out of these threatened insect infestations. Section 2(b) appropriates $580,000.00 from the general fund to the emergency insect management program special revenue account to be expended, upon the recommendation of the committee only with the authorization of the governor, for purposes of responding to emergencies under the act. Any unobligated funds remaining in the account from this appropriation on December 31, 2009, are to be transferred by the state treasurer to the general fund.

§ 11-5-403. Administrative support for committee.

Administrative support to the committee shall be provided by the department of agriculture. Expenses of the committee incurred under this article including administrative support shall be paid from the account.

History. Laws 2003, ch. 180, § 1.

§ 11-5-404. Program development; additional committee responsibilities; annual report.

  1. Emergency insect management programs developed  and receiving funds from the account under this article shall be based  upon integrated pest management principles using the most current,  scientifically valid methods to manage insect pests and vectors.
  2. Subject to subsection (a) of this section,  the committee shall establish policies, standards and guidelines for  programs receiving funds from the account under this article. In accordance  with established program guidelines and policies, the committee shall  review applications for participation submitted under this article,  and based upon its review and evaluation, approve or disapprove program  applications and if approved, establish the amount of program funding  from the account.
  3. In addition to subsection (b) of this  section, the committee shall, in cooperation with the governor, collect  and compile data necessary to determine if emergency insect management  programs under this article involve any threatened or endangered species  under the federal Endangered Species Act of 1973, 16 U.S.C. 1531 et seq., as amended. If programs involve such species,  the committee, in cooperation with the governor, shall request an  exemption from federal regulation under this act [Emergency Insect  Management Program] for insect management purposes.
  4. The committee shall establish necessary  procedures to process applications filed pursuant to this article.
  5. In addition to subsection (d) of this  section, the committee shall annually report its activities for each  fiscal period as required under W.S. 9-2-1014 .

History. Laws 2003, ch. 180, § 1.

§ 11-5-405. Advisory assistance; assistance specified; expenses.

  1. To assist with the establishment of policies,  guidelines and the development of programs under this article, the  committee may assemble necessary expertise from one (1) or more of  the following organizations, institutions, groups or individuals:
    1. The Wyoming county commissioners association;
    2. The Wyoming association of municipalities;
    3. Pesticide applicators;
    4. Landowners;
    5. Agricultural producers;
    6. University of Wyoming faculty and staff;
    7. Scientific and technology industry representatives;
    8. Public representatives; and
    9. Other representatives or individuals as  may be determined by the committee.
  2. Persons assisting the committee in an  advisory capacity pursuant to subsection (a) of this section and not  employed by the state nor any political subdivision of the state shall  receive reimbursement for actual and necessary expenses and mileage  allowance at the rates established by law for state employees.

History. Laws 2003, ch. 180, § 1.

§ 11-5-406. Program participation requirements; application; funding participation levels specified; restriction on expenditures.

  1. Any state agency or political subdivision  may apply to the committee for participation in emergency insect management  programs under this article. Applications shall be filed with the  department of agriculture and shall at minimum, substantiate compliance  with standards and guidelines established by the committee.
  2. Emergency management program participation  under this article shall be subject to the following requirements:
    1. Insect vector management programs or nonoutbreak  insect programs shall receive not more than fifty percent (50%) of  total program costs from the account;
    2. Subject to paragraph (iii) of this subsection,  a reactive program for the suppression of outbreaks of grasshoppers,  Mormon crickets or other outbreak insects on state and private lands  shall receive not more than fifty percent (50%) of total program costs  from the account;
    3. If the emergency insect management program  under paragraph (ii) of this subsection is for grasshopper suppression,  the program shall consist of treatments targeting infestations greater  than two thousand (2,000) acres or those suppressing less than the  entire infestation regardless of size;
    4. Subject to paragraph (v) of this subsection,  a proactive, preventative program targeting incipient infestations  of grasshoppers, Mormon crickets or other outbreak insects on state  and private lands, with the potential to expand into outbreaks, shall  receive not more than seventy-five percent (75%) of total program  costs from the account;
    5. If the emergency insect management program  under paragraph (iv) of this subsection is for grasshoppers, the program  shall include up to two thousand (2,000) acres if the entire infestation  is included within the program;
    6. During the first three (3) years of operation  of any emergency insect management program, not more than twenty percent  (20%) of funds provided to the program from the account shall be used  for administrative costs, equipment and mapping activities, and not  more than ten percent (10%) of such funds shall be used for these  purposes in subsequent years;
    7. In addition to paragraph (vi) of this  subsection and during the first three (3) years of program operation,  not more than twenty percent (20%) of funds provided from the account  to any program shall be expended for applied research specifically  designed to provide immediate results directly in support of improved  integrated pest management practices, and not more than ten percent  (10%) of such funds may be used for this purpose in subsequent years.

History. Laws 2003, ch. 180, § 1.

Chapter 6 Predatory Animals

Cross references. —

As to unlawful killing of wild horses, see § 11-30-115 .

As to expenditure of moneys derived from grazing fees under Taylor Grazing Act, see § 9-4-404 .

For definition of “predatory animals” in connection with game and fish laws, see § 23-1-101 .

As to killing of predatory animals by hunters and by animal damage control agents of game and fish department, see § 23-3-103 .

Am. Jur. 2d, ALR and C.J.S. references. —

3 Am. Jur. 2d Agriculture § 42; 4 Am. Jur. 2d Animals §§ 71, 72.

Liability of public officers for killing or injuring animals, while acting or professing to act under a statute relating to the inspection or destruction of livestock, 2 ALR3d 822.

Doctrine of absolute liability for injury inflicted by wild animal, 21 ALR3d 603.

3A C.J.S. Animals §§ 170 to 237.

Article 1. Control Generally

§ 11-6-101. Permission to eradicate upon refusal of entry by property owner.

Whenever predatory animals become a menace to livestock owned or controlled by any resident of Wyoming and the owner or lessee of any real estate in the vicinity where the livestock is ranged or pastured refuses permission to the owner of the livestock, his agents or employees, to enter upon the real estate for the purpose of destroying such predatory animals, entry may be obtained as provided by W.S. 11-6-102 and 11-6-103 .

History. Laws 1935, ch. 16, § 1; C.S. 1945, § 56-2301; W.S. 1957, § 11-74; Laws 1978, ch. 32, § 1.

§ 11-6-102. Application to county commissioners; hearing; determination; limitation on use of firearms.

The owner of the livestock may file a written application with the board of county commissioners of the county where the real estate is located, applying for permission to eradicate predatory animals. If, after giving the owner or lessee an opportunity of a hearing, the county commissioners may grant such permission, but the person receiving the permission shall not use firearms in destroying such animals without first obtaining permission from the owner or lessee of the real estate.

History. Laws 1935, ch. 16, § 2; C.S. 1945, § 56-2302; W.S. 1957, § 11-75; Laws 1978, ch. 32, § 1.

§ 11-6-103. Liability for damage to property.

The permission granted shall permit the petitioner to enter upon the real estate but shall not relieve the petitioner from any damages which he inflicts upon any property of the owner or lessee of the real estate.

History. Laws 1935, ch. 16, § 3; C.S. 1945, § 56-2303; W.S. 1957, § 11-76; Laws 1978, ch. 32, § 1.

§ 11-6-104. Centralized and coordinated rodent and predator control plan authorized; release of information restricted.

  1. The department may establish and implement  a cooperative and coordinated plan for rodent and predator control.  It may cooperate with federal agencies in the control of rodents,  predatory animals and predacious birds, as defined in W.S. 23-1-101 , which are destructive to livestock, game and poultry,  or are detrimental to feed and foodstuffs, crops and forage production  and human health. The department may promulgate necessary rules and  regulations to carry out the purposes of this section.
  2. Any information regarding the number or  nature of rodents or predators legally taken within the state pursuant  to this section shall only be released in its aggregate form. The  identity of any person legally taking a rodent or predator within  this state is solely for the use of the responsible agency or appropriate  law enforcement agency, shall not be released without the individual’s  written consent and is not a public record for purposes of W.S. 16-4-201 through 16-4-205 .

History. Laws 1973, ch. 63, § 1; W.S. 1957, § 11-77.1; Laws 1978, ch. 32, § 1; 2003, ch. 191, § 1.

§ 11-6-105. Issuance of aerial hunting permits authorized.

The department may issue permits for the aerial hunting of rodents and predators to any person for the protection of livestock, domesticated animals or human life, upon a showing that the person or their designated pilot, along with the aircraft to be utilized in the aerial hunting, have been licensed and qualified in accordance with the requirements of the Wyoming aeronautics commission. The department shall furnish to the game and fish department a list of the names and addresses of the persons to whom they have issued aerial permits. The department may predicate the issuance or retention of such permits upon the recipients’ full and prompt disclosure of information as the department may request for submission to the authorities designated in accordance with section 13 of the Fish and Wildlife Act of 1956 or its successor. The department shall collect a fee from each person who has any aircraft permitted under this section on or before April 1 of each year in the amount authorized by W.S. 11-1-104 .

History. Laws 1973, ch. 63, § 1; W.S. 1957, § 11-78.1; Laws 1978, ch. 32, § 1; 1993, ch. 135, § 2.

Cross references. —

As to aeronautics commission, see § 10-3-101 .

As to game and fish department, see § 23-1-401 et seq.

Fish and Wildlife Act. —

Section 13 of the federal Fish and Wildlife Act of 1956, referred to in the next-to-last sentence, appears as 16 U.S.C. § 742j-l.

§ 11-6-106. Receiving and expending monies for supplies.

The department may receive money for rodent and predator control from the federal government, state appropriations, counties, agencies, boards, associations, commissions, individuals and any other cooperators and may expend such monies to purchase supplies, materials, services, and to employ or contract personnel for rodent and predator control. The department may make such supplies, materials, services and personnel available to cooperators at approximate cost.

History. Laws 1973, ch. 63, § 1; W.S. 1957, § 11-81.1; W.S. 1977, § 11-6-107 ; Laws 1978, ch. 32, § 1.

§ 11-6-107. Disposition of proceeds.

All predator furs, skins and specimens taken by hunters or trappers whose salaries are paid in full by cooperating agencies, shall be sold and the proceeds returned to the respective predator management district of the county in which the furs, skins or specimens originated. All receipts from sales of materials and services related to predatory animal and rodent control received by the department shall be paid into the state general fund.

History. Laws 1973, ch. 63, § 1; W.S. 1957, § 11-82.1; Laws 1974, ch. 16, § 2; W.S. 1977, § 11-6-108 ; Laws 1978, ch. 32, § 1; 1989, ch. 3, § 1; 2006, ch. 87, § 1.

The 2006 amendment, substituted “predator management” for “predatory animal.”

Laws 2006, ch. 87, § 3, makes the act effective immediately upon completion of all acts necessary for a bill to become law as provided by art. 4, § 8, Wyo. Const. Approved March 23, 2006.

§ 11-6-108. Cooperative agreements generally.

The department may enter into cooperative agreements with other governmental agencies, counties, associations, corporations or individuals for carrying out the purposes of W.S. 11-6-104 through 11-6-107 .

History. Laws 1953, ch. 77, § 2; W.S. 1957, § 11-79; Laws 1973, ch. 63, § 2; W.S. 1977, § 11-6-106 ; Laws 1978, ch. 32, § 1.

Article 2. Districts and District Boards

§ 11-6-201. Creation and designation of districts; state predator management advisory board.

  1. Each county is created and designated  as a predator management district. Each district shall be known as  the “Predator Management District of  . . . . .  County, Wyoming,” and it may hold property and be  a party to suits and contracts.
  2. There is created a state predator management  advisory board composed of one (1) representative of each predator  management district. The state predator management advisory board  representative shall be appointed by the individual predator management  district boards of directors and so designated in writing.

History. Laws 1943, ch. 36, § 2; C.S. 1945, § 56-2502; W.S. 1957, § 11-99; W.S. 1977, § 11-6-301 ; Laws 1977, ch. 125, § 1; 1978, ch. 32, § 1; 1990, ch. 87, § 2; 2006, ch. 87, § 1.

The 2006 amendment substituted “predator management” for “predatory animal” in (a) and (b).

Laws 2006, ch. 87, § 3, makes the act effective immediately upon completion of all acts necessary for a bill to become law as provided by art. 4, § 8, Wyo. Const. Approved March 23, 2006.

Cross references. —

As to the Wyoming Animal Damage Management Program, see article 3 of chapter 6 of this title.

Law reviews. —

For article, “Administration of the General Property Tax in Wyoming,” see 4 Wyo. L.J. 227.

§ 11-6-202. Administration of districts by district boards; number and qualifications of members; term; filling of vacancies; removal.

  1. The affairs of each district shall be  administered by a board of directors, each of whom shall be a bona  fide resident of Wyoming. Directors for the positions identified in  paragraphs (i) and (ii) of this subsection shall be elected at an  annual meeting of district livestock owners. Directors for the positions  identified in paragraphs (iv) and (v) of this subsection shall be  appointed as described. The composition of the board shall be as follows:
    1. Three (3) directors shall be sheep owners  having paid predator management fees on sheep in the district in the  year preceding election. At each subsequent annual district meeting  one (1) director shall be elected for a three (3) year term. Subject  to the provisions of W.S. 11-6-203(a), all sheep owners whether an individual, corporation  or partnership, having paid predator management fees on sheep in the  district regardless of the domicile of the sheep, are entitled to  one (1) vote at the meeting;
    2. Three (3) directors shall be cattle owners  having paid predator management fees on cattle in the district in  the year preceding election. At each subsequent annual district meeting  one (1) director shall be elected for a three (3) year term. Subject  to the provisions of W.S. 11-6-203(a), all cattle owners whether an individual, corporation  or partnership, having paid predator management fees on cattle in  the district regardless of the domicile of the cattle, are entitled  to one (1) vote at the meeting;
    3. If a qualified applicant for a director  position identified in paragraph (i) or (ii) of this subsection cannot  be found or if no qualified applicant seeks election to the board  of directors, then the director position may be filled by an otherwise  qualified elector, provided no more than four (4) directors may represent  any one (1) species of livestock;
    4. The board of county commissioners shall  appoint one (1) director to serve for an initial term of two (2) years  and thereafter for three (3) year terms from electors in the county  not engaged in raising sheep or cattle. No appointed member may serve  for a consecutive period of more than six (6) years;
    5. If the board of directors determines state funds are necessary for an effective predator management program to assure the statutory requirements provided in W.S. 11-6-205 are fulfilled and state funds are appropriated and received for that purpose, then three (3) directors representing sportsmen and hunters from the district shall be appointed to the board of directors by the county commissioners serving the local district. Sportsmen and hunter representatives shall be bona fide residents of the district not engaged in raising sheep or cattle and shall hold or have held a valid Wyoming fishing or hunting license within the preceding twelve (12) month period. County commissioners, to the greatest extent practical, shall select sportsmen and hunter representatives to ensure representation from as broad a geographic distribution of the district as possible. The county commissioners shall determine who of the three (3) sportsmen and hunter directors appointed to a board under this paragraph shall serve an initial term of one (1) year, who shall serve an initial term of (2) years and who shall serve a term of three (3) years. Thereafter, each term shall be for three (3) years.
  2. No director shall continue to hold office  after disqualification under any of the provisions of this section.  All vacancies on the district board may be filled for unexpired terms  by the other directors in office except the public member’s and the  sportsmen and hunter member’s unexpired term shall be filled by board  of county commissioners appointment. All members shall hold their  offices until their successors are elected and qualified.
  3. For directors appointed by a board of  county commissioners, the county commissioners may remove the director  for cause without a public hearing unless the director requests that  the action be taken during a public hearing.

History. Laws 1943, ch. 36, § 3; C.S. 1945, § 56-2503; W.S. 1957, § 11-100; W.S. 1977, § 11-6-302 ; Laws 1977, ch. 125, § 1; 1978, ch. 32, § 1; 1990, ch. 87, § 2; 2006, ch. 87, § 1; 2010, ch. 61, § 1; 2012, ch. 46, § 1; ch. 104, § 1; 2020, ch. 48, § 1.

The 2006 amendment rewrote (a), inserting “for the positions identified in paragraphs (iv) and (v) of this subsection,” inserted “or goat,” substituted “predator management” for “predatory animal,” inserted (iii), and (v); inserted “and the sportsmen and hunter member’s” in (b); and made similar and stylistic changes throughout.

Laws 2006, ch. 87, § 3, makes the act effective immediately upon completion of all acts necessary for a bill to become law as provided by art. 4, § 8, Wyo. Const. Approved March 23, 2006.

The 2010 amendment, in (a), deleted all references to goats.

Laws 2010, ch. 61, § 2, makes the act effective immediately upon completion of all acts necessary for a bill to become law as provided by art. 4, § 8, Wyo. Const. Approved March 8, 2010.

The 2012 amendments.— The first 2012 amendment, by ch 46, § 1, effective July 1, 2012, inserted “Subject to the provisions of W.S. 11-6-203(a)” in (a)(i) and (a)(ii).

The second 2012 amendment, by ch. 104, § 1, added (c).

Laws 2012, ch. 104 § 2, makes the act effective immediately upon completion of all acts necessary for a bill to become law as provided by art. 4, § 8, Wyo. Const. Approved March 21, 2012.

While neither amendment gave effect to the other, both have been given effect in this section as set out above.

The 2020 amendment, effective January 1, 2021, in (a)(v), substituted “a valid Wyoming fishing or hunting license within” for “either a valid Wyoming fishing or hunting license or a Wyoming wildlife damage management stamp within.”

§ 11-6-203. Manner of calling annual meeting of predator management districts; when held; election of chairman and secretary.

  1. The annual meeting of each predator management  district shall be held within the first two (2) weeks of December.  Any person having paid predator fees in the district within the preceding  twelve (12) months shall be entitled to one (1) vote at the annual  meeting. Predator fees paid in the name of a business entity may be  represented by one (1) representative of the entity paying the fees,  provided that the representative is authorized by the entity to vote  on behalf of the entity and has provided proof of such written authorization.  Proof of payment of predator fees within the district shall only be  through a verified copy of a brand inspection certificate which clearly  shows that the fees have been paid and the date upon which the fees  were paid. No person paying fees within the district shall be entitled  to more than one (1) vote at the annual meeting and no proxies shall  be allowed. Each board shall:
    1. Repealed by Laws 2012, ch. 46, § 2.
    2. Publish a notice stating the time and  place of any meeting of the district and that directors of the board  representing livestock interests as provided in W.S. 11-6-202(a)(i) and (ii) shall be elected at the meeting. Notice shall  be published once in a newspaper of general circulation in the district  ten (10) days prior to the date of the meeting;
    3. Set the date of the meeting so as not  to conflict with the date of similar meetings held in adjoining districts  in order that sheep and cattle owners operating in more than one (1)  district may attend and vote in other districts where they are engaged  in such business;
    4. Set the annual predatory animal control  fee for the district as provided by W.S. 11-6-210(a).
  2. When assembled in accordance with the  provisions of subsection (a) of this section, the sheep and cattle  owners shall elect a chairman and secretary who shall act as judges  of the election of directors representing livestock interests of the  board.

History. Laws 1943, ch. 36, § 4; C.S. 1945, § 56-2504; W.S. 1957, § 11-101; W.S. 1977, § 11-6-303 ; Laws 1977, ch. 125, § 1; 1978, ch. 32, § 1; 1990, ch. 87, § 2; 1996, ch. 41, § 1; 2006, ch. 87, § 1; 2010, ch. 61, § 1; 2012, ch. 46, §§ 1, 2.

The 2006 amendment, in (a), substituted “predator management” for “predatory animal,” inserted “goats,” inserted “held within the first two (2) weeks of,” in (i), deleted “assessed for taxes or,” following “persons,” inserted “representing livestock interests as provided in W.S. 11-6-202(a)(i) and (ii)”; and made similar changes in (b).

Laws 2006, ch. 87, § 3, makes the act effective immediately upon completion of all acts necessary for a bill to become law as provided by art. 4, § 8, Wyo. Const. Approved March 23, 2006.

The 2010 amendment, in (a)(i), substituted “sheep or cattle” for “sheep, goats, or cattle”; and in (b), substituted “sheep and cattle” for “sheep, goat, and cattle.”

Laws 2010, ch. 61, § 2, makes the act effective immediately upon completion of all acts necessary for a bill to become law as provided by art. 4, § 8, Wyo. Const. Approved March 8, 2010.

The 2012 amendment, effective July 1, 2012, inserted the present second through fifth sentences in the introductory language of (a); and repealed former (a)(i), which read: “On or before December 1, obtain an accurate list of all persons who have paid predator management fees on sheep or cattle in the district.”

§ 11-6-204. District boards; election and appointment of officers; meetings; quorum; oath; appropriation requests.

At the annual meeting of the district board, following election of directors pursuant to W.S. 11-6-202(a)(i), (ii) and (iv) and upon appointment of directors pursuant to W.S. 11-6-202(a)(v), if applicable, the directors shall organize by choosing from their number a president and vice-president and shall appoint a secretary-treasurer. Subsequent meetings may be called by the president upon reasonable notice. A majority of the board constitutes a quorum for the transaction of business at any board meeting. The members of the board shall receive no compensation for serving as members. Each director shall take an oath for the faithful performance of his duties. If the board determines to request an appropriation of funds from the board of county commissioners, it shall, at least thirty (30) days prior to the time for annual levy of general taxes, notify the board of county commissioners of the amount the district board considers necessary for district operations during the following year.

History. Laws 1943, ch. 36, § 5; 1945, ch. 8, § 1; C.S. 1945, § 56-2505; W.S. 1957, § 11-102; W.S. 1977, § 11-6-304 ; Laws 1977, ch. 125, § 1; 1978, ch. 32, § 1; 1990, ch. 87, § 2; 2006, ch. 87, § 1.

The 2006 amendment rewrote the first sentence concerning the annual meeting of the board in relation to W.S. 11-6-202 .

Laws 2006, ch. 87, § 3, makes the act effective immediately upon completion of all acts necessary for a bill to become law as provided by art. 4, § 8, Wyo. Const. Approved March 23, 2006.

For discussion of legislative history of section, see State ex rel. Albany County Weed & Pest Dist. v. Board of County Comm'rs, 592 P.2d 1154, 1979 Wyo. LEXIS 393 (Wyo. 1979).

§ 11-6-205. District boards; duties generally.

  1. Each predator management district board  shall:
    1. Exercise general supervision over the  control of predatory animals and predacious birds that prey upon and  destroy livestock, other domestic animals and wildlife;
    2. Devise and put in operation those methods  that best manage or control damage caused by predatory animals or  predacious birds;
    3. Administer funds received from predator  management fees and from other sources to carry out the predator management  program;
    4. Coordinate with affected individuals and  entities to develop a comprehensive predator management program for  each respective predator management district which addresses livestock,  wildlife and public health concerns.

History. Laws 1943, ch. 36, § 1; C.S. 1945, § 56-2501; W.S. 1957, § 11-103; W.S. 1977, § 11-6-305 ; Laws 1977, ch. 125, § 1; 1978, ch. 32, § 1; 1990, ch. 87, § 2; 2006, ch. 87, § 1.

The 2006 amendment, in (a), substituted “predator management” for “predatory animal,” inserted “predacious birds,” substituted “wildlife” for “wild game,” inserted “damage caused,” and made similar changes in (i) through (iii), added (iv), and made related changes.

Laws 2006, ch. 87, § 3, makes the act effective immediately upon completion of all acts necessary for a bill to become law as provided by art. 4, § 8, Wyo. Const. Approved March 23, 2006.

Editor's notes. —

There is no subsection (b) in this section as it appears in the printed acts.

Quoted in

In re Gimlin, 403 P.2d 178, 1965 Wyo. LEXIS 146 (Wyo. 1965).

Law reviews. —

For article, “Administration of the General Property Tax in Wyoming,” see 4 Wyo. L.J. 227.

§ 11-6-206. District boards; powers generally.

Each predator management district board may adopt rules and regulations necessary for carrying out the purpose and provisions of this article. Each board may appoint employees and assistants as necessary and fix their compensation. Each board may enter into cooperative agreements with boards of county commissioners, other predator management districts, federal or state agencies or other organizations or associations for the purpose of controlling predatory animals and predacious birds. Each board is authorized to pay bounties for predatory animals and predacious birds.

History. Laws 1943, ch. 36, § 8; C.S. 1945, § 56-2508; W.S. 1957, § 11-104; W.S. 1977, § 11-6-306 ; Laws 1977, ch. 125, § 1; 1978, ch. 32, § 1; 1990, ch. 87, § 2; 2006, ch. 87, § 1.

The 2006 amendment substituted “predator management” for “predatory animal,” and inserted “predacious birds.”

Laws 2006, ch. 87, § 3, makes the act effective immediately upon completion of all acts necessary for a bill to become law as provided by art. 4, § 8, Wyo. Const. Approved March 23, 2006.

Quoted in

In re Gimlin, 403 P.2d 178, 1965 Wyo. LEXIS 146 (Wyo. 1965).

§ 11-6-207. District boards; record of proceedings and expenditures; monthly warrants issued by county for monies collected.

  1. The secretary-treasurer of each predator  management district shall keep a complete and accurate record of the  proceedings of the board.
  2. All salaries, expenses or bounties shall  be paid from the predator management district fund of the district  by the secretary-treasurer.
  3. All expenditures of the district shall  be supported by properly approved vouchers and supporting documents  in writing signed by the board president and any other director.
  4. The county treasurer shall issue monthly  warrants to the predator management district for all monies collected  in the county for the predator management district.

History. Laws 1943, ch. 36, § 10; C.S. 1945, § 56-2510; W.S. 1957, § 11-105; Laws 1971, ch. 167, § 1; W.S. 1977, § 11-6-307 ; Laws 1977, ch. 125, § 1; 1978, ch. 32, § 1; 2006, ch. 87, § 1.

The 2006 amendment substituted “predator management” for “predatory animal” in (a), (b), and (d).

Laws 2006, ch. 87, § 3, makes the act effective immediately upon completion of all acts necessary for a bill to become law as provided by art. 4, § 8, Wyo. Const. Approved March 23, 2006.

§ 11-6-208. District boards; annual report.

On or before October 1 of each year, the president and secretary-treasurer of each district board and each county treasurer shall make an annual report to their board of county commissioners showing all receipts and disbursement of district funds made by direction of the board during the preceding fiscal year. A report of the receipts, expenditures and financial transactions of the district shall be made as provided by W.S. 9-1-507 . The director of the state department of audit may call upon any district board or upon any county treasurer for further information relating to any predator management district.

History. Laws 1943, ch. 36, § 11; C.S. 1945, § 56-2511; W.S. 1957, § 11-106; W.S. 1977, § 11-6-308 ; Laws 1977, ch. 125, § 1; 1978, ch. 32, § 1; 1993, ch. 75, § 1; 2006, ch. 87, § 1; 2009, ch. 90, § 2.

The 2006 amendment, substituted “predator management” for “predatory animal.”

Laws 2006, ch. 87, § 3, makes the act effective immediately upon completion of all acts necessary for a bill to become law as provided by art. 4, § 8, Wyo. Const. Approved March 23, 2006.

The 2009 amendment, effective July 1, 2009, substituted “October 1” for “January 1” and “fiscal” for “calendar” preceding “year” in the first sentence.

Editor's notes. —

Laws 2009, ch. 90, § 4, effective July 1, 2009, provides: “It is the intent of this act to impose a fiscal year of July 1 through June 30 on all governmental entities in this state, including all agencies, boards, commissions, institutions, instrumentalities, political subdivisions and special districts, no matter how formed, unless specifically exempted or otherwise authorized by law. The intent of this act is to repeal any noncodified provision which conflicts with the provisions of this act, including but not limited to earlier adopted government reorganization acts. Any entity required to change its current fiscal year of operation may elect to extend its current fiscal year or shorten its current fiscal year and commence its next fiscal year on July 1, 2009 or July 1, 2010, as it finds most convenient and efficient for its circumstances.”

§ 11-6-209. Annual meetings of predator management boards.

Annual meetings for the election of members of boards of directors of predator management districts shall be called by the president of each board. The meetings shall be called by a notice published in the manner provided by W.S. 11-6-203 .

History. Laws 1943, ch. 36, § 6; C.S. 1945, § 56-2506; W.S. 1957, § 11-107; W.S. 1977, § 11-6-309 ; Laws 1977, ch. 125, § 1; 1978, ch. 32, § 1; 1990, ch. 87, § 2; 2006, ch. 87, § 1.

The 2006 amendment, substituted “predator management” for “predatory animal.”

Laws 2006, ch. 87, § 3, makes the act effective immediately upon completion of all acts necessary for a bill to become law as provided by art. 4, § 8, Wyo. Const. Approved March 23, 2006.

§ 11-6-210. Creation of predator management district fund; predator management fees; donations; appropriation by county commissioners.

  1. At the time of collecting brand inspection  fees imposed under W.S. 11-20-401 and 11-20-402 , the brand inspector shall collect predator management  fees on all sheep and cattle inspected within each predator management  district. However, predator management fees shall not be collected  on cattle and sheep shipped into this state for immediate sale or  slaughter. The amount of the fee for each predator management district  shall be established by each predator management district board in  consultation with the state predator management advisory board and  shall not exceed one dollar ($1.00) per head on sheep and cattle.  The directors elected pursuant to W.S. 11-6-202(a)(i) and (ii) from each predator management district board  shall annually determine the predator management fee to be charged  and collected in the district taking into consideration comments solicited  from the producers present at the district’s annual meeting as provided  for in W.S. 11-6-203 , who have paid predator management fees within the district  during the preceding twelve (12) months and shall inform the livestock  board of the fee prior to January 1 each year. The fee shall not be  collected on the same livestock more than once in any twelve (12)  month period. The livestock board may retain not to exceed five percent  (5%) of the revenues collected for the actual cost of collecting the  predator management fee. Remaining revenues collected by the livestock  board under this section shall be remitted to the state treasurer  for deposit in an account. The state treasurer, on a quarterly basis,  shall distribute the revenues to the county treasurer of the county  from which the shipment originated unless, at the time of payment  of the fees, the livestock owner designates the fees to be distributed  in total to another county in this state in which the livestock are  fed or pastured. The county treasurer shall deposit revenues distributed  under this subsection into a special continuing fund, to be known  as the “Predator Management District Fund of  . . . . . County” and to be administered by the predator management  board of that district.
  2. and (c) Repealed by Laws 1990, ch. 87, § 3.
  3. The district board may receive donations  and appropriations of money from any source, and such donations and  appropriations shall be placed in the district fund by the county  treasurer upon request of the district board. Nothing in W.S. 11-6-201 through 11-6-210 shall be construed to prohibit boards of county commissioners  from appropriating funds for the purpose of controlling predatory  animals and predacious birds, and such appropriation by boards of  county commissioners is authorized.
  4. Repealed by Laws 1990, ch. 87, § 3.
  5. Notwithstanding subsection (a) of this  section, the amount of the annual predator management fee for sheep  and cattle shipped into this state for confinement in a commercial  feedlot shall not exceed twenty-five cents ($0.25) per head on sheep  and cattle. For purposes of this subsection, “commercial feedlot”  means any place, establishment or facility commonly known as a feedlot  conducted, operated or managed for profit or nonprofit for livestock  producers, feeders or market agencies, consisting of pens and their  appurtenances, in which livestock are received, held, fed, cared for  or kept for sale or shipment in commerce. A pasture, field or other  enclosure, fenced or unfenced, shall not be considered a commercial  feedlot for purposes of this subsection. The predator management district  board shall have the authority to determine if a facility qualifies  as a commercial feedlot as defined in this subsection.
  6. Each predator management district board  shall annually allocate five percent (5%) of all predator management  fee collections to be used for refunds, in whole or in part. If a  refund is requested the board shall pay the refund within one hundred  twenty (120) days after the end of the calendar year in which the  fee was paid. Refunds under this subsection shall be subject to the  following:
    1. To be valid, the application for refund  shall be received no later than sixty (60) days after the end of the  calendar year in which the fee was paid;
    2. No person receiving a refund shall receive  any predatory animal control services funded in whole or in part by  the predatory animal control fees until that person has paid one hundred  fifty percent (150%) of all refunds received during the year in which  the services were sought and the three (3) preceding calendar years;  and
    3. All monies not paid in refunds shall annually  revert to the district predator management account on July 1 of the  following year.
  7. Notwithstanding subsection (a) of this  section, no predatory animal control fee shall be collected on livestock  shipped or trailed within this state if change of ownership does not  occur.
  8. Any person failing to pay the predator  animal control fee imposed by subsection (a) or (f) of this section  shall be punished as provided by W.S. 11-1-103 .
  9. In addition to the other fees imposed  by this section, any person paying the predator control fee may pay  an additional ten cents ($.10) per head to fund the predator management  activities of the Wyoming animal damage management board created by W.S. 11-6-303 . Any fees collected pursuant to this subsection shall  be deposited in the animal damage management account created by W.S. 11-6-306 .
  10. Repealed by Laws 2012, ch. 46, § 2.
  11. If a livestock producer requests predator  management services from the district board representing the county  in which the producer is pasturing or housing livestock, and no predator  management fees have been collected from the producer within the previous  twelve (12) months, or if the fees have been refunded, the board may  charge a service fee to recover reasonable and actual costs of the  predator management services provided.
  12. To be eligible to receive state funds,  the district shall assess and collect all available fees on livestock  in the district.

History. Laws 1943, ch. 36, § 7; 1945, ch. 8, § 2; C.S. 1945, § 56-2507; Laws 1950, Sp. Sess., ch. 11, § 1; W.S. 1957, § 11-108; Laws 1963, ch. 85, § 1; 1969, ch. 103, § 1; W.S. 1977, § 11-6-310 ; Laws 1977, ch. 125, § 1; 1978, ch. 32, § 1; 1990, ch. 87, §§ 2, 3; 1991, ch. 78, § 1; ch. 129, § 1; 1994, ch. 96, § 1; 1996, ch. 41, § 1; 1999, ch. 197, § 2; 2002 Sp. Sess., ch. 23, § 1; 2005, ch. 231, § 1; 2006, ch. 87, § 1, ch. 114, § 1; 2010, ch. 61, § 1; ch. 69, § 207; 2012, ch. 46, §§ 1, 2.

The 2005 amendment effective July 1, 2005, deleted “within the earmarked revenue fund” at the end of the third-to-last sentence in (a).

The 2006 amendments. —

The first 2006 amendment, by ch. 87, § 1, rewrote (a) regarding the elected directors and the collection of fees, changed fee dollar amounts and percentages, substituted “predator management” for “predatory animal” throughout; inserted “goats” in (a) and (f); inserted “and predacious birds” in (d); added (n) and (o); and made similar changes throughout.

The second 2006 amendment, by ch. 114, § 1, substituted “subsection” for “subsections” in (j).

Laws 2006, ch. 87, § 3, makes the act effective immediately upon completion of all acts necessary for a bill to become law as provided by art. 4, § 8, Wyo. Const. Approved March 23, 2006.

Pursuant to the conflicting laws provision in ch. 114, both have been given effect in their section as set out.

The 2010 amendments. —

The first 2010 amendment, by ch. 61, § 1, in (a) and (f), deleted all references to goats, and made related changes.

The second 2010 amendment, by ch. 69, § 207, effective July 1, 2010, deleted “After January 1, 1992” at the beginning of the introductory language of (g).

Laws 2010, ch. 61, § 2, makes the act effective immediately upon completion of all acts necessary for a bill to become law as provided by art. 4, § 8, Wyo. Const. Approved March 8, 2010.

While neither amendment gave effect to the other, both have been given effect in this section as set out above.

The 2012 amendment, effective July 1, 2012, substituted “one hundred twenty (120) days after the end of the calendar year in which the fee was paid” for “one hundred eighty (180) days of application” in the introductory language of (g); and repealed former (m) pertaining to special meetings of the predatory animal control board to adjust predatory animal control fees.

Editor's notes. —

There is no subsection (i) or (l) in this section as it appears in the printed acts.

Conflicting legislation. —

Laws 2005, ch. 231, § 3, provides: “The provisions of this act shall supersede the provisions of any other bill enacted into law during the 2005 general session which amends or references accounts or funds to the extent any other enactment is inconsistent with the establishment of the funds and accounts created under this act. The state auditor shall account for any fund or account created in any other legislation enacted in the 2005 general session in accordance with generally accepted accounting principles (GAAP) as promulgated by the governmental accounting standards board (GASB) and in accordance with this act.”

Laws 2006, ch. 114, § 3 provides: “[A]ny other act adopted by the Wyoming legislature during the same session in which this act is adopted shall be given precedence and shall prevail over the amendments in this act to the extent that such acts are in conflict with this act.”

For discussion of legislative history of section, see State ex rel. Albany County Weed & Pest Dist. v. Board of County Comm'rs, 592 P.2d 1154, 1979 Wyo. LEXIS 393 (Wyo. 1979).

Law reviews. —

For article, “Administration of the General Property Tax in Wyoming,” see 4 Wyo. L.J. 227.

Article 3. Wyoming Animal Damage Management Program

§ 11-6-301. Short title.

This article may be cited as the “Wyoming animal damage management program”.

History. Laws 1999, ch. 197, § 1.

Purpose of act. —

Laws 1999, ch. 197, § 3, provides: “The legislature finds and declares that it is important to the economy of the state to maximize agricultural production and at the same time, to promote, to protect and conserve the wildlife resources of the state.”

Laws 2003, ch. 112, § 3, directs the animal damage management board to develop and establish measurable goals and objectives with regard to refining the concept of integrated predator management. The board is to report to the governor and the joint agriculture, public lands and water resources interim committee, joint appropriations interim committee and the joint travel, recreation, wildlife and cultural resources interim committee on or before December 31 of each year to determine the progress the board has made toward achieving the goals and objectives it has established.

§ 11-6-302. Definitions.

  1. As used in this article:
    1. “Board” means the Wyoming animal damage  management board (ADMB);
    2. “Crop” or “agricultural crop” when not  otherwise defined by statute means corn, oats, wheat, barley, flax,  sorghums and other grains, potatoes, vegetables, forage legumes, hay,  and any other product of cultivation, trees, bees, honey and hives;
    3. “Damage” means any injury to or loss of  livestock, agricultural crops or wildlife inflicted by predatory animals,  predacious birds or depredating animals;
    4. “Depredating animal” means any trophy  game animal or furbearing animal that causes damage;
    5. “Furbearing animal” means badger, beaver,  bobcat, marten, mink, muskrat or weasel;
    6. “Livestock” means horses, mules, cattle,  swine, sheep, goats, poultry, guard animals or any other animal maintained  under domestication. Bison are considered livestock unless otherwise  designated by the Wyoming livestock board and the Wyoming game and  fish commission;
    7. “Person” means as defined by W.S. 8-1-102(a)(vi);
    8. “Predacious bird” means any predatory  avian species that is permitted to be taken under either Wyoming law  or federal law;
    9. “Predatory animal” means:
      1. Coyote, jackrabbit, porcupine, raccoon,  red fox, skunk or stray cat; and
      2. Until the date gray wolves are removed  from the list of experimental nonessential population, endangered  species or threatened species in Wyoming as provided by W.S. 23-1-108 , “predatory animal” includes wolves. After that date,  “predatory animal” shall include any gray wolf within areas of the  state where the state of Wyoming has jurisdiction for wildlife management,  but not within an area of the state in which the gray wolf is:
        1. Designated as a trophy game animal under W.S 23-1-101(a)(xii)(B)(I) or (II).
        2. Repealed by Laws 2012, ch. 25, § 2.
    10. “Trophy game animal” means:
      1. Black bear, grizzly bear or mountain lion;  and
      2. From and after the date gray wolves are  removed from the list of experimental nonessential population, endangered  species or threatened species in Wyoming as provided by W.S. 23-1-108 :
        1. “Trophy game animal” shall include any  gray wolf within those areas where gray wolves are designated as trophy  game animals as provided in W.S 23-1-101(a)(xii)(B)(I) or (II).
        2. Repealed by Laws 2012, ch. 25, § 2.
    11. “Wildlife” means all wild mammals, birds,  fish, amphibians, reptiles, crustaceans and mollusks, and wild bison  designated by the Wyoming game and fish commission and the Wyoming  livestock board within this state;
    12. “Take” means as defined by W.S. 23-1-102(a)(vii).
  2. Repealed by Laws 2012, ch. 25, § 2.

History. Laws 1999, ch. 197, § 1; 2003, ch. 115, § 2; 2006, ch. 87, § 1; 2007, ch. 168, § 3; 2012, ch. 25, §§ 1, 2.

The 2006 amendment, substituted “any predatory avian species that is permitted to be taken under either Wyoming law or federal law” for “English sparrow and starling” in (a)(viii), added (a)(xii), and made a related change.

Laws 2006, ch. 87, § 3, makes the act effective immediately upon completion of all acts necessary for a bill to become law as provided by art. 4, § 8, Wyo. Const. Approved March 23, 2006.

The 2007 amendment, updated internal references in (ix)(B)(II) and (x)(B)(I) of (a), rewrote (a)(x)(B)(I), and added (b).

The 2012 amendment, in (a), added “within areas of the state where the state of Wyoming has jurisdiction for wildlife management, but” in the introductory language of (a)(ix), substituted “W.S. 23-1-101(a)(xii)(B)(I) or (II)” for “subdivision (x)(B)(I) of this subsection” in (a)(ix)(B)(I), repealed former (a)(ix)(B)(II) which read: “Classified as a trophy game animal by the game and fish commission pursuant to W.S. 23-1-304(a),” rewrote (a)(x)(B)(I) to substitute a reference to a statutory section for formerly detailed description, repealed former (a)(x)(B)(II) which defined “trophy game animal” pursuant to W.S. 23-1-304(a), made stylistic changes; and repealed former (b) which authorized the governor to direct the game and fish commission to adopt boundaries between the area in which the wolf is treated as a trophy game animal and where it is treated as a predator in order to achieve federal government delisting of the gray wolf.

Laws 2012, ch. 25, § 4, makes the act effective immediately upon completion of all acts necessary for a bill to become law as provided by art. 4, § 8, Wyo. Const. Approved March 7, 2012.

Editor's notes. —

There is no subsection (b) in this section as it appears in the printed acts.

Subdivisions (a)(ix)(B)(II) and (x)(B)(I) and (II) of this section were amended and subsection (b) was added by 2007 Wyoming Session Laws, Chapter 168, which provided the act was effective on and after July 1, 2007 only upon certification by the Governor to the Secretary of State of the occurrence of specified acts. On February 27, 2008, in accordance with W.S. 23-1-109(f), the Governor filed with the Secretary of State his certification that all acts necessary for 2007 House Enrolled Act 123 (2007 Wyoming Session Laws, Chapter 168) to become effective have occurred. On November 19, 2007 the Governor certified that in accordance with subsection (b) of this section the trophy game management boundary line for the gray wolf has been changed and that the new boundary line is set forth on pages 4 and 5 of the Wyoming Gray Wolf Management Plan (November, 2007). Subsequent to the certifications by the Governor, actions by the U.S. Fish and Wildlife Service and federal district court rulings have vacated the publication upon which the initial certification was based. The statute has been published in accordance with the Governor's certifications.

§ 11-6-303. Animal damage management board (ADMB) created; composition; appointment; terms; vacancies; compensation.

  1. There is created the animal damage management  board for the purposes of mitigating damage caused to livestock, wildlife  and crops by predatory animals, predacious birds and depredating animals  or for the protection of human health and safety. The board may mitigate  damage caused by depredating animals by and through a memorandum of  understanding with the Wyoming game and fish commission. The board  shall be composed of twelve (12) members appointed by the governor  as follows:
    1. The director of the Wyoming department  of agriculture;
    2. The director of the Wyoming game and fish  department;
    3. One (1) domestic sheep producer;
    4. One (1) cattle producer;
    5. The state director for the United States  department of agriculture, animal and plant health inspection service,  wildlife services (USDA/APHIS/WS);
    6. Two (2) members representing the interests  of sportsmen, outfitters and hunters, not more than one (1) of these  members shall be appointed to represent the interests of outfitters;
    7. The president of the state predator management  advisory board created under W.S. 11-6-201 ;
    8. One (1) member from an urban area;
    9. One (1) member from the Wyoming game and  fish commission;
    10. One (1) member of the Wyoming board of  agriculture; and
    11. One (1) member representing the interests  of nonconsumptive users of the state’s wildlife resource.
  2. A representative from the United States  forest service (USFS), the United States fish and wildlife service  (USFWS) and United States bureau of land management (BLM) shall serve  as exofficio nonvoting members of the board.
  3. The directors of the departments of agriculture  and game and fish shall serve as co-chairs of the ADMB and shall give  general direction to the ADMB and the ADMB administrative officer.
  4. The director of the department of agriculture  or his designee shall serve as the ADMB’s administrative officer and  carry out the ADMB’s administrative functions.
  5. Except for the directors of the departments  of agriculture and game and fish, the state director for the United  States department of agriculture, animal and plant health inspection  service, wildlife services (USDA/APHIS/WS), and the president of the  state predator management advisory board created under W.S. 11-6-201 , the remaining members of the board shall hold office  for staggered terms of four (4) years. For the remaining members of  the initial board, four (4) members shall be appointed for a term  of four (4) years, four (4) members shall be appointed for a term  of two (2) years. Each appointed member shall be limited to serving  on the board for eight (8) consecutive years, however, a member may  be reappointed after a four (4) year absence. Each member shall hold  office until his successor is appointed and has been qualified. As  terms of current ADMB members expire, the governor shall appoint each  new member or reappointed member to a four (4) year term.
  6. When a vacancy occurs in the membership  for any reason, a replacement shall be appointed for the unexpired  term.
  7. Attendance of six (6) members at a duly  called meeting shall constitute a quorum for the transaction of official  business. The ADMB shall convene at the times and places prescribed  by the chair.
  8. Members of the board who are not government  employees shall receive no compensation or benefits for their services,  but may receive per diem and expenses incurred in the performance  of the member’s official duties at the established state rate, to  be paid from the animal damage management account.
  9. Members may decline to receive per diem  and expenses for their service.
  10. State government officer and employee  members who do not receive salary, per diem, or expenses from their  agency for their service may receive per diem and expenses incurred  in the performance of their official duties from the ADMB at the established  state rate, to be paid from the animal damage management account.
  11. State government official and employee  members may decline to receive per diem and expenses for their service.

History. Laws 1999, ch. 197, § 1; 2006, ch. 87, § 1.

The 2006 amendment substituted “predator management” for “predatory animal” in (a)(vii) and (e).

Laws 2006, ch. 87, § 3, makes the act effective immediately upon completion of all acts necessary for a bill to become law as provided by art. 4, § 8, Wyo. Const. Approved March 23, 2006.

Editor's notes. —

There is no subsection (i) or (l) in this section as it appears in the printed acts.

§ 11-6-304. ADMB responsibilities; animal damage management policy; rules; methods to manage predatory animals, predacious birds, depredating animals and rabid wildlife; manner of calling meetings; frequency.

  1. The ADMB is responsible for the formulation  of the damage prevention management policy of the state, and by and  through an executed memorandum of understanding (MOU) with the Wyoming  game and fish commission is responsible for management of rabid wildlife,  crop, livestock and wildlife damage done by depredating animals and  wildlife damage by predatory animals and predacious birds. The ADMB  in conjunction with its responsibility may, consistent with the Wyoming  Administrative Procedure Act adopt rules to implement policies administered  by the ADMB. After consultation with the livestock board and the department  of health, the ADMB shall promulgate rules pertaining to rabies prevention  in wildlife including surveillance, public education, vaccination  protocol, post-exposure procedures and quarantines. The ADMB may enter  into the agreements with law enforcing agencies to carry out the quarantine  provisions. Nothing in this article shall preempt the Wyoming game  and fish commission authority to manage wildlife or determine damage  pursuant to any provision in title 23.
  2. In its deliberations the ADMB shall:
    1. Entertain requests for assistance in order  to allow mitigation of predator damage;
    2. Specify programs designed to prevent damage  by predatory animals, rabid wildlife, predacious birds and depredating  animals to livestock, agricultural crops, wildlife, property, human  health and safety;
    3. Provide various degrees of predatory animal,  predacious bird and depredating animal damage management services  to individual agricultural livestock and crop producers, landowners,  lessors or administrators, and to urban, residential and industrial  property owners. Damage management services shall also be provided  and conducted for the benefit of wildlife populations and human health  and safety;
    4. Specify methods for the prevention and  management of damage and for the selective control of predatory animals,  rabid wildlife, predacious birds and depredating animals;
    5. Maintain responsibility and appropriate  funds for the purpose of providing damage prevention and management  to agricultural livestock and crops, wildlife, property and human  health and safety caused by predatory animals, rabid wildlife, predacious  birds and depredating animals;
    6. Cooperate with federal, state and county  governments, educational institutions and private persons or organizations  to effectuate agricultural and wildlife damage and rabid wildlife  prevention policies;
    7. Develop memorandums of understanding between  the Wyoming department of agriculture and the Wyoming game and fish  commission and the United States department of agriculture, animal  and plant health inspection service, wildlife services (USDA/APHIS/WS)  to accommodate funding sources and administrative guidelines for the  program;
    8. Consider any recommendations received  from the Wyoming game and fish commission and the Wyoming department  of agriculture.
  3. The ADMB shall conduct meetings in accordance  with its established policy, but shall meet at least once each year  in the month of January.
  4. The ADMB may adopt rules and regulations  necessary for carrying out the purpose and provisions of this article.  The ADMB may appoint employees and assistants as necessary and fix  their compensation. The ADMB may enter into cooperative agreements  with boards of county commissioners, predator management districts,  federal or state agencies or other commissions, organizations or associations  for the purpose of managing predatory animals, rabid wildlife, predacious  birds and depredating animals. Predator management district boards  which choose not to enter into a cooperative agreement with the ADMB  shall not be precluded from continuing with, or entering into, a cooperative  agreement or memorandum of understanding with the United States department  of agriculture, animal and plant health inspection service, wildlife  services (USDA/APHIS/WS), other entities of government, organizations  or associations. This act [Wyoming Animal Damage Management Program]  is not intended and shall not replace, rescind, modify nor cancel  cooperative agreements or cooperative service agreements between the  USDA/APHIS/WS and the county predator management districts created  under W.S. 11-6-201 through 11-6-210 .
  5. The ADMB may elect to provide various  degrees of predator damage management services to any other person  pursuant to a separately negotiated cooperative agreement.
  6. The board shall investigate, test and  refine the concept and practices of integrated predator management.  The board shall develop and establish measurable goals and objectives.  The board shall report to the governor and the joint agriculture,  public lands and water resources interim committee and joint appropriations  interim committee on or before November 30 of each year to determine  the progress the board has made toward achieving the goals and objectives  it has established. The report shall also include actions taken, the  accomplishments and state monies expended by each county predator  management board participating in state funding.

History. Laws 1999, ch. 197, § 1; 2002 Sp. Sess., ch. 43, § 1; 2006, ch. 87, § 1; 2008, ch. 44, § 1; 2011, ch. 19, § 1.

The 2006 amendment substituted “predator management” for “predatory animal control” and made a similar change in (d).

Laws 2006, ch. 87, § 3, makes the act effective immediately upon completion of all acts necessary for a bill to become law as provided by art. 4, § 8, Wyo. Const. Approved March 23, 2006.

The 2008 amendment, added (f).

Laws 2008, ch. 44, § 4, makes the act effective immediately upon completion of all acts necessary for a bill to become law as provided by art. 4, § 8, of the Wyo. Const. Approved March 5, 2008.

The 2011 amendment, effective July 1, 2011, in (f), inserted “and practices,” substituted “November 30” for “December 31,” and added the present last sentence.

Conflicting legislation. —

Laws 2008, ch. 44, § 3, provides: “Any other act adopted by the Wyoming legislature during the same session in which this act is adopted shall be given precedence and shall prevail over the amendments in this act to the extent that such acts are in conflict with this act.”

Wyoming Administrative Procedure Act. —

See § 16-3-101(a), (b)(xi).

§ 11-6-305. Wyoming animal damage management board funding; sources; methods of collection.

  1. and (b) Repealed by Laws 2020, ch. 48, § 2.
  2. The ADMB may receive money for predatory  animal, predacious bird and depredating animal management from the  federal government, state appropriations, counties, agencies, boards,  associations, commissions, individuals and any other cooperators,  and may expend monies to purchase supplies, materials, services, and  to employ or contract personnel for predatory animal, predacious bird  and depredating animal damage management. The ADMB may make supplies,  materials, services and personnel available to cooperators at approximate  cost.

History. Laws 1999, ch. 197, § 1; 2003, ch. 112, § 1; 2004, ch. 36, § 1; 2010, ch. 69, § 207; 2020, ch. 48, § 2.

The 2004 amendment, effective January 1, 2005, in (a) substituted “fifty cents ($.50)” for “twenty-five cents ($.25).”

The 2010 amendment, effective July 1, 2010, in (a), deleted “Effective January 1, 2000” at the beginning.

The 2020 amendment, effective January 1, 2021, repealed (a) and (b), which read “(a) There is created a ‘wildlife damage management’ stamp. The stamp, issued at licensed selling agents as designated by the Wyoming game and fish commission may be purchased voluntarily. Proceeds from the sale of the stamp, excluding fifty cents ($.50) which the agent shall retain for each stamp sold, shall be deposited by the state treasurer into the animal damage management account created by W.S. 11-6-306 . The Wyoming game and fish commission shall retain the fees related to those administrative costs which are required to design and print stamps, and collect, account for and disburse these funds to the ADMB. The Wyoming game and fish commission shall annually provide to the ADMB a complete and detailed accounting of all administrative costs and fees. (b) The purchase price for the stamp shall be determined annually by the ADMB in whole dollar increments and established at such a level to meet financial obligations as budgeted.”

§ 11-6-306. Animal damage management account.

  1. There is created the animal damage management  account.
  2. Money received under W.S. 11-6-305 shall be deposited by the state treasurer in the animal  damage management account to be appropriated for the purposes provided  in this article.
  3. Any supplemental contributions received  by the department from livestock owners for predatory animal, predacious  bird or depredating animal damage management programs or the prevention  and management of rabid wildlife shall be deposited into the animal  damage management account.
  4. The animal damage management account shall  be administered for the ADMB by the Wyoming department of agriculture.

History. Laws 1999, ch. 197, § 1; 2002 Sp. Sess., ch. 43, § 1; 2005, ch. 231, § 1.

Cross references. —

As to payment to the landowner for antelope, deer, and elk killed on federal or state land, see § 23-3-105 .

The 2005 amendment, effective July 1, 2005, deleted “in the special revenue fund” in (a).

Appropriations. —

Laws 2003, ch. 112, § 4, appropriates from the general fund a one-time appropriation of $125,000.00 to the animal damage management account. This one-time appropriation is not to be included in the department of agriculture's standard budget request for the 2005-2006 biennium.

Conflicting legislation. —

Laws 2005, ch. 231, § 3, provides: “The provisions of this act shall supersede the provisions of any other bill enacted into law during the 2005 general session which amends or references accounts or funds to the extent any other enactment is inconsistent with the establishment of the funds and accounts created under this act. The state auditor shall account for any fund or account created in any other legislation enacted in the 2005 general session in accordance with generally accepted accounting principles (GAAP) as promulgated by the governmental accounting standards board (GASB) and in accordance with this act.”

§ 11-6-307. Board to request funding from game and fish commission.

The board shall annually request two hundred thousand dollars ($200,000.00) from the Wyoming game and fish commission. These funds shall be expended for wildlife priorities. The game and fish commission shall provide recommendations to the board regarding expenditure of these funds. Priority shall be given to projects that directly involve predator control that will have the greatest benefit to wildlife or will reduce the cost to the department for animal damage payments.

History. Laws 1999, ch. 197, § 1; 2020, ch. 48, § 1.

The 2020 amendment, effective January 1, 2021, substituted “two hundred thousand dollars ($200,000.00)” for “one hundred thousand dollars ($100,000.00)” and “shall provide” for “may provide” and added the last sentence.

§ 11-6-308. District boards; relation to ADMB; duties generally.

  1. Each predator management district board  shall:
    1. Exercise general supervision in determining  local priorities for the management of predatory animals and predacious  birds that prey upon and destroy livestock, other domestic animals,  wildlife and crops;
    2. Devise and put in operation those methods  that best manage predatory animals and predacious birds;
    3. Administer funds received to carry out  the animal damage management program;
    4. Maintain existing financial and physical  resources;
    5. Provide input to the ADMB.

History. Laws 1999, ch. 197, § 1; 2006, ch. 87, § 1.

The 2006 amendment substituted “predator management” for “predatory animal” in (a).

Laws 2006, ch. 87, § 3, makes the act effective immediately upon completion of all acts necessary for a bill to become law as provided by art. 4, § 8, Wyo. Const. Approved March 23, 2006.

Editor's notes. —

There is no subsection (b) in this section as it appears in the printed acts.

§ 11-6-309. Predator management district participation with the ADMB.

  1. Except as provided in subsection (b) of this section, if the predator management district has elected to participate in providing funding or upon approval of the ADMB, other in-kind resources, to the animal damage management account, the district may solicit funds or receive services from the ADMB under separate negotiated agreement. Two (2) or more districts may jointly solicit funds or receive services from the ADMB for purposes of this section.
  2. Whether or not a predator management district  has elected to participate in providing funding to the animal damage  management account, the district may solicit funds or receive services  from the ADMB for control of gray wolves designated as predatory animals.
  3. In any area of the state not under the  jurisdiction of a county predatory animal board, eligible applicants  for funds appropriated to the animal damage management board for the  purpose of controlling wolves designated as predatory animals include  state or county agencies.

History. Laws 1999, ch. 197, § 1; 2006, ch. 87, § 1; 2012, ch. 25, § 1; 2020, ch. 48, § 1.

The 2006 amendment substituted “predator management” for “predatory animal.”

Laws 2006, ch. 87, § 3, makes the act effective immediately upon completion of all acts necessary for a bill to become law as provided by art. 4, § 8, Wyo. Const. Approved March 23, 2006.

The 2012 amendment, redesignated the existing provisions as (a); added “Except as provided in subsection (b) of this section” in (a); and added (b) and (c).

Laws 2012, ch. 25, § 4, makes the act effective immediately upon completion of all acts necessary for a bill to become law as provided by art. 4, § 8, Wyo. Const. Approved March 7, 2012.

The 2020 amendment, effective January 1, 2021, in (a) added the last sentence.

§ 11-6-310. Applicability of chapter.

This article, unless contrary to federal law, shall apply to all federal, state and private lands.

History. Laws 1999, ch. 197, § 1.

§ 11-6-311. Exemptions.

The state predator management advisory board or the ADMB may exempt persons from payment of the imposed fees when the respective board determines that livestock as defined in this act [Wyoming Animal Damage Management Program] are permanently confined within pens or corrals within incorporated city limits where animal damage control activity by state or federal agencies is prohibited or severely restricted.

History. Laws 1999, ch. 197, § 1; 2006, ch. 87, § 1.

The 2006 amendment substituted “predator management” for “predatory animal.”

Laws 2006, ch. 87, § 3, makes the act effective immediately upon completion of all acts necessary for a bill to become law as provided by art. 4, § 8, Wyo. Const. Approved March 23, 2006.

§ 11-6-312. Cooperative agreements generally.

The ADMB may enter into cooperative agreements with other governmental agencies, counties, associations, corporations or individuals for carrying out the purposes of this article.

History. Laws 1999, ch. 197, § 1.

§ 11-6-313. [Repealed.]

Repealed by Laws 2008, ch. 39, § 1.

Editor's notes. —

This section, which derived from Laws 1999, ch. 197, § 1 and Laws 2003, ch. 112, § 1, related to the expiration date of this article.

Laws 2008, ch. 39, § 2, makes the act effective July 1, 2008.

Chapter 7 Apiary Registration and Inspection

Am. Jur. 2d, ALR and C.J.S. references. —

Liability for injury or damage caused by bees, 86 ALR3d 829.

Keeping bees as nuisance, 88 ALR3d 992.

Beekeeping regulation: validity and construction, 55 ALR4th 1223.

Article 1. General Provisions

§§ 11-7-101 through 11-7-117. [Repealed.]

Repealed by Laws 1979, ch. 64, § 2.

Editor's notes. —

These sections, which derived from Laws 1925, ch. 148, §§ 19 through 31, related to apiary inspections.

§§ 11-7-118 through 11-7-129. [Repealed.]

Repealed by Laws 1983, ch. 7, § 2.

Editor's notes. —

These sections, which derived from Laws 1979, ch. 64, § 1, contained the Wyoming Agricultural Act of 1979.

§ 11-7-130. Short title.

This chapter may be cited as the “Wyoming Apiculture Act”.

History. Laws 1983, ch. 7, § 1; 2010, ch. 14, § 2.

The 2010 amendment, effective July 1, 2010, deleted “of 1983” at the end.

§ 11-7-131. Definitions.

  1. As used in this chapter:
    1. “Apiary” means a place where one (1) or  more colonies of bees or one (1) or more hives containing honeycombs  or bee combs are kept;
    2. “Bee diseases” means American or European  foulbrood, sacbrood, bee paralysis or other disease or abnormal condition  of the egg, larval, pupal or adult stages of bees, including bee parasites  and bee pests;
    3. “Bees” means any stage of the life cycle  in the genus Apis;
    4. “Colony” means the bees, hive and all  equipment used in connection with the hive;
    5. “Comb” means the brood chamber used by  the queen for the protection of brood;
    6. “Department” means the department of agriculture;
    7. “Equipment” means hives, supers, frames,  veils, gloves or any apparatus, tools, machines or other devices used  in the handling and manipulation of bees, honey, wax and hives and  includes any container of honey and wax which may be used in an apiary  or in transporting bees and their products and apiary supplies;
    8. “Family unit” means two (2) or more persons  living together or residing in the same dwelling, house or other place  of residence;
    9. “General apiary” means any apiary other  than a pollination apiary, landowner apiary or hobbyist apiary;
    10. “Hive” means a frame hive, box hive, box,  barrel, log gun, skep or other receptacle or container or a part of  a container, natural or artificial, which may be used as a domicile  for bees;
    11. “Hobbyist apiary” means an apiary owned  by a hobbyist beekeeper;
    12. “Hobbyist beekeeper” means a person who  owns a total of not more than five (5) hives;
    13. “Landowner” means the person who has the  actual use and exclusive possession of the land upon which a landowner  apiary is to be registered, except that a person leasing or renting  land for the primary purpose of locating or establishing an apiary  thereon is not considered a landowner;
    14. “Landowner apiary” means an apiary owned  by a landowner as defined in this section;
    15. “Person” means any individual, association,  partnership or corporation;
    16. “Pollination apiary” means an apiary operated  for pollination of commercial seed, fruit or other commercial agricultural  product as provided in W.S. 11-7-203 ;
    17. “Queen apiary” means an apiary or premises  in which queen bees are reared or kept for sale or gift;
    18. “Bee parasites” means mites, including  but not limited to varroa mites and tracheal mites;
    19. “Bee pests” means insects, including but  not limited to small hive beetles and red imported fire ants;
    20. “General beekeeper” means a person who  owns more than five (5) hives and manages and operates the bees and  the hives;
    21. “Global positioning system or GPS” means  a device that provides accuracy in positioning using latitude and  longitude coordinates;
    22. “Holding yard” means an area where colonies  are temporarily placed prior to leaving the state or returning from  pollination in another state;
    23. “Spray yard” means a temporary location  where colonies are moved prior to any pesticide application in the  area of the beekeeper’s registered location.

History. Laws 1983, ch. 7, § 1; 2010, ch. 14, § 2.

The 2010 amendment, effective July 1, 2010, added “including bee parasites and bee pests” in (a)(ii); substituted “life cycle” for “bees” in (a)(iii); inserted “bees” in (a)(iv); and added (a)(xviii) through (a)(xxiii).

Editor's notes. —

There is no subsection (b) in this section as it appears in the printed acts.

§ 11-7-132. Disposition of fees.

Registration and inspection fees collected under this chapter shall be transmitted by the department to the state treasurer for deposit in the general fund.

History. Laws 1983, ch. 7, § 1.

§ 11-7-133. Penalties.

Any person who violates any provision of this chapter is guilty of a misdemeanor and upon conviction shall be fined not more than five hundred dollars ($500.00) or imprisoned in the county jail for not more than six (6) months, or both. Each day the violation continues constitutes a separate offense.

History. Laws 1983, ch. 7, § 1.

Article 2. Registration

§ 11-7-201. Apiary registration; procedure; information; conditions; penalties.

  1. Any person who owns or possesses any class  of apiary in this state shall register that apiary with the department  before April 1 of each year.
  2. Application for registration shall be  made to the department on forms it prescribes and furnishes and shall  include:
    1. The applicant’s name and address;
    2. The total number of colonies of bees the  beekeeper owns;
    3. The location of the apiary, setting forth  specifically the location by sectional division to the nearest quarter  section, the township and range and the latitude and longitude coordinates,  or if within the corporate limits of a municipality, the number of  the lot and block in the municipality including street address and  the latitude and longitude coordinates determined using GPS. All new  registrations shall include latitude and longitude coordinates. Effective  July 1, 2012, latitude and longitude coordinates shall be required  for all apiary registrations;
    4. The name of the owner, renter or occupant  of the land on which the apiary is located and, if the application  is for an apiary being registered for the first time, it shall also  show that the owner, renter or occupant of the land has consented  to the apiary being located on his land;
    5. The date the apiary was first established  which shall be included for each location on yearly apiary renewal  applications; and
    6. The class of apiary registration for which  application is being made.
  3. Upon receipt of the application and payment  of the fees, the department may issue a certificate of registration  for an apiary, setting forth:
    1. The name of the owner;
    2. The specific location of the apiary; and
    3. The class of apiary authorized.
  4. In issuing certificates of registration  for apiaries, if there is a conflict between applicants with respect  to location, the department shall give preference to the applicant  having the oldest, continuous apiary registration.
  5. Certificates of registration shall not  be issued for new apiaries which are within such close proximity to  established registered apiaries that there is danger of spread of  bee diseases, bee parasites or bee pests or that the proximity may  interfere with the proper feeding and honey flow of established apiaries.
  6. Each apiary registrant shall post in a  conspicuous location at or near each apiary he owns legible evidence  of registration, including his name and telephone number.
  7. The department shall notify each registrant  of his delinquency, if that registrant fails to reregister by April  1 of each year. The notification shall be by certified mail and is  sufficient if deposited in a United States post office or mail box  at least ten (10) days before May 1 and addressed to the registrant  at his last address appearing in the department’s apiary registration  files. Any apiary registration which has not been received by May  1 of each year is forfeited and all rights under the registration  terminate.
  8. Any person who owns or possesses any bees,  hives, colonies or beekeeping equipment in this state or who owns  or possesses an apiary in this state and who fails or refuses to register  that apiary as provided in this chapter is guilty of a misdemeanor  and upon conviction thereof is subject to the penalties set forth  in W.S. 11-7-133 .
  9. Repealed by Laws 2010, ch. 14, § 3.

History. Laws 1983, ch. 7, § 1; 2010, ch. 14, §§ 2, 3.

The 2010 amendment, effective July 1, 2010, in (b)(ii), inserted “total” and substituted “the beekeeper owns” for “hives and equipment in the apiary”; in (b)(iii), inserted “the latitude and longitude coordinates, or” and “and the latitude and longitude coordinates determined using GPS,” and added the last two sentences; inserted “which shall be included for each location on yearly apiary renewal applications” in (b)(v); substituted “bee diseases, bee parasites or bee pests” for “disease” in (e); and repealed former (j) which read: “Nothing in this chapter shall be construed as invalidating, canceling, amending, terminating or extending any certificate of registration the department issued prior to May 27, 1983. All certificates of registration issued prior to that date remain in effect, until January 31, 1984 subject to forfeiture, lapse, abandonment and termination in the manner provided by law.”

§ 11-7-202. General apiary registrations.

  1. In order to control, limit and prevent  the spread of bee diseases, bee parasites or bee pests among bees,  hives and apiaries and to control, limit and prevent interference  with proper feeding and honey flow of established apiaries, general  apiaries registered to different persons shall be located at least  two (2) miles apart, except as otherwise provided in this article.  The department shall not register or issue a certificate of registration  for any general apiary that is located less than two (2) miles from  a general apiary registered to another person, except as otherwise  provided in this section.
  2. Any person may register a general apiary  that is situated less than two (2) miles from another general apiary  he has registered, if the location of the general apiary being applied  for is at least two (2) miles from general apiaries registered to  other persons.
  3. A general apiary may be registered even  though it is less than two (2) miles from any registered pollination  apiary, landowner apiary or hobbyist apiary.
  4. A person with an existing apiary that  is located less than two (2) miles from an existing general apiary  registered to another person may register his apiary as a general  apiary under the following conditions:
    1. His apiary is established and registered  with the department as a general apiary under the department’s rules  in effect prior to December 31, 2009; and
    2. The registration of his apiary has not  been forfeited or abandoned.

History. Laws 1983, ch. 7, § 1; 2010, ch. 14, § 2.

The 2010 amendment, effective July 1, 2010, substituted “bee parasites or bee pests” for “and other contagious or infectious diseases” in (a); and substituted “December 31, 2009” for “May 27, 1983” in (d)(i).

§ 11-7-203. Pollination apiary registrations.

  1. The department may grant pollination apiary  registrations to commercial seed and fruit producers or other commercial  agricultural producers under the following conditions:
    1. The applicant must own, lease or rent  the land upon which the pollination apiary is to be located and the  applicant must use the land for the purpose of growing a commercial  seed, fruit or other crop which is dependent upon bees or other insects  for pollination;
    2. The applicant does not own the bees or  the hives which are to be placed upon the pollination apiary;
    3. The only purpose of the apiary is to pollinate  a commercial agricultural crop;
    4. The applicant shall provide the department  with all pertinent information necessary to determine if pollination  apiaries are needed to pollinate the applicant’s crop adequately;
    5. The department may refuse to register  a pollination apiary based upon its own investigation of the matter,  but if the department approves the application, it shall specify the  number of hives and location of pollination apiaries needed for the  purpose of pollinating the applicant’s commercial agricultural crop  adequately; and
    6. A copy of the pollination contract between  the seedgrower and beekeeper shall be sent to the department.
  2. A pollination apiary registration is valid  only for the time period the department specifies, and all pollination  apiaries shall be removed within two (2) weeks after the end of the  bloom period of the crop to be pollinated.
  3. No certificate of registration of a pollination  apiary may be leased, assigned or transferred and no person other  than the pollination apiary registrant may exercise in any way any  rights or privileges authorized by the certificate of registration.

History. Laws 1983, ch. 7, § 1.

§ 11-7-204. Landowner apiary registrations.

  1. The department may grant landowner apiary  registrations under the following conditions:
    1. The applicant shall be a landowner, as  defined in W.S. 11-7-131(a)(xiii) and shall own the land upon which the apiary will be  located;
    2. The applicant shall own the bees and the  hives that will be placed on the apiary; and
    3. The applicant shall personally manage  and operate the bees and the hives.
  2. No certificate of registration of a landowner  apiary shall be leased, assigned or transferred and no person other  than the landowner apiary registrant shall exercise in any way any  rights or privileges authorized by the certificate of registration.

History. Laws 1983, ch. 7, § 1.

§ 11-7-205. Hobbyist apiary registrations.

  1. The department may grant hobbyist apiary  registrations to hobbyist beekeepers under the following conditions:
    1. The applicant shall not own a total of  more than five (5) hives, and all of the hives must be placed on the  hobbyist apiary;
    2. The applicant shall own the bees and the  hives and shall personally manage and operate the bees and the hives;
    3. Only one (1) hobbyist registration is  allowed an applicant and only two (2) hobbyist apiary registrations  are allowed a family unit; and
    4. If the department determines that too  many hobbyist apiaries are being registered within too close proximity  of each other or of other established apiaries so that there is danger  of the spread of bee diseases, bee parasites or bee pests among bees  or apiaries or that there will be interference with the proper feeding  and honey flow of established apiaries, the department may refuse  to grant any further hobbyist registrations in the locality and area  of the danger.
  2. No certificate of registration of a hobbyist  apiary may be leased, assigned or transferred, and no person other  than the hobbyist apiary registrant may exercise in any way any rights  or privileges authorized by the certificate of registration.

History. Laws 1983, ch. 7, § 1; 2010, ch. 14, § 2.

The 2010 amendment, effective July 1, 2010, substituted “bee parasites or bee pests” for “or other contagious or infectious diseases” in (a)(iv).

§ 11-7-206. Restrictions on apiary locations.

Pollination apiaries, landowner apiaries and hobbyist apiaries may be located less than two (2) miles from pollination apiaries, landowner apiaries, hobbyist apiaries and general apiaries registered to other persons. General apiaries may be located within two (2) miles of one another only under the provisions of W.S. 11-7-202 .

History. Laws 1983, ch. 7, § 1.

§ 11-7-207. Changing locations; enlarging or selling apiaries.

  1. No owner of an established registered  apiary shall change the location of the apiary without first receiving  from the department authorization to establish the new apiary. In  making the application, the owner shall specify the location of the  apiary with the same particularity as in the application for original  registration. If the new apiary is not used according to W.S. 11-7-211 , the certificate of registration lapses and all rights  under the registration terminate. Registrations for new apiaries shall  not be issued for greater areas than the applicant can show are reasonably  necessary for his needs consistent with good beekeeping practice.
  2. A registered apiary may be sold or transferred  to a purchaser subject to applicable provisions of this chapter if  all bees and equipment on the apiary are sold to the purchaser.
  3. No person may increase the number of hives  on an apiary to exceed the number of hives consistent with good beekeeping  practices authorized by his certificate of registration for that apiary,  except that a person may increase the number of hives on a general  apiary beyond the number authorized by the certificate of registration  in order to protect his bees and hives from bears or other predators.  A person may also enlarge a general apiary during the spring buildup  and in the fall after the end of the honey season in order to gather  his bees for shipment out of the state or to winter his bees on that  apiary.

History. Laws 1983, ch. 7, § 1.

Cross references. —

As to normal buildup and honey producing season, see § 11-7-210(a).

§ 11-7-208. New locations; evidence of owner's or manager's permission.

Any person registering a new location for the first time shall have the approval signature of the landowner or manager thereof indicating that the landowner has given permission to place an apiary on his property.

History. Laws 1983, ch. 7, § 1.

§ 11-7-209. Minimum number of colonies.

All registered bee locations must consist of not less than ten (10) colonies of bees during a minimum of forty-five (45) or more continuous days during any part of normal buildup or honey producing period of the year. This provision does not apply to beekeepers who own a total of less than five (5) colonies of bees registered in only one (1) apiary.

History. Laws 1983, ch. 7, § 1.

Cross references. —

As to the normal buildup and honey producing season, see § 11-7-210(a).

§ 11-7-210. Normal buildup and honey producing season; registration time; voiding registration.

  1. The normal buildup and honey producing  season begins on May 1 and continues through September 30.
  2. The regular registration time consists  of the months of February through April.
  3. The established way for voiding the registration  of an apiary shall be initiated and completed by January 31 during  the same registration year that the apiary was not in use.

History. Laws 1983, ch. 7, § 1.

§ 11-7-211. Forfeit of registration; termination of rights; disposition of equipment.

  1. The registration of an apiary which is  not stocked with bees during at least forty-five (45) continuous days  of the normal buildup or honey producing season is forfeited and all  rights under the certificate of registration terminate.
  2. An apiary not regularly attended in accordance  with good beekeeping practice, which comprises a hazard or threat  to disease control in the beekeeping industry or which by reason of  its physical condition or construction cannot be inspected, may be  considered an abandoned apiary and may be seized by the department.  Any diseased equipment or equipment which by reason of its physical  condition or construction cannot be inspected may be burned, and any  remaining equipment may be sold at public auction. Proceeds, after  the cost of the sale is deducted, shall be returned to the former  owner or his estate. Before burning or selling any equipment, the  department shall give the owner or person in charge a written notice  at least five (5) days before the burning or sale. The notice shall  be given by certified mail or personal service upon the owner or person  in charge of the property. If the owner or person in charge cannot  be located, a certified letter sent to the owner’s last address registered  with the department is sufficient notice under this section.

History. Laws 1983, ch. 7, § 1.

§ 11-7-212. Registration fees.

  1. Each year before a certificate of registration  may be issued for an apiary, the owner or applicant for the certificate  shall pay the department a registration fee in the amount authorized  by W.S. 11-1-104 , with the exception of those apiaries classified as hobbyist  apiaries, which will be issued a nonfee certificate of registration.
    1. through (xi) Repealed  by Laws 1993, ch. 135, § 3.
  2. Repealed by Laws 1993, ch. 135, § 3.

History. Laws 1983, ch. 90, § 1; W.S. 1977, § 11-7-202 ; 1993, ch. 135, §§ 2, 3.

Editor's notes. —

This section was enacted by Laws 1983, ch. 90, as § 11-7-202 , but it has been renumbered to conform to the revision of this chapter by Laws 1983, ch. 7.

§ 11-7-213. Holding yard apiary location.

  1. The department may grant a certificate  of registration for a temporary holding yard location to provide an  area for holding hives prior to and after returning from pollination  of a commercial agricultural crop in another state.
  2. A temporary holding yard location shall  not be used for planned honey production.
  3. A general beekeeper shall provide the  department location information for all temporary holding yard locations  by designating the yard name and latitude and longitude coordinates  which shall be included on the yearly renewal application and designated  with “HY” for holding yard, as the authorized class.
  4. A colony may be held at a temporary holding  yard location for not more than two (2) months during the spring and  for not more than two (2) months during the fall.

History. Laws 2010, ch. 14, § 1.

§ 11-7-214. Spray yard apiary location.

  1. The department may grant a certificate  of registration for a spray yard apiary location to provide an area  for holding hives during pesticide application to allow a safe haven  for the health and safety of the bees.
  2. A spray yard apiary location shall not  be used for planned honey production.
  3. Any hive shall not be held at a spray  yard apiary location for more than sixteen (16) days after any pesticide  application and the hive then shall be returned to the registered  location.
  4. A general beekeeper shall notify the department  or the apiary inspector when hives are moved to spray yard apiary  locations.

History. Laws 2010, ch. 14, § 1.

§ 11-7-215. Variance agreements.

  1. Upon request from a general beekeeper,  the department may enter into a variance agreement with the general  beekeeper because of drought conditions, crop rotation, conservation  reserve program acres or other unforeseen circumstances adverse to  a yard location.
  2. Following a thorough investigation of  each request under subsection (a) of this section, the department  shall determine whether or not to enter into the requested variance  agreement. If granted, a variance agreement shall contain an expiration  date, after which the bees shall be returned to the original registered  location. Failure to return the bees to the original registered apiary  location shall cause that registered apiary location to be forfeited.
  3. Signed copies of a variance agreement  between a beekeeper and the department shall be on file in the department’s  Cheyenne office and with the area apiary inspector and the beekeeper.

History. Laws 2010, ch. 14, § 1.

Article 3. Inspection and Certification — Apis Bees

§ 11-7-301. Apiaries; powers and duties of the department.

  1. To prevent the spread of bee diseases,  bee parasites or bee pests among bees and apiaries, to protect apiaries  against depredation by wildlife and to assist law enforcement agencies  in an effort to alleviate losses due to theft, the department may:
    1. Order the transfer of colonies of bees  from hives or containers which cannot be properly examined for brood  or other bee diseases, bee parasites or bee pests to other hives or  containers;
    2. Order disinfection of any bee, beehive,  brood comb or any other equipment which is infected or contaminated  and burn any infected or contaminated bee, beehive, brood comb or  any other equipment if, in its judgment, disinfection will not remove  the infection or contamination. Before burning any property, the department  shall give the owner or person in charge a written notice at least  ten (10) days before the date on which the property will be burned.  The notice shall be given by certified mail or personal service upon  the owner or person in charge of the property;
    3. Quarantine any apiary where foulbrood  or any contagious or infectious bee diseases, bee parasites or bee  pests are present and, during the quarantine, prevent the removal  from the apiary of any bees or equipment except under a special permit  issued by the department permitting the removal under conditions it  prescribes. A person may not sell or offer for sale any apiary, bees  or equipment which are under quarantine unless the department issues  a permit authorizing the sale or removal. Written notice of quarantine  shall be posted by the department, owner or person in charge at the  quarantined apiary at a conspicuous place, and a copy shall be personally  served or sent by certified mail to the owner of the apiary or person  in charge. The quarantine continues in effect until it is ordered  removed and a copy of the removal order served in the same manner;
    4. Inspect any apiary, hives, equipment or  premises for the presence of bee diseases, bee parasites or bee pests.  Hives belonging to persons owning apiaries within the state shall  be inspected for contagious diseases according to schedules established  by the department. Apiary inspectors shall establish the date for  the inspection of any apiary with the beekeeper. The inspection date  shall be agreeable to the inspector and the beekeeper and shall include  a total of seven (7) consecutive days upon which the inspection can  be undertaken due to weather and unforeseen circumstances. Any beekeeper  responsible for an apiary who refuses an inspection on any of the  seven (7) agreed upon dates is subject to penalties provided pursuant  to W.S. 11-7-133 ;
    5. Order the hives within an apiary which  is not legally registered with the state to be confiscated. The owner  of the apiary shall be notified at least seven (7) days prior to the  date of confiscation. Notification shall be by certified mail addressed  to the last known address of the owner or by personal service upon  the owner;
    6. Promulgate and enforce rules adopted to  carry out the purpose of this chapter;
    7. Enter into agreements with the game and  fish commission as necessary to protect bees and hives against wild  animals;
    8. Assist any sheriff, peace officer or district  attorney in any county in the discharge of their duties or investigations  relating to the apiary industry.
  2. Any owner of bees possessing more than  fifty (50) colonies shall furnish one (1) helper to assist the inspector.  Apiary inspectors may inspect bee colonies at any time without previous  notice.
  3. Any person failing to comply with a rule,  order or provision of a quarantine pursuant to this section is subject  to penalties provided in W.S. 11-7-133 .

History. Laws 1983, ch. 7, § 1; 1996, ch. 33, § 1; 2004, ch. 130, § 1; 2010, ch. 14, § 2.

The 2004 amendment, in (a)(v), substituted “service upon” for “service to.”

Laws 2004, ch. 130, § 4, makes the act effective immediately upon completion of all acts necessary for a bill to become law as provided by art. 4, § 8, Wyo. Const. Approved March 19, 2004.

The 2010 amendment, effective July 1, 2010, substituted “bee diseases, bee parasites or bee pests” for “contagious and infectious disease” in introductory language of (a); substituted “bee diseases, bee parasites or bee pests” for “diseases” in (a)(i) and (a)(iii); in (a)(iv), substituted “bee diseases, bee parasites or bee pests” for “disease” in the first sentence, and added the third through fifth sentences.

Conflicting legislation. —

Laws 2004, ch. 130, § 3, provides: “Any other act adopted by the Wyoming legislature during the same session in which this act is adopted shall be given precedence and shall prevail over the amendments in this act to the extent that such acts are in conflict with this act.”

§ 11-7-302. Importation of bees, combs or hives.

  1. A beekeeper shall notify the department  and request an inspection to be conducted at any specified registered  location or holding yard not later than fourteen (14) days after entry  of any colony into this state. Following an inspection for colony  health, the department may issue an export certificate for any colony  imported into Wyoming. An export certificate is valid for one (1)  year and allows export from and re-entry into Wyoming at any port  of entry.
  2. Bees shipped on combless packages or in  packages on new frames and new foundation are not prohibited.
  3. Comb honey in sections intended for human  consumption is not prohibited.
  4. All package bees shipped into Wyoming  shall be accompanied by an affidavit stating that no honey has been  used for food in transit. It is unlawful for anyone shipping queen  bees in cages into this state to use any honey for queen cage foods.
  5. If an official Wyoming apiary inspector  finds that any bees imported into the state have infectious or contagious  diseases within fourteen (14) days after arrival, the apiary inspector  shall destroy the diseased bees and equipment.

History. Laws 1983, ch. 7, § 1; 2001, ch. 106, § 1; 2010, ch. 14, § 2.

The 2010 amendment, effective July 1, 2010, rewrote (a), deleting the former first four sentences, substituting “A beekeeper shall” for “Upon entry into this state, an owner must,” and adding the last two sentences.

Article 4. Alfalfa Leaf-Cutter Bee

§ 11-7-401. Definitions.

  1. As used in this act:
    1. “Bee” means any stage in the life cycle  of a bee of the species Megachile rotundata (F), commonly known as  the alfalfa leaf-cutter bee;
    2. “Certification” means the process of analyzing  bees and equipment by the department to determine whether they meet  the required health standards;
    3. “Department” means the department of agriculture;
    4. “Equipment” means trays, incubators, cell  removers, tumblers and other apparatus used in rearing bees excluding  nesting materials;
    5. “Nesting materials” means shelters, laminates,  polyblocks, drilled boards or any other product which leaf-cutter  bees actually use for nesting;
    6. “Parasite” means an organism living in  or on any stage of the alfalfa leaf-cutter bee obtaining nutriment  from the body of the bee or nesting material;
    7. “Pathogen” means an organism, parasite  or otherwise, that causes disease in the alfalfa leaf-cutter bee;
    8. “Wild trap” means to trap bees on property  not owned by the trapper;
    9. “This act” means W.S. 11-7-401 through 11-7-407 ;
    10. “Sanitization” means any treatment including  iodine, heat, chlorine or any other method approved by the department.

History. Laws 1983, ch. 110, § 1; W.S. 1977, § 11-7-201 ; Laws 1997, ch. 101, § 1.

Editor's notes. —

This section was enacted by Laws 1983, ch. 110, as § 11-7-201 , but it has been renumbered to conform to the revision of this chapter by Laws 1983, ch. 7.

There is no subsection (b) in this section as it appears in the printed acts.

§ 11-7-402. Duties and powers of department.

  1. The department shall:
    1. Administer this act;
    2. By rule or regulation adopt minimum standards  for the presence of pathogens and parasites in bees to be certified,  imported and possessed or controlled in this state;
    3. Whenever it has reasonable cause to believe  a person is in possession of any diseased or parasitized bee or equipment  or otherwise possesses any bee or equipment in violation of this act  or rules adopted under this act, order a quarantine of the suspected  bees or equipment and may require any person in possession of such  bees to hold them under specified conditions until notified otherwise  in writing;
    4. Release any quarantine or order to hold  bees upon a finding that the bees and equipment are possessed in compliance  with this act.
  2. The department may:
    1. Enter into agreements with other governmental  agencies or private associations in carrying out the provisions of  this act;
    2. Enter upon any public or private premises  to inspect and sample bees or equipment that may be diseased or parasitized;
    3. Quarantine any bees or equipment found  to be infected with pathogens or parasites at a level exceeding certification  standards;
    4. Order the sanitization or destruction  of any bees or equipment that is infected with parasites or pathogens  and that does not meet certification standards.

History. Laws 1983, ch. 110, § 1; W.S. 1977, § 11-7-202 ; Laws 1997, ch. 101, § 1.

Editor's notes. —

This section was enacted by Laws 1983, ch. 110, as § 11-7-202 , but it has been renumbered to conform to the revision of this chapter by Laws 1983, ch. 7.

Meaning of “this act.” —

For the definition of “this act,” referred to in this section, see § 11-7-401(a)(ix).

§ 11-7-403. Annual certification; application; inspection of sample; recertification; fees.

  1. No person shall import, possess or control  alfalfa leaf-cutter bees in this state unless the bees are certified  annually under this section.
  2. To certify bees, a person shall file a  completed application form provided by the department together with  the certification and laboratory fees. Certification and laboratory  fees shall be established by the department for each pound of bees  certified. The applicant must provide at least the following:
    1. Name and place of residence;
    2. The general location and number of bees  to be registered; and
    3. Other relevant information as required  by department regulation.
  3. After receipt of an application for certification,  a sample of the total population of bees to be certified shall be  selected by the department or its agent in a manner prescribed by  the department. The sample shall be inspected for pathogens and parasites.  If no pathogens or parasites in excess of certification standards  are found, the sample shall be reported within certifiable limits.
  4. When the department receives a completed  application form, a certification fee and a report that the sample  is within certifiable limits, it shall issue a certificate for the  bees.
  5. The department shall specify the date  by which any applicant must apply for recertification the following  year.
  6. Fees collected under this act shall be  deposited into a separate account and expended for administration  and enforcement of this act. In administering and enforcing the provisions  of this act, the department, by a separately negotiated agreement  with another governmental agency or a private association as authorized  by W.S. 11-7-402(b)(i), may make the fees available for expenditure by that  agency or association. Any such agency or association shall be required  to submit an annual budget to the department for its review and approval  prior to the expenditure of any funds under this section.

History. Laws 1983, ch. 110, § 1; W.S. 1977, § 11-7-203 ; Laws 1997, ch. 101, § 1; 2005, ch. 47, § 1; ch. 231, § 1.

The 2005 amendments. —

The first 2005 amendment, by ch. 47, § 1, effective July 1, 2005, in (f), added the last two sentences.

The second 2005 amendment, by ch. 231, § 1, effective July 1, 2005, substituted “a separate account” for “an account in the earmarked revenue fund” in (f).

See the conflicting legislation note. This section is set out incorporating the amendments by both 2005 acts.

Editor's notes. —

This section was enacted by Laws 1983, ch. 110, as § 11-7-203 , but it has been renumbered to conform to the revision of this chapter by Laws 1983, ch. 7.

Meaning of “this act.” —

For the definition of “this act,” referred to in this section, see § 11-7-401(a)(ix).

Conflicting legislation. —

Laws 2005, ch. 231, § 3, provides: “The provisions of this act shall supersede the provisions of any other bill enacted into law during the 2005 general session which amends or references accounts or funds to the extent any other enactment is inconsistent with the establishment of the funds and accounts created under this act. The state auditor shall account for any fund or account created in any other legislation enacted in the 2005 general session in accordance with generally accepted accounting principles (GAAP) as promulgated by the governmental accounting standards board (GASB) and in accordance with this act.”

§ 11-7-404. Importation restrictions.

  1. No bee shall be imported into this state  except under the provisions of this section.
  2. Prior to the importation of any bee, the  importer shall file a completed application form as required under W.S. 11-7-403(b) and arrange a date and time for inspection.
  3. Prior to certification, each bee and associated  transport equipment shall be quarantined.
  4. No bee shall be imported except in loose  cells or as adults. No bee shall be imported in a drilled board, soda  straw or other equipment that prevents adequate inspection of the  bee.
  5. A representative sample of the population  of bees imported shall be inspected as the basis for certification.
  6. No person shall import used nesting materials.
  7. No bee shall be certified unless all other  requirements for certification under W.S. 11-7-403 are met.
  8. Used metal or plastic equipment may be  imported with prior written notice to the department. Used equipment  shall be sanitized prior to entry into this state and immediately  after entry as provided by W.S. 11-7-401(a)(x).
  9. Any person not already owning or having  leaf-cutter bees in Wyoming who imports leaf-cutter bees for the first  time into an area where no leaf-cutter bees have previously been placed  by that person shall meet the standards for unconditional leaf-cutter  bee certification established by rules and regulations adopted by  the department.

History. Laws 1983, ch. 110, § 1; W.S. 1977, § 11-7-204 ; Laws 1997, ch. 101, § 1.

Editor's notes. —

This section was enacted by Laws 1983, ch. 110, as § 11-7-204 , but it has been renumbered to conform to the revision of this chapter by Laws 1983, ch. 7.

There is no subsection (i) in this section as it appears in the printed acts.

§ 11-7-405. Restrictions on rearing, moving and trapping bees; permits; fees.

  1. No person shall rear any bee in a nesting  material from which samples of loose larval cells cannot readily be  obtained such as drilled boards or soda straws.
  2. No person shall move any quarantined bee  or equipment except by special permit issued by the department.
  3. No person may wild trap or attempt to  wild trap bees unless that person has been issued a permit to wild  trap in accordance with rules adopted by the department.
  4. The permits under subsections (b) and  (c) of this section shall be issued under rules adopted by the department.  The department shall by rule establish a reasonable fee for each permit.

History. Laws 1983, ch. 110, § 1; W.S. 1977, § 11-7-205 ; 2010, ch. 69, § 207.

The 2010 amendment, effective July 1, 2010, in (a), deleted “except drilled boards may be used until April 1, 1984” at the end.

Editor's notes. —

This section was enacted by Laws 1983, ch. 110, as § 11-7-205 , but it has been renumbered to conform to the revision of this chapter by Laws 1983, ch. 7.

§ 11-7-406. Penalty.

Any person who violates this act is guilty of a misdemeanor punishable by a fine of not more than seven hundred fifty dollars ($750.00). Each day a violation of this act continues is a separate offense.

History. Laws 1983, ch. 110, § 1; W.S. 1977, § 11-7-206 .

Editor's notes. —

This section was enacted by Laws 1983, ch. 110, as § 11-7-206 , but it has been renumbered to conform to the revision of this chapter by Laws 1983, ch. 7.

Meaning of “this act.” —

For the definition of “this act,” referred to in this section, see § 11-7-401(a)(ix).

§ 11-7-407. Laboratory authorized; fees for services.

The department may develop and maintain a laboratory at the University of Wyoming agriculture extension center at Powell to provide analytical services required under this act and may authorize the laboratories to provide services to persons possessing bees or equipment by charging a fee equal to the cost of providing those services.

History. Laws 1983, ch. 110, § 1; W.S. 1977, § 11-7-207 .

Editor's notes. —

This section was enacted by Laws 1983, ch. 110, as § 11-7-207 , but it has been renumbered to conform to the revision of this chapter by Laws 1983, ch. 7.

Meaning of “this act.” —

For the definition of “this act,” referred to in this section, see § 11-7-401(a)(ix).

Chapter 8 Packaging, Labeling and Advertising of Honey

§ 11-8-101. Definition of honey; improper labeling prohibited.

  1. “Honey” means the nectar and saccharine  exudation of plants, gathered, modified and stored in the comb by  honey bees, which is levorotatory, containing not more than twenty-five  percent (25%) water, not more than twenty-five hundredths percent  (.25%) ash, and not more than eight percent (8%) sucrose.
  2. It is unlawful to sell or offer for sale  any product which resembles honey and which is labeled, advertised  or otherwise represented to be honey, if it is not honey. The word  “imitation” shall not be used in the name of a product which resembles  honey whether or not it contains any honey. The label for a product  which does not resemble honey but which contains honey may include  the word “honey” in the name of the product, and the relative position  of the word “honey” in the product name, and in the list of ingredients  when required, shall be determined by its prominence as an ingredient  in the product.

History. Laws 1975, ch. 3, § 1; W.S. 1957, §§ 11-121.1, 11-121.2; W.S. 1977, §§ 11-8-101 , 11-8-102 ; Laws 1978, ch. 32, § 1.

§ 11-8-102. Penalty.

A violation of W.S. 11-8-101 is a misdemeanor, and any person convicted thereof shall be fined not more than one hundred dollars ($100.00), imprisoned in the county jail not more than ninety (90) days, or both.

History. Laws 1975, ch. 3, § 1; W.S. 1957, § 11-121.3; W.S. 1977, § 11-8-103; Laws 1978, ch. 32, § 1.

Chapter 9 Nursery Stock

Power to regulate nursery stock. —

State may establish and enforce regulations governing inspection and sale of nursery stock, eradication of fruit pests and prohibiting sales without license. Welch v. Nelson, 23 Wyo. 409, 152 P. 788, 1915 Wyo. LEXIS 41 (Wyo. 1915).

Am. Jur. 2d, ALR and C.J.S. references. —

3 Am. Jur. 2d Agriculture §§ 16, 35, 52.

3 C.J.S. Agriculture §§ 65, 68.

§ 11-9-101. Definitions.

  1. As used in W.S. 11-9-101 through 11-9-109 :
    1. “Nursery” means any ground, place or establishment  where nursery stock is grown, offered for sale, sold, distributed  or is offered as part of a landscape service;
    2. “Nursery stock” means:
      1. All field-grown, greenhouse-grown or collected  wild stock of woody plants such as fruit, forest, windbreak, shade  and ornamental trees, shrubs or vines for fruit production, ornamental  or protective plantings and herbaceous perennials used as ornamentals;
      2. All plants, rooted cuttings and plants  with roots attached grown from bulbs, corms, tubers, rhizomes or other  vegetative parts, whether produced out-of-doors or under glass and  whether grown in open ground or in benches, boxes, pots or other containers;
      3. All bulbs, corms, pips, rhizomes, tubers,  roots, cuttings, scions, grafts or other vegetative parts of plants;  and
      4. All ground cover, including sod, plugs  and vegetative mulches and compost.
    3. “Nursery stock” shall not include prohibited,  restricted, regulated or designated noxious weeds;
    4. “Nursery stock dealers” means any person  who obtains nursery stock to be offered for sale or distribution;
    5. “Nursery stock salesman” means any person  selling, distributing or soliciting orders for delivery of nursery  stock directly to the ultimate consumer from a supply on hand at a  location other than a nursery stock dealer’s place of business;
    6. “Injurious insect” means any animal of  the phylum Arthropoda known to be injurious to agricultural or horticultural  plants;
    7. “Other pest” means any animal of the phyla  Mollusca or Nematoda or parasitic plant, plant parasite or other vector  known to be injurious to agricultural or horticultural plants;
    8. “Plant disease” means any fungi, bacteria,  or virus injurious to plants and plant products;
    9. “Plant inspection or health certificate”  means a legal document issued by the department or the plant regulatory  agency of another state declaring that the nursery stock being sold  or distributed is apparently free of injurious insects, plant diseases,  other pests and prohibited, restricted, regulated or designated noxious  weeds;
    10. “Vector” means an insect, plant or other  organism that transmits an insect, fungus, virus, bacterium or other  infection;
    11. “Designated noxious weed” means as defined  in W.S. 11-5-102(a)(xi);
    12. “Substantially free” means any injurious  insect, other pest or plant disease is not locatable in groups or  not affecting more than one percent (1%) of the nursery stock.
  2. These definitions do not include cut Christmas  trees, cut flowers, seeds, seed potatoes or plant parts grown or offered  for consumption as human food or as feed for animals.
  3. Age, when stated on any advertisement,  label or sign in connection with the sale or offering for sale or  distribution of nursery stock, shall be stated in years from time  at which such nursery stock was propagated and each shall indicate  the completion in autumn of one (1) seasonal growth period.

History. Laws 1961, ch. 56, § 1; W.S. 1957, § 11-125.1; Laws 1978, ch. 32, § 1; 2007, ch. 106, § 2.

The 2007 amendment, effective July 1, 2007, in (a), substituted “11-9-109” for “11-9-108” in the introductory language, inserted (ii)(D), (iii), (vii), (ix) through (xii) and redesignated the remaining subsections accordingly, substituted “or is offered as part of a landscape service” for “or distributed” in (i), deleted “berry” preceding “plants” in (ii)(B), substituted “or horticultural” for “or ornamental” in present (vi), substituted “or virus” for “nematode, virus or plant parasite” in present (viii); and made stylistic and related changes.

§ 11-9-102. License requirements and fees for dealers and salesmen; disposition of fees.

  1. No person shall engage in the business  of selling, offering for sale or distributing nursery stock within  Wyoming without first obtaining a license from the state department  of agriculture. The fee for a license shall be the fee authorized  by W.S. 11-1-104 .
  2. Upon application for a resident nursery  stock dealer license and payment of the required fee, the director,  or an authorized inspector shall inspect the premises and stock of  the applicant and shall issue the license if the inspection shows  the premises and stock to be substantially free or apparently free  from injurious insects, plant diseases or other pests and free of  prohibited, restricted, regulated or designated noxious weeds.
  3. If the inspection reveals the premises  or stock not to be substantially free or apparently free of injurious  insects, plant diseases, other pests or prohibited, restricted, regulated  or designated noxious weeds, the nursery stock shall be removed or  quarantined from sale and a written plan of action to remedy the condition  by treatment, control actions or destruction shall be presented to  the inspector within one (1) working day. The nursery shall be inspected  again within a time agreed upon by the director, or his authorized  agent, and the dealer and noted in writing on the plan, but no later  than fifteen (15) days after the previous inspection. Upon subsequent  inspection the nursery stock shall be substantially free or apparently  free from the injurious insects, plant diseases and other pests and  free from prohibited, restricted, regulated or designated noxious  weeds in order to be released for sale. Failure to comply with this  subsection shall subject the dealer to the penalties provided in W.S. 11-9-108 or 11-9-109 .
  4. No person shall act as a nursery stock  salesman without first securing a license from the state department  of agriculture. The fee for a license shall be the fee authorized  by W.S. 11-1-104 .
  5. No nonresident shall sell, take orders  to sell, offer for sale or distribute nursery stock which has been  grown outside this state without first securing a license from the  department of agriculture. The license fee for each establishment  shipping nursery stock into Wyoming shall be the fee authorized by W.S. 11-1-104 . No license shall be granted to a nonresident unless  the applicant agrees to furnish with each shipment of nursery stock  an affidavit stating that the nursery stock to be sold, offered for  sale or transported into Wyoming has been inspected by the proper  state, district or county officials of the state of origin and found  free from injurious insects, plant diseases and prohibited, restricted,  regulated or designated noxious weeds.
  6. Licenses granted to nursery stock dealers  or salesmen expire on March 31 of each year. All license fees collected  shall be deposited in the general fund.
  7. Charitable and educational institutions  shall be exempt from licensing requirements imposed by this section.

History. Laws 1961, ch. 56, § 2; W.S. 1957, § 11-125.2; Laws 1978, ch. 32, § 1; 1993, ch. 135, § 2; ch. 191, § 3; 2007, ch. 106, §§ 2, 4.

The 2007 amendment, effective July 1, 2007, deleted “or transporting” preceding “nursery” in (a); in (b), inserted “substantially free or,” substituted “other pests and free of prohibited, restricted, regulated or designated noxious weeds” for “primary noxious or designated weeds”; inserted (c) and redesignated the remaining subsections accordingly; in present (d), inserted “fee for a,” and deleted “granted if the applicant shows evidence of knowledge of the nursery stock industry and pays” following “licence shall be”; substituted “prohibited, restricted, regulated or designated noxious weeds” for “noxious or designated weeds” in present (e); in present (f), deleted “within or outside of Wyoming” preceding “expire on March 31” and substituted “of each year” for “next following date of issue”; added (g); and made a stylistic change.

§ 11-9-103. Right of entry of authorized persons for inspection.

The director, or his authorized agents, during reasonable business hours, may enter upon or into any premises, lands, establishments or places in this state where they suspect that injurious insects, other pests, plant diseases or prohibited, restricted, regulated or designated noxious weeds occur for the purpose of inspecting, controlling or exterminating insects or diseases or otherwise carrying out the provisions of W.S. 11-9-101 through 11-9-109 .

History. Laws 1961, ch. 56, § 3; W.S. 1957, § 11-125.3; Laws 1978, ch. 32, § 1; 1993, ch. 191, § 3; 2007, ch. 106, § 2.

The 2007 amendment, effective July 1, 2007, inserted “other pests,” inserted “prohibited, restricted, regulated or designated,” deleted “or designated” preceding “weeds”, and substituted “11-9-109” for “11-9-108.”

§ 11-9-104. Shipping inspection certificate; health certificate; public carriers not to accept stock without affidavit.

  1. Any person receiving directly or indirectly  any nursery stock which is not accompanied by a valid shipping inspection  certificate shall notify the department of the arrival of such stock,  the kinds and amounts of the stock, and the name of the consignor,  and shall hold the stock until inspected and released by the department.
  2. Public carriers shall not accept for shipment  nursery stock that does not bear a proper affidavit showing apparent  freedom from injurious insect, plant diseases, other pests and prohibited,  restricted, regulated or designated noxious weeds.
  3. Any person shipping, selling or distributing  nursery stock from out of state shall furnish with each shipment of  nursery stock a plant inspection or health certificate stating that  the nursery stock to be sold, offered for sale or distributed into  Wyoming has been inspected and issued a plant inspection or health  certificate by the state of origin.
  4. Resident nursery stock dealers shall request  an inspection of any nursery stock to be shipped out of Wyoming. An  annual inspection shall be sufficient for the purposes of this subsection.  The department shall issue a plant inspection or health certificate  after inspection by the department of the premises and nursery stock.

History. Laws 1961, ch. 56, § 4; W.S. 1957, § 11-125.4; Laws 1978, ch. 32, § 1; 2007, ch. 106, § 2.

The 2007 amendment, effective July 1, 2007, in (b), inserted “injurious,” deleted “pests,” preceding “plant disease,” inserted “other pests,” inserted “prohibited, restricted, regulated or designated” and deleted “or designated” preceding “weeds”; added (c) and (d); and made related changes.

§ 11-9-105. Nursery stock for sale; condition generally.

  1. All nursery stock sold or offered for  sale shall be in a sound, healthy condition and shall be stored and  displayed under conditions which will maintain its vigor. Nursery  stock which is dead or so seriously weakened that it will not grow  with normal vigor when given reasonable care shall not be sold or  offered for sale.
  2. All nursery stock to be sold, offered  for sale or distributed shall be substantially free or apparently  free of any injurious insects, plant diseases, other pests or prohibited,  restricted, regulated or designated weeds.

History. Laws 1961, ch. 56, § 5; W.S. 1957, § 11-125.5; Laws 1978, ch. 32, § 1; 2007, ch. 106, § 2; 2008, ch. 3, § 1.

The 2007 amendment, effective July 1, 2007, redesignated the former provisions as (b) and added (a).

The 2008 amendment, effective July 1, 2008, in (b), inserted “to be sold, offered for sale or distributed,” deleted “and shall not be sold, offered for sale or distributed” at the end; and made a stylistic change.

§ 11-9-106. Sale of nursery stock; labels required; identification of stock.

  1. All nursery stock offered for sale, sold,  distributed or transported in Wyoming shall be labeled plainly and  legibly, either by common or botanical names. When grade-size classifications  are declared, they must be in compliance with those established by  the department.
  2. Nursery stock on display for sale may  be labeled by a suitable sign on a block of stock of the same kind  and species. In order to properly identify nursery stock being delivered  or transported to any purchaser, at least one (1) label bearing the  botanical or common name, or both, shall be attached to each separate  species or variety, except when delivered to the purchaser on the  premises and sold from a block of stock labeled with a suitable sign.

History. Laws 1961, ch. 56, § 6; W.S. 1957, § 11-125.6; Laws 1978, ch. 32, § 1.

§ 11-9-107. Rules and regulations by director of agriculture; objections.

The director may issue and enforce rules, regulations and definitions to implement the provisions of W.S. 11-9-101 through 11-9-109 , subject to the Wyoming Administrative Procedure Act.

History. Laws 1961, ch. 56, § 7; W.S. 1957, § 11-125.7; Laws 1978, ch. 32, § 1; 1993, ch. 191, § 3; 2007, ch. 106, § 2.

Cross references. —

Wyoming Administrative Procedure Act, see § 16-3-101(a), (b)(xi).

The 2007 amendment, effective July 1, 2007, substituted “11-9-109, subject to the Wyoming Administrative Procedure Act” for “11-9-108” and deleted the former last sentence, pertaining to filing objections before final adoption of rules.

§ 11-9-108. Cease and desist orders; quarantine; confiscation; destruction or removal of nursery stock; hearing; final orders; enforcement.

  1. The department is authorized to issue  cease and desist orders to any nursery stock dealer, quarantine any  place of nursery stock business or order confiscation, destruction  or removal from the state, of any nursery stock the department determines  poses a serious risk of introducing or spreading injurious insects,  plant diseases, other pests or prohibited, restricted, regulated or  designated noxious weeds within the state.
  2. All notices and orders required to be  served by the department under this article shall be served by certified  mail, return receipt requested, to the last known address of the nursery  stock dealer or may be served as provided by the Wyoming rules of  civil procedure. The notice of an order issued by the department under  this article shall include:
    1. A statement of the grounds for issuing  the order, including a citation of the statute or rule involved;
    2. A statement of the supporting facts;
    3. A statement informing the nursery stock  dealer subject to the order of the right to a hearing on the order  before the director, right of appeal of any subsequent order in accordance  with the Wyoming Administrative Procedure Act and that failure to  timely request a hearing shall result in the order becoming final;  and
    4. A copy of the order.
  3. A request for a hearing on a proposed  order issued by the department under this article shall be in writing  and shall be submitted to the director no later than seven (7) days  after receipt of the notice from the department. The director shall  hold the hearing not later than fifteen (15) days after receipt of  the request for hearing, unless the nursery stock dealer subject to  the proposed order requests an extension of time for good cause shown.
  4. A hearing on a proposed order issued under  this article shall be a contested case hearing conducted in accordance  with the Wyoming Administrative Procedure Act. After the hearing,  the director shall issue findings of fact and conclusions of law and  a final decision either confirming or dismissing the proposed order.  The director shall confirm a proposed order only if the director finds  by a preponderance of the evidence that grounds exist under this article  for issuing the proposed order. Otherwise, the director shall dismiss  the proposed order. If the director confirms a proposed order it shall  become a final order.
  5. The department shall serve a final order  upon the nursery stock dealer who is the subject of the order. The  final order shall take effect upon service and shall remain in effect  until the department or a court of competent jurisdiction terminates  the final order. The nursery stock dealer who is the subject of the  final order may appeal the issuance of the final order in accordance  with Wyoming Administrative Procedure Act.
  6. On or after the effective date of a final  order under this article, the attorney general, upon request from  the department, may apply to the district court of the county in which  the nursery is located or the county where the violations of this  article occurred, for enforcement of the final order.

History. Laws 2007, ch. 106, § 1.

Editor's notes. —

Laws 2007, ch. 106, § 3, effective July 1, 2007, renumbered former § 11-9-108 as § 11-9-109 .

Effective dates. —

Laws 2007, ch. 106, § 5, makes the act effective July 1, 2007.

§ 11-9-109. Penalty for violation of provisions.

  1. Any person who violates any provision  of W.S. 11-9-101 through 11-9-109 or any rule or regulation issued pursuant thereto is  guilty of a misdemeanor and shall be fined not more than seven hundred  fifty dollars ($750.00) for each offense, and may have any license  issued to them under such statutes suspended or revoked. Each day  shall constitute a separate violation.
  2. Any person found guilty of violating any  provision of W.S. 11-9-101 through 11-9-109 , shall reimburse the state for the cost of any treatments,  control actions, quarantine, confiscation, destruction or removal  of any nursery stock from the state resulting from the violation.  Amounts collected under this subsection shall be paid to the department  of agriculture technical services division account.

History. Laws 1961, ch. 56, § 8; W.S. 1957, § 11-125.8; Laws 1978, ch. 32, § 1; 2007, ch. 106, § 3.

The 2007 amendment, effective July 1, 2007, in (a), substituted “11-9-109” for “11-9-108,” substituted “more” for “less,” substituted “seven hundred fifty dollars ($750.00)” for “twenty-five dollars ($25.00) or more than one hundred dollars ($100.00),” and added the last sentence; added (b); and made related changes.

Editor's notes. —

Laws 2007, ch. 106, § 3, effective July 1, 2007, amended and renumbered former § 11-9-108 as § 11-9-109 , effective July 1, 2007.

Chapter 10 State Fair

Am. Jur. 2d, ALR and C.J.S. references. —

Liability for injury inflicted by domestic animal at show, 80 ALR2d 886.

Exemption from taxation of property of argicultural fair society or association, 89 ALR2d 1104.

Validity, construction, and effect of agreement exempting operator of amusement facility from liability for personal injury or death of patron, 54 ALR5th 513.

3 C.J.S. Agriculture §§ 133 to 136.

§ 11-10-101. Annual state fair; where held; purpose.

The state fair board, with the assistance of the department of agriculture, shall hold an annual state fair at Douglas, Wyoming dedicated to honoring Wyoming’s agricultural heritage and culture by cultivating Wyoming’s agricultural future through competitions, educational displays and experiential exhibits for youth producers and the general public.

History. Laws 1905, ch. 48, § 6; C.S. 1910, § 716; Laws 1919, ch. 103, § 4; C.S. 1920, § 824; R.S. 1931, § 105-101; C.S. 1945, § 34-302; W.S. 1957, § 11-126; Laws 1974, ch. 16, § 2; 1978, ch. 32, § 1; 1989, ch. 9, § 1; 2011, ch. 72, § 1; 2018, ch. 111, § 1.

Cross references. —

As to student participation as an exhibitor in the annual state fair being defined as an excused absence, see § 21-3-111(a)(xvi).

The 2011 amendment, effective July 1, 2011, deleted “if requested” following “furnishes to the department.”

The 2018 amendment, effective September 1, 2018, rewrote the section, which read: “The department of agriculture shall hold an annual state fair at Douglas, Wyoming, where all important products of the state shall be recognized according to merit by premiums or rewards for excellence offered out of an appropriation provided by the legislature. No person shall collect any award until he furnishes to the department a complete history in writing of how the exhibit was produced and all other information concerning the entry that would be of interest or benefit to the general public.”

§ 11-10-102. Duties and responsibilities with respect to the annual state fair and fairgrounds.

  1. The general charge and supervision of the state fair is under the state fair board with the assistance of the department of agriculture.
  2. The department shall prepare budget requests on behalf of and subject to the approval of the state fair board for the conduct and management of the annual state fair and for the operation and maintenance of the state fairgrounds, including building and facility needs for major maintenance and repair. The director is responsible for the proper disbursement of all funds appropriated for the annual state fair and fairgrounds.
  3. The state fair board shall:
    1. Select from among its voting members a chairman and a vice-chairman;
    2. Hold at least four (4) regular meetings per year at such times and places as the chairman shall specify. Special meetings may be called by the chairman or upon request of a majority of the voting members. A majority of the voting members of the state fair board shall constitute a quorum for the transaction of business;
    3. Be administratively supported by the department;
    4. Provide for the year round operation and maintenance of the state fairgrounds in a manner that:
      1. Maximizes revenues but does not disrupt the annual state fair;
      2. Ensures the facilities are maintained in good working order.
    5. Monitor any state fairgrounds facility needs assessment conducted by the state construction department and, subject to available funding, implement recommendations received under subsection (d) of this section to prioritize and remediate the identified needs;
    6. To the extent the employment of a state fair manager would aid in accomplishing the duties required by this chapter, appoint a state fair manager to conduct and supervise the annual state fair and to manage the year round operation and maintenance of the state fairgrounds. Any appointment shall be made with the approval of the governor and shall be subject to removal authority provided by W.S. 9-1-202 . The state fair board may hire and provide for the supervision of other employees necessary to accomplish the duties required by this chapter and may contract for services to advertise and promote the annual state fair and the fairgrounds;
    7. To the extent establishing a subcommittee would aid in executing the annual state fair, appoint a subcommittee of state fair board members to plan, conduct or supervise the annual state fair. The director shall serve as chairman of any subcommittee appointed under this paragraph.
  4. The state construction department shall, in addition to the comprehensive needs assessment conducted pursuant to W.S. 9-5-107 , and upon request of the state fair board:
    1. Assess the state fairground buildings and facility needs; and
    2. Submit recommendations to the state fair board to prioritize and remediate the identified needs.
  5. The Wyoming tourism board shall promote the annual state fair throughout the state of Wyoming and adjoining states.

History. Laws 1919, ch. 103, § 3; C.S. 1920, § 825; R.S. 1931, § 105-102; Laws 1941, ch. 18, § 1; C.S. 1945, § 34-301; W.S. 1957, § 11-128; Laws 1974, ch. 16, § 2; 1978, ch. 32, § 1; 1989, ch. 9, § 1; 1993, ch. 191, § 3; 2011, ch. 72, § 1; 2018, ch. 111, § 1.

The 2011 amendment, effective July 1, 2011, added “and fairgrounds” at the end of the second sentence, and inserted “operation and” in the last sentence.

The 2018 amendment, effective September 1, 2018, redesignated the existing language as (a) and (b); in present (a), substituted “state fair board with the assistance of” for “director of” preceding “the department” and deleted the former second sentence, which read: “The director may employ a competent manager and other employees necessary for the proper conduct and management of the fair and fairgrounds”; in present (b), added the first sentence and, at the end of the second sentence, substituted “the annual state fair and fairgrounds” for “the operation and maintenance of the fair”; and added (c) through (e).

§ 11-10-103. Reversion of fairgrounds to donor.

If the state fails for three (3) consecutive years to hold a state fair, the lands used for the purpose of a state fair shall revert to the person donating them, the state having the right to remove all buildings, fences and improvements of whatever nature within twenty-four (24) months after the date on which the fair should have been held. All buildings, fences and improvements remaining on the land after the expiration of the twenty-four (24) months shall become the property of the owner of the land.

History. Laws 1905, ch. 48, § 7; C.S. 1910, § 717; C.S. 1920, § 826; R.S. 1931, § 105-103; C.S. 1945, § 34-303; W.S. 1957, § 11-129; W.S. 1977, § 11-10-104 ; Laws 1978, ch. 32, § 1; 2011, ch. 72, § 1.

The 2011 amendment, effective July 1, 2011, substituted “twenty-four (24)” for “three (3)” twice.

§ 11-10-104. Catalogues.

At least three (3) months before any annual fair, the state fair board shall have a catalogue prepared and copies available for distribution to any person requesting it.

History. Laws 1905, ch. 48, § 8; C.S. 1910, § 718; Laws 1919, ch. 103, § 5; C.S. 1920, § 827; R.S. 1931, § 105-104; C.S. 1945, § 34-304; W.S. 1957, § 11-130; W.S. 1977, § 11-10-105 ; Laws 1978, ch. 32, § 1; 1989, ch. 9, § 1; 1993, ch. 191, § 3; 2011, ch. 72, § 1; 2018, ch. 111, § 1; ch. 111, § 1.

The 2011 amendment, effective July 1, 2011, substituted “available” for “sent to the county clerks of the state.”

The 2018 amendment, effective September 1, 2018, substituted “state fair board” for “director of the department of agriculture.”

§ 11-10-105. Entry fees.

A fee may be charged for any in-state or out-of-state exhibit to be entered in the state fair at an amount set by the state fair board.

History. Laws 1905, ch. 48, § 9; C.S. 1910, § 719; Laws 1919, ch. 103, § 6; C.S. 1920, § 828; R.S. 1931, § 105-105; C.S. 1945, § 34-305; W.S. 1957, § 11-131; W.S. 1977, § 11-10-106 ; Laws 1978, ch. 32, § 1; 1983, ch. 2, § 1; 1989, ch. 9, § 1; 1993, ch. 191, § 3; 2001, ch. 131, § 1; 2018, ch. 111, § 1; ch. 111, § 1.

The 2018 amendment, effective September 1, 2018, substituted “the state fair board” for “the director of the department of agriculture and the board” following “set by.”

Cross references. —

As to supervision generally of state fair by state board of agriculture, see § 11-10-102 .

§ 11-10-106. Admission charges; other revenues.

  1. There shall be charged at the gates of the fairground an admission fee to be set by the state fair board. An extra charge may be made for seats in the grandstand or other structure providing added comforts. The charge for vehicles driven or stock ridden into the grounds may be fixed by the state fair board. All fees collected shall be deposited in the Wyoming state fair account, except fees directed by law to the state fair endowment account.
  2. The department of agriculture may receive any money or property of any kind or character donated, granted or bequeathed for any activities of the state fair. Monies shall be credited to the Wyoming state fair account except as otherwise provided by W.S. 11-10-107 and 11-10-108 . The department, on behalf of the state fair board, shall include within its biennial budget request submitted under W.S. 9-2-1013 a report itemizing all gifts, income and expenditures under this subsection, W.S. 11-10-107 and 11-10-108 for each of the immediately preceding two (2) fiscal years.

History: Laws 1905, ch. 48, § 10; C.S. 1910, § 720; Laws 1919, ch. 103, § 7; C.S. 1920, § 829; R.S. 1931, § 105-106; C.S. 1945, § 34-306; W.S. 1957, § 11-132; Laws 1974, ch. 16, § 2; W.S. 1977, § 11-10-107 ; Laws 1978, ch. 32, § 1; 1983, ch. 2, § 1; 1993, ch. 208, § 1; 2005, ch. 231, § 1; 2014, ch. 7, § 2; 2018, ch. 111, § 1; ch. 122, § 2; ch. 111, § 1.

The 2005 amendment, effective July 1, 2005, deleted “within the trust and agency fund” at the end of (a) and at the end of the second sentence in (b).

The 2014 amendment, rewrote the third sentence.

The 2018 amendments. — The first 2018 amendment, by ch. 111, § 1, effective September 1, 2018, in (a), twice inserted “state fair” preceding “board,” and, in (b), in the third sentence, inserted “on behalf of the state fair board” following “The department.”

The second 2018 amendment, by ch. 122, § 2, added “except fees directed by law to the state fair endowment account” at the end of (a); and, in (b), in the second sentence, inserted “Wyoming” preceding “state fair” and added “except as otherwise provided by W.S. 11-10-107 and 11-10-118 ,” and in the second sentence, added “W.S. 11-10-107 and 11-10-118 .”

Laws 2018, ch. 122, § 4, makes the act effective immediately upon completion of all acts necessary for a bill to become law as provided by art. 4, § 8, Wyo. Const. Approved March 14, 2018.

Conflicting legislation. —

Laws 2005, ch. 231, § 3, provides: The provisions of this act shall supersede the provisions of any other bill enacted into law during the 2005 general session which amends or references accounts or funds to the extent any other enactment is inconsistent with the establishment of the funds and accounts created under this act. The state auditor shall account for any fund or account created in any other legislation enacted in the 2005 general session in accordance with generally accepted accounting principles (GAAP) as promulgated by the governmental accounting standards board (GASB) and in accordance with this act.

§ 11-10-107. Power of state fair board to acquire land; authority to make rules and regulations; renting and use of fairgrounds.

  1. Consistent with W.S. 9-5-106(a) and (c), the state fair board may acquire by donation or lease in the name of the state any lands necessary for conducting the annual state fair, and may make all rules and regulations necessary for the conduct and government of the exhibitions, the sale of privileges, and the proper control, operation and conduct of the annual state fair and the state fairgrounds not inconsistent with the constitution and laws of this state. The state fair board may rent out or donate the use of the state fairgrounds for stabling and training stock and holding stock sales. The grounds may be used free of charge for encampment grounds for the state militia under the direction of the adjutant general of the state. The board shall permit the grounds and facilities to be used for other purposes and shall charge fees as it deems necessary to maximize revenues and pay the expenses of maintaining the grounds and facilities.
  2. The state fair board may rent out or donate the use of the state fairgrounds for stabling and training stock and holding stock sales. The grounds may be used free of charge for encampment grounds for the state militia under the direction of the adjutant general of the state. The board shall permit the grounds and facilities to be used for other purposes and shall charge fees as it deems necessary to maximize revenues and pay the expenses of maintaining the grounds and facilities. One percent (1%) of any revenue generated under this subsection shall be distributed to the state fair endowment account and the remainder of any revenue generated under this subsection shall be distributed to the Wyoming state fair account.

History. Laws 1905, ch. 48, § 12; C.S. 1910, § 722; Laws 1919, ch. 103, § 8; C.S. 1920, § 830; R.S. 1931, § 105-107; C.S. 1945, § 34-307; W.S. 1957, § 11-133; W.S. 1977, § 11-10-108 ; Laws 1978, ch. 32, § 1; 1983, ch. 2, § 1; 1989, ch. 244, § 2; 2011, ch. 72, § 1; 2018, ch. 111, § 1; ch. 122, § 2.

Cross references. —

As to supervision generally of state fair by state board of agriculture, see § 11-10-102 .

The 2011 amendment, effective July 1, 2011, deleted “in its discretion” following “The board” in the fourth sentence.

The 2018 amendments. — The first 2018 amendment, by ch. 111, § 1, effective September 1, 2018, in the first sentence, substituted “Consistent with W.S. 9-5-106(a) and (c), the state fair” for “The,” twice inserted “annual” preceding “state fair,” and inserted “and the state fairgrounds” preceding “not inconsistent,” in the second sentence, inserted “state fair” preceding “board,” in the fourth sentence, twice substituted “shall” for “may” and inserted “maximize venues and” preceding “pay,” and deleted the former fourth sentence, which read: “The board shall not permit any gambling device of any nature to be operated on the grounds, or permit any unlawful betting, or permit any intoxicating liquors to be sold thereon except as provided by W.S. 12-4-505 .”

The second 2018 amendment, by ch. 122, § 2, redesignated the existing language as (a) and (b); and, in (b), substituted the present last sentence for “The board shall not permit any gambling device of any nature to be operated on the grounds, or permit any unlawful betting, or permit any intoxicating liquors to be sold thereon except as provided by W.S. 12-4-505 .”

Laws 2018, ch. 122, § 4, makes the act effective immediately upon completion of all acts necessary for a bill to become law as provided by art. 4, § 8, Wyo. Const. Approved March 14, 2018.

While neither amendment gave effect to the other, both have been given effect in this section as set out above.

§ 11-10-108. Rodeos; generally.

The state fair board may provide a rodeo as part of the state fair program, provided there is no restriction on any Wyoming resident who desires to participate in the rodeo other than the prescribed entry fee, unless the restriction is required by a sanctioning body as part of the terms and conditions to sanction the rodeo. Any contract entered into with any person to provide entertainment under this section is void if it in any manner excludes a Wyoming resident from participation in the entertainment because of membership or nonmembership in any organization or group.

History. Laws 1957, ch. 259, § 1; W.S. 1957, § 11-141; Laws 1959, ch. 5, §§ 1, 2; W.S. 1977, § 11-10-115 ; Laws 1978, ch. 32, § 1; 1989, ch. 9, § 1; 1993, ch. 191, § 3; 2006, ch. 4, § 1; 2018, ch. 111, § 1; ch. 111, § 1.

The 2006 amendment, effective July 1, 2006, inserted “unless the restriction is required by a sanctioning body as part of the terms and conditions to sanction the rodeo.”

The 2018 amendment, effective September 1, 2018, in the first sentence substituted “state fair” for “director of the department of agriculture and the” preceding “board”.

§ 11-10-109. Rodeos; liability for injuries.

The state of Wyoming is not responsible or liable in any manner for any injury sustained by anyone participating in the rodeo at the Wyoming state fair.

History. Laws 1957, ch. 259, § 2; W.S. 1957, § 11-142; Laws 1959, ch. 5, §§ 1, 3; W.S. 1977, § 11-10-116 ; Laws 1978, ch. 32, § 1.

§ 11-10-110. [Repealed.]

Repealed by Laws 2011, ch. 72, § 2.

Cross references. —

As to county fair generally, see §§ 18-9-101 to 18-9-103 .

Editor's notes. —

This section, which derived from Laws 1955, ch. 200, § 1, related to allocation of funds to county agricultural fair associations for prizes.

Laws 2011, ch. 72, § 3, makes the act effective July 1, 2011.

§ 11-10-111. Reports.

The director of the department of agriculture shall make reports as required by W.S. 9-2-1014 in regard to the state fair.

History. Laws 1905, ch. 48, § 13; C.S. 1910, § 723; Laws 1919, ch. 103, § 9; C.S. 1920, § 831; R.S. 1931, § 105-108; C.S. 1945, § 34-308; W.S. 1957, § 11-144; Laws 1974, ch. 16, § 2; W.S. 1977, § 11-11-117 ; Laws 1978, ch. 32, § 1; 1989, ch. 9, § 1; 1993, ch. 191, § 3; 2006, ch. 114, § 1.

The 2006 amendment substituted “9-2-1014” for “9-2-103.”

Laws 2006, ch. 114, § 5, makes the act effective immediately upon completion of all acts necessary for a bill to become law as provided by art. 4, § 8, Wyo. Const. Approved March 24, 2006.

Conflicting legislation. —

Laws 2006, ch. 114, § 3 provides: “[A]ny other act adopted by the Wyoming legislature during the same session in which this act is adopted shall be given precedence and shall prevail over the amendments in this act to the extent that such acts are in conflict with this act.”

§ 11-10-112. Wyoming Pioneer Memorial Museum.

A building to be known as the “Wyoming Pioneer Memorial Museum” is authorized to house pioneer relics on the state fairgrounds, and for such other purposes as deemed necessary by the board.

History. Laws 1955, ch. 213, § 2; W.S. 1957, § 11-145; W.S. 1977, § 11-11-101 ; Laws 1978, ch. 32, § 1.

§ 11-10-113. Wyoming Pioneer Memorial Museum; supervision thereof.

The supervision, maintenance and operation of the museum is under the director of the department of state parks and cultural resources. The director may assign or employ necessary personnel to maintain the exhibits and receive visitors, and may enter into agreements for the loan of exhibits, providing the state of Wyoming is not liable therefor.

History. Laws 1955, ch. 213, § 4; W.S. 1957, § 11-147; W.S. 1977, § 11-11-102 ; Laws 1978, ch. 32, § 1; 1989, ch. 9, § 1; 1990, ch. 44, § 2; 1993, ch. 191, § 3; 1999, ch. 69, § 2.

§ 11-10-114. Wyoming Pioneer Memorial Museum; admission fee.

A nominal admission fee may be charged to reimburse the general fund for maintenance costs.

History. Laws 1955, ch. 213, § 5; W.S. 1957, § 11-148; Laws 1974, ch. 16, § 2; W.S. 1977, § 11-11-103 ; Laws 1978, ch. 32, § 1.

§ 11-10-115. State fair board; membership; terms; compensation.

  1. There is created the state fair board consisting of the following members:
    1. One (1) voting member appointed by the governor from each of the four (4) quadrants specified in W.S. 11-2-102(e)(i) through (iv). Each of these members shall be engaged primarily in agricultural work and shall be selected to represent a cross section of the agriculture industry. Appointments shall rotate consecutively among all the counties of the quadrants;
    2. One (1) voting member jointly appointed by a majority vote of both the Converse county board of commissioners and the governing body of the city of Douglas;
    3. One (1) voting member appointed by the dean of the University of Wyoming college of agriculture from the Wyoming cooperative extension service;
    4. One (1) voting member selected by the Wyoming vocational agricultural teachers association from its membership;
    5. One (1) voting member appointed by the governor from the department of state parks and cultural resources;
    6. One (1) voting member appointed by the governor from the Wyoming business council;
    7. One (1) voting member appointed by the governor from the Wyoming tourism board or a representative of the Wyoming tourism board;
    8. One (1) voting member appointed by the governor from the energy industry;
    9. One (1) at-large voting member who is engaged primarily in agricultural work, appointed by the governor;
    10. The director shall serve as a voting member;
    11. The governor or his designee and the dean of the University of Wyoming college of agriculture, or the dean’s designee, shall serve as nonvoting ex officio members.
  2. The members of the state fair board appointed under paragraph (a)(i) of this section shall serve for a term of six (6) years. The members of the state fair board appointed under paragraphs (a)(ii) through (ix) of this section shall serve for a term of four (4) years. Any state fair board member appointed by the governor is subject to removal as provided in W.S. 9-1-202 .
  3. Except as provided in this section, the state fair board members shall be paid a salary of one hundred dollars ($100.00) per day for attending and traveling to and from official state fair board meetings and shall receive mileage and per diem in the same manner as state employees as provided by W.S. 9-3-102 . Members who are government employees or public officials appointed to the state fair board to represent an agency, department, board or institution of the state, including the University of Wyoming, shall receive no salary but shall be considered on official business when performing duties as members of the state fair board and shall receive mileage and per diem in the manner provided by the agency, department, board or institution the member represents.

History. Laws 1993, ch. 191, § 2; 1998, ch. 40, § 1; 2007, ch. 204, § 1; 2011, ch. 72, § 1; 2018, ch. 111, § 1.

Editor’s notes.— Laws 2018, ch. 111, § 2, provides: “The governor and other entities responsible for appointing members to the state fair board shall solicit applications and consider applicants for appointments to the state fair board. Appointments of members to the state fair board shall be made before September 1, 2018. Members appointed to the state fair board pursuant to this act shall begin their terms on September 1, 2018.”

The 2007 amendment, effective July 1, 2007, in (a) deleted “appointed” preceding “members of the board of agriculture” and inserted “appointed pursuant to W.S. 11-2-102(b).”

The 2011 amendment, effective July 1, 2011, inserted all references to state fair advisory board throughout the section.

The 2018 amendment, effective September 1, 2018, redesignated the existing language of (a) as the present introductory language of (a) and (a)(i) through (a)(iv); in the present introductory language of (a), substituted “state fair board consisting of the following members” for “state fair advisory board which shall serve as advisor to the board of agriculture on the operation of the state fair and the operation and maintenance of the state fairgrounds. The state fair advisory board shall consist of ten (10)”; in present (a)(i), in the first sentence, substituted “One (1) voting member appointed by the governor from each of the four (4) quadrants specified in W.S. 11-2-102(e)(i) through (iv)” for “One (1) member appointed by each of the seven (7) members of the board of agriculture appointed pursuant to W.S. 11-2-102(b),” and added the last two sentences; in present (a)(ii), rewrote the former existing language, which read: “One (1) member appointed by the Converse county board of commissioners,” in present (a)(iii) and (a)(iv), substituted “One (1) voting” for “One (1)” preceding “member”; in present (a)(iv), deleted the former second sentence, which read: “The state fair advisory board members shall receive no salary in the performance of their duties but shall receive mileage and per diem the same as state employees as provided by W.S. 9-3-102 ”; added (a)(v) through (a)(xi).; rewrote (b), which read: “The state fair advisory board member appointed by the Converse county board of commissioners, the state fair advisory board member appointed by the dean of the University of Wyoming college of agriculture and the state fair advisory board member selected by the Wyoming vocational agriculture teachers association shall serve a four (4) year term. All other state fair advisory board members shall serve at the pleasure of the person who appointed the state fair advisory board member and in no event shall the term of any state fair advisory member exceed the corresponding term of the appointing board of agriculture member”; and added (c).

§ 11-10-116. [Repealed].

Repealed by Laws 2011, ch. 70, § 1, pursuant to W. S. 11-10-117 .

§ 11-10-117. Sunset.

W.S. 11-10-116 is repealed June 30, 2013.

History. Laws 2011, ch. 70, § 1.

Effective date. —

Laws 2011, ch. 70, § 4, makes the act effective immediately upon completion of all acts necessary for a bill to become law as provided by art. 4, § 8 of the Wyo. Const. Approved February 24, 2011.

§ 11-10-118. State fair endowment account; administration; distributions; purposes.

  1. The state fair endowment account is created. The state treasurer is authorized to accept cash gifts for the account. Funds within the account including all funds deposited to the account from any source are intended to be inviolate and constitute a permanent or perpetual trust fund. The state treasurer shall invest funds within the endowment account in accordance with law. Seventy-five percent (75%) of investment earnings shall be credited to the endowment account. Twenty-five percent (25%) of investment earnings shall be distributed to the Wyoming state fair account.
  2. Repealed by Laws 2021, ch. 144, § 3.

History. Laws 2018, ch. 122, § 1; 2021, ch. 144, §§ 2, 3.

The 2021 amendments. —

The first 2021 amendment, by ch. 144, § 2, effective July 1, 2021, substituted "to the Wyoming state fair account" for "accordance with subsection (b) of this section" in the last sentence of (a).

The second 2021 amendment, by ch. 144, § 3, effective July 1, 2021, repealed (b), which read, "The state treasurer shall distribute twenty-five (25%) percent of investment earnings from the state fair endowment account to the Wyoming state fair account quarterly."

While neither amendment gave effect to the other, both have been given effect in this section as set out above.

Effective date. —

Laws 2018, ch. 122, § 4, makes the act effective immediately upon completion of all acts necessary for a bill to become law as provided by art. 4, § 8, Wyo. Const. Approved March 14, 2018.

Chapter 11 Buying, Selling and Storing of Grain

Appropriations. —

Laws 2005, ch. 232, which heavily amended this chapter, provides in § 3 for a one-time appropriation of $123,773, or as much thereof as is necessary, from the budget reserve account to the department of agriculture to implement the act. Section 3 also authorizes to the department of agriculture one additional at-will employee contract position to perform the audits of grain warehouses.

Am. Jur. 2d, ALR and C.J.S. references. —

78 Am. Jur. 2d Warehouses §§ 2 to 7, 12 to 16.

Liability of warehousemen for deterioration of goods due to improper temperature, 92 ALR2d 1298.

3 C.J.S. Agriculture §§ 3, 159, 161; 94 C.J.S. Weights and Measures §§ 4, 8 to 15.

§ 11-11-101. Definitions.

  1. As used in this chapter:
    1. “Director” means the director of the Wyoming  department of agriculture;
    2. “Warehouseman” means any person except  the grower who handles grain for commercial storage or solicits grain  for the purpose of intrastate, interstate or foreign commerce;
    3. “Grain” means any variety of beans, wheat,  corn, oats, barley, rye, grain sorghum, millet, oil seeds, sunflower,  soybean, flax, or seeds of legumes and grasses;
    4. To “store” or “warehouse” means any method  by which grain owned by another is held for the owner by one not the  owner except for the transportation thereof;
    5. “Stored grain” means grain held or placed  in storage in an elevator, grain cleaning plant, grain warehouse or  public warehouse of whatever kind by any person not the actual bona  fide owner of the grain;
    6. “Scale ticket” means a load slip or other  evidence of delivery, other than a warehouse receipt, given to the  party making delivery by a warehouse licensed under the provisions  of this act [Buying, Selling and Storing of Grain];
    7. “Warehouse” means an elevator, mill, storage  bin or building, subterminal grain storage facility, public storage  facility or other structure or facility in which grain is received  for commercial storage or for the purpose of intrastate, interstate  or foreign commerce;
    8. “Audit” means an examination of records  or financial accounts to determine their accuracy;
    9. “Depositor” means any person who is in  possession of a commodity and entrusts or delivers the commodity to  a warehouse for storage;
    10. “Inspection” means the physical review  or examination of the grain warehouse or storage facility and may  include an official audit;
    11. “Loss” means the destruction of the commodity  due to fire, theft or weather;
    12. “Receipt” means a warehouse receipt issued  under this act, including an electronic receipt;
    13. “Transportation” means the movement of  grain from one (1) point to another;
    14. “Verified” means signed and sworn to be  accurate before a person authorized to administer oaths.

History. Laws 1939, ch. 15, § 1; C.S. 1945, § 34-601; Laws 1957, ch. 55, § 1; W.S. 1957, § 11-149; W.S. 1977, § 11-12-101 ; Laws 1978, ch. 32, § 1; 1993, ch. 191, § 3; 2002 Sp. Sess., ch. 4, § 1; 2005, ch. 232, § 2.

The 2005 amendment rewrote (a)(ii) and (a)(vii), and added (a)(viii) through (a)(xiv).

Laws 2005, ch. 232, § 4, makes the act effective immediately upon completion of all acts necessary for a bill to become law as provided by art. 4, § 8, Wyo. Const. Approved March 10, 2005.

Editor's notes. —

There is no subsection (b) in this section as it appears in the printed acts.

§ 11-11-102. Applicability.

W.S. 11-11-101 through 11-11-117 do not apply to any person licensed under the laws or regulations of the United States relating to storing and handling grain.

History. Laws 1957, ch. 55, § 15; W.S. 1957, § 11-151; W.S. 1977, § 11-12-103 ; Laws 1978, ch. 32, § 1.

§ 11-11-103. Warehousemen to procure licenses; fee; annual renewal.

Before engaging in business in Wyoming, a warehouseman or any person operating a warehouse shall procure a license from the department of agriculture. The fee under this section for the initial license and for each annual renewal thereof shall be one hundred twenty-five dollars ($125.00). All licenses shall be issued for the fiscal year, or fraction thereof, ending June 30. No license shall be renewed unless the department finds from the audit required under W.S. 11-11-109 of the warehouse or warehouseman’s records that the operations are conducted properly.

History. Laws 1939, ch. 15, § 3; C.S. 1945, § 34-603; Laws 1957, ch. 55, § 3; W.S. 1957, § 11-153; Laws 1975, ch. 86, § 1; W.S. 1977, § 11-12-105 ; Laws 1978, ch. 32, § 1; 1993, ch. 135, § 2; ch. 191, § 3; 1994, ch. 46, § 1; 2002 Sp. Sess., ch. 4, § 1; 2005, ch. 232, § 2.

The 2005 amendment rewrote the section, deleting provisions pertaining to the board of agriculture and the director and any duties held by them, including that of the director's annual inspection by which the board could determine an annual fee.

Laws 2005, ch. 232, § 4, makes the act effective immediately upon completion of all acts necessary for a bill to become law as provided by art. 4, § 8, Wyo. Const. Approved March 10, 2005.

§ 11-11-104. Application for license; form; contents; refusal to issue license; appeal; care of agricultural products.

  1. The department shall prescribe forms for  application for a warehouseman’s or warehouse license. The application  shall contain information necessary to inform the department of the  qualifications, facilities, experience and financial ability of the  applicant to carry on the business of buying, selling, warehousing  and storing grain. The department shall require the submission of  any tax return, bank statement, financial statement or audit prepared  by a public accountant or a certified public accountant and any additional  information as required by rules and regulations in order to establish  the financial responsibility of the applicant. If a license is refused  by the department, appeal may be made to the director. All hearings  for appeal shall be conducted in accordance with the Wyoming Administrative  Procedure Act.
  2. Each warehouseman shall at all times,  including during any period of suspension of his license, exercise  such care in regard to stored and nonstorage agricultural commodities  in his custody as required under the licensing agreement.

History. Laws 1939, ch. 15, § 4; C.S. 1945, § 34-604; Laws 1957, ch. 55, § 4; W.S. 1957, § 11-154; W.S. 1977, § 11-12-106 ; Laws 1978, ch. 32, § 1; 1983, ch. 91, § 1; 1993, ch. 191, § 3; 2002 Sp. Sess., ch. 4, § 1; 2005, ch. 232, § 2.

The 2005 amendment rewrote the section, adding (b), designating the former undesignated paragraph as (a), and in (a) substituting “department” for “director” throughout, substituting “director” for “state board of agriculture,” adding requirements for submission of tax returns, bank statements, and any additional information required by rules and regulations to determine financial responsibility, and adding the last sentence.

Laws 2005, ch. 232, § 4, makes the act effective immediately upon completion of all acts necessary for a bill to become law as provided by art. 4, § 8, Wyo. Const. Approved March 10, 2005.

Wyoming Administrative Procedure Act. —

See § 16-3-101(a), (b)(xi).

§ 11-11-105. Surety bond required; amount; approval by department; conditions; exception.

  1. Each applicant for a warehouseman’s or  warehouse license shall post a cash bond, acceptable irrevocable letter  of credit or execute and file with the department a good and sufficient  surety bond in an amount determined by the department based on the  maximum number of hundred weight the warehouseman can store in the  warehouses for which the bond is required, but not less than twenty  thousand dollars ($20,000.00). A surety bond shall be executed by  a responsible surety company licensed to do business in this state  and conditioned upon the faithful performance of the obligation of  the warehouseman or person operating a warehouse under the laws of  this state and of any additional obligations assumed by him under  contract with those who deposit grain with him. All bonds shall be  payable to the state for the benefit of any injured party, and shall  be in the form and contain additional conditions as the department  may prescribe. No person is required to file a bond who has already  posted similar bond with the United States department of agriculture  pursuant to the United States Warehouse Act of August 11, 1916, as  amended.
  2. Cash bonds, irrevocable letters of credit  and surety bonds shall not be released by the department until an  audit has been completed and satisfied. The department shall publish  a public notice for sixty (60) days prior to any bond being released.
  3. In the event a warehouseman does not renew  his license in accordance with W.S. 11-11-103 or suspends normal business operations, the department  shall post a public notice in a paper of local distribution for sixty  (60) days prior to the closure of the warehouse.

History. Laws 1939, ch. 15, § 5; 1943, ch. 12, § 1; C.S. 1945, § 34-605; Laws 1957, ch. 55, § 5; W.S. 1957, § 11-155; Laws 1975, ch. 86, § 1; W.S. 1977, § 11-12-107 ; Laws 1978, ch. 32, § 1; 1993, ch. 191, § 3; 2002 Sp. Sess., ch. 4, § 1; 2003, ch. 202, § 1; 2005, ch. 232, § 2.

Cross references. —

As to surety companies generally, see chapter 3 of title 38.

The 2005 amendment rewrote the section, adding (b) and (c), and redesignating the former undesignated paragraph as (a); and in (a), inserting “acceptable irrevocable letter of credit” in the first sentence, twice substituting “department” for “director,” substituting “department” for “board of agriculture,” substituting “warehouseman” for “warehouseman or warehouse,” and deleting “approved by the director” in the second sentence.

Laws 2005, ch. 232, § 4, makes the act effective immediately upon completion of all acts necessary for a bill to become law as provided by art. 4, § 8, Wyo. Const. Approved March 10, 2005.

Federal law. —

The United States Warehouse Act of August 11, 1916 is codified as 7 U.S.C.S. § 241 et seq.

§ 11-11-106. Action on bond for breach of obligations; joinder of parties.

Any person injured by the warehouseman’s or warehouse’s breach of any obligation provided by law may sue on the bond in his own name in any court of competent jurisdiction to recover the damage sustained by the breach. Where more than one (1) person is injured, the action may be brought in the name of all injured persons by any one or all interested parties, or by the state of Wyoming in their behalf.

History. Laws 1939, ch. 15, § 8; C.S. 1945, § 34-608; W.S. 1957, § 11-156; W.S. 1977, § 11-12-108 ; Laws 1978, ch. 32, § 1; 2002 Sp. Sess., ch. 4, § 1.

§ 11-11-107. Investigation by department; complaint; service; hearing.

The department upon its own motion or upon verified complaint against any warehouseman shall investigate as the department deems necessary, and shall at all times have free and unimpeded access to all facilities or places in which grain is kept, stored, handled or transported. If the department, upon investigation, has reason to believe that any warehouseman is not acting as required by law, or upon the filing of a verified complaint against the warehouseman, the department shall have a complaint or copy of the verified complaint served upon the warehouseman by personal service, service upon a registered agent or by registered mail. If the warehouseman fails to make prompt adjustment or settlement of the charges set forth, to the satisfaction of the department, the department shall give notice of the time and place of a hearing thereon. The hearing shall be held in accordance with the Wyoming Administrative Procedure Act.

History. Laws 1939, ch. 15, § 15; C.S. 1945, § 34-615; Laws 1957, ch. 55, § 12; W.S. 1957, § 11-152; W.S. 1977, § 11-12-109 ; Laws 1978, ch. 32, § 1; 1993, ch. 191, § 3; 2002 Sp. Sess., ch. 4, § 1; 2005, ch. 232, § 2.

Cross references. —

Wyoming Administrative Procedure Act, see § 16-3-101(a), (b)(xi).

The 2005 amendment substituted “department” for “director” throughout, substituted “warehouseman” for “dealer,” twice deleted “or warehouse” after “warehouseman,” and made related changes.

Laws 2005, ch. 232, § 4, makes the act effective immediately upon completion of all acts necessary for a bill to become law as provided by art. 4, § 8, Wyo. Const. Approved March 10, 2005.

§ 11-11-108. Warehouse receipts generally.

All warehouse receipts issued for stored grain shall be in a form prescribed by the department and shall be obtainable only by the warehouseman from the department at cost. Each warehouse receipt issued must show the amount of any cash or the value of any merchandise the warehouseman has advanced on the grain represented by the receipt, but such notation shall not be construed as fixing the date of sale of the grain.

History. Laws 1939, ch. 15, § 6; C.S. 1945, § 34-606; Laws 1957, ch. 55, § 6; W.S. 1957, § 11-157; W.S. 1977, § 11-12-109 ; Laws 1978, ch. 32, § 1; 1993, ch. 191, § 3; 2002 Sp. Sess., ch. 4, § 1; 2005, ch. 232, § 2.

Cross references. —

As to other provisions concerning warehouse receipts, see §§ 34.1-7-201 to 34.1-7-210.

The 2005 amendment twice substituted “department” for “director” and twice deleted “or warehouse” after “warehouseman.”

Laws 2005, ch. 232, § 4, makes the act effective immediately upon completion of all acts necessary for a bill to become law as provided by art. 4, § 8, Wyo. Const. Approved March 10, 2005.

§ 11-11-109. Audit of records; inspection of warehouse.

  1. At least once each year and more often  if necessary or if requested by an interested person the department  shall inspect each licensed warehouse and shall audit the warehouse  records. The director after conferring with interested industry groups  shall fix, assess and collect fees for the inspection of facilities  storing farm products. The fees shall not exceed fifty percent (50%)  of the cost of the inspection and shall be paid by the person requesting  the inspection, if any.
  2. If a warehouseman is delinquent in renewing  his license in accordance with W.S. 11-11-103 , the department shall initiate an inspection and audit  of the warehouse immediately.

History. Laws 1939, ch. 15, § 9; C.S. 1945, § 34-609; W.S. 1957, § 11-158; Laws 1975, ch. 86, § 1; W.S. 1977, § 11-12-110 ; Laws 1978, ch. 32, § 1; 1983, ch. 91, § 1; 1993, ch. 191, § 3; 2002 Sp. Sess., ch. 4, § 1; 2005, ch. 232, § 2.

The 2005 amendment rewrote the section, adding (b), and designating the former undesignated paragraph as (a), and in (a), substituting “department” for “director,” and deleting the former second sentence, which read: “However, no audit shall be performed if the person operating the warehouse certifies that the warehouse does not have any grain stored for others.”

Laws 2005, ch. 232, § 4, makes the act effective immediately upon completion of all acts necessary for a bill to become law as provided by art. 4, § 8, Wyo. Const. Approved March 10, 2005.

§ 11-11-110. Warehouseman's records; generally.

Every licensed warehouseman shall maintain complete records of all grain stored, all grain withdrawn from storage, all warehouse receipts issued and all receipts returned to and cancelled by him. The records shall be available for examination and audit by the department at any reasonable time.

History. Laws 1939, ch. 15, § 14; C.S. 1945, § 34-614; Laws 1957, ch. 55, § 11; W.S. 1957, § 11-159; Laws 1975, ch. 86, § 1; W.S. 1977, § 11-12-111 ; Laws 1978, ch. 32, § 1; 1993, ch. 191, § 3; 2002 Sp. Sess., ch. 4, § 1; 2005, ch. 232, § 2.

The 2005 amendment substituted “warehouseman” for “warehouse,” and “department” for “director.”

Laws 2005, ch. 232, § 4, makes the act effective immediately upon completion of all acts necessary for a bill to become law as provided by art. 4, § 8, Wyo. Const. Approved March 10, 2005.

§ 11-11-111. Warehouseman's records; contents; inspection and audit by department; issuance of warehouse receipts.

  1. Every warehouseman shall keep a complete  record of all grain handled by him including the following:
    1. Name, address and phone number of the  grower and of the owner;
    2. Date of issuance of receipt;
    3. Kind, quantity, quality and grade of grain  received;
    4. Agreed purchase price, if purchased;
    5. Agreed commission charged, if consigned;
    6. Date of sale of consigned grain, to whom  sold and price for which sold;
    7. Date and details of settlement with vendor  or consignor;
    8. Documentation stating the location of  the stored commodity. If the commodity is stored in another warehouse,  then proof of bonding by that facility shall be included in the records.
  2. The above records shall be open to the  confidential inspection of the department or its authorized agents  at all times. Upon request of the depositor, every warehouseman shall  issue a receipt for all grain received for storage on a form furnished  by the department.

History. Laws 1939, ch. 15, § 10; C.S. 1945, § 34-610; Laws 1957, ch. 55, § 7; W.S. 1957, § 11-160; W.S. 1977, § 11-12-112 ; Laws 1978, ch. 32, § 1; 1983, ch. 42, § 1; 1993, ch. 191, § 3; 2002 Sp. Sess., ch. 4, § 1; 2005, ch. 232, § 2.

The 2005 amendment in (a) and (b), substituted “warehouseman” for “warehouseman and warehouse”; in (a)(i), substituted “Name, address and phone number” for “Name and address”; added (a)(viii); in (b), twice substituted “department” for “director”; and made stylistic changes.

Laws 2005, ch. 232, § 4, makes the act effective immediately upon completion of all acts necessary for a bill to become law as provided by art. 4, § 8, Wyo. Const. Approved March 10, 2005.

§ 11-11-112. Stored grain to be insured; insurance requirements; disaster loss to be reported.

  1. All grain stored shall be insured against  loss for full value by an insurance company licensed to do business  in this state. A copy of the insurance policy in effect shall be provided  to the department at the time of the license application and the audit.
  2. Each warehouseman shall comply fully with  the terms of insurance policies or contracts covering their warehouse  and all products stored therein, and shall not commit any acts, nor  permit others to commit any acts, that might impair or invalidate  such insurance.

History. Laws 1939, ch. 15, § 11; C.S. 1945, § 34-611; Laws 1957, ch. 55, § 8; W.S. 1957, § 11-161; W.S. 1977, § 11-12-113 ; Laws 1978, ch. 32, § 1; 1993, ch. 191, § 3; 2005, ch. 232, § 2.

The 2005 amendment rewrote the section, adding (b), designating the former undesignated paragraph as (a), in (a), deleting “The director shall prescribe rules and regulations necessary for the safe conduct of the grain storage business and shall require that” in the first sentence, and adding the last sentence.

Laws 2005, ch. 232, § 4, makes the act effective immediately upon completion of all acts necessary for a bill to become law as provided by art. 4, § 8, Wyo. Const. Approved March 10, 2005.

§ 11-11-113. Grading of grain; notation on warehouse receipt.

All grain accepted for storage shall be graded by the warehouseman or designee according to standards of the United States department of agriculture, and the grade established shall be specified upon the warehouse receipt issued for the grain.

History. Laws 1939, ch. 15, § 12; C.S. 1945, § 34-612; Laws 1957, ch. 55, § 9; W.S. 1957, § 11-162; W.S. 1977, § 11-12-114 ; Laws 1978, ch. 32, § 1; 2005, ch. 232, § 2.

The 2005 amendment inserted “by the warehouseman or designee.”

Laws 2005, ch. 232, § 4, makes the act effective immediately upon completion of all acts necessary for a bill to become law as provided by art. 4, § 8, Wyo. Const. Approved March 10, 2005.

§ 11-11-114. Stored grain to constitute bailment; amount in storage to equal issued storage certificates; exceptions; conversion; seizure.

  1. The storage of grain with a warehouse  and the movement of grain by a warehouseman constitutes a bailment  and not a sale. Upon return of the scale ticket bearing the name of  the bailee or warehouse receipt properly endorsed and payment or tender  of all advances and charges, the owner of the scale ticket or warehouse  receipt is entitled to, and the warehouseman or person operating a  warehouse shall deliver the identical grade and amount of grain placed  in storage or transported. Every person operating a warehouse shall  maintain at all times in storage, in the state of Wyoming, grain equal  in amount and grade to all scale tickets and warehouse receipts issued,  unless authorized in writing by holders of scale tickets or warehouse  receipts or by the department to move to other storage, and failure  to do so is a conversion thereof.
  2. Grain stored with a warehouse is not liable  to seizure upon process of a court against the bailee except upon  action by the owners of scale tickets or warehouse receipts to enforce  the terms of the scale tickets or receipts. In the event of the failure  or insolvency of the bailee, the grain shall be first applied as soon  as ownership is established and within one hundred twenty (120) days  exclusively to the redemption and satisfaction of outstanding scale  tickets and warehouse receipts for grain stored or moved with the  bailee and grain on hand in a particular warehouse of the bailee shall  be first applied to the redemption and satisfaction of the scale tickets  or receipts issued by that warehouseman or person operating a warehouse  as the bailee.
  3. The department shall, by rule and regulation,  require posting of current tariffs.

History. Laws 1939, ch. 15, § 13; C.S. 1945, § 34-613; Laws 1957, ch. 55, § 10; W.S. 1957, § 11-163; W.S. 1977, § 11-12-115 ; Laws 1978, ch. 32, § 1; 1983, ch. 91, § 1; 1993, ch. 191, § 3; 2002 Sp. Sess., ch. 4, § 1; 2005, ch. 232, § 2.

The 2005 amendment in (a), substituted “department” for “director”; and added (c).

Laws 2005, ch. 232, § 4, makes the act effective immediately upon completion of all acts necessary for a bill to become law as provided by art. 4, § 8, Wyo. Const. Approved March 10, 2005.

Am. Jur. 2d, ALR and C.J.S. references. —

Liability of warehouseman or other bailee for loss of goods stored at other than agreed-upon place, 76 ALR4th 883.

§ 11-11-115. Disposition of collected funds.

There is created the grain warehouse inspection account. All funds collected by the department shall be deposited in the account created by this section. Interest earned by the account shall be retained in the account. The account is appropriated for use and expenditure by the department for the costs of administering the programs under this article. Itemized vouchers shall be submitted to the department for approval. Upon approval, a warrant for the payment of each voucher shall be issued by the state auditor for payment from the grain warehouse inspection account.

History. Laws 1939, ch. 15, § 19; C.S. 1945, § 34-618; W.S. 1957, § 11-164; Laws 1974, ch. 16, § 2; W.S. 1977, § 11-12-116 ; Laws 1978, ch. 32, § 1; 1993, ch. 191, § 3; 1994, ch. 46, § 1; 2005, ch. 231, § 1; ch. 232, § 2.

The 2005 amendments. —

The first 2005 amendment, by ch. 231, § 1, effective July 1, 2005, deleted “within the earmarked revenue fund” at the end of the first sentence.

The second 2005 amendment, by ch. 232, § 2, substituted “department” for “director,” “board of agriculture,” and “chief executive officer of the board.”

Laws 2005, ch. 232, § 4, makes the act effective immediately upon completion of all acts necessary for a bill to become law as provided by art. 4, § 8, Wyo. Const. Approved March 10, 2005.

See the conflicting amendment note. This section is set out incorporating the amendments by both 2005 acts.

Conflicting legislation. —

Laws 2005, ch. 231, § 3, provides: “The provisions of this act shall supersede the provisions of any other bill enacted into law during the 2005 general session which amends or references accounts or funds to the extent any other enactment is inconsistent with the establishment of the funds and accounts created under this act. The state auditor shall account for any fund or account created in any other legislation enacted in the 2005 general session in accordance with generally accepted accounting principles (GAAP) as promulgated by the governmental accounting standards board (GASB) and in accordance with this act.”

§ 11-11-116. Revocation and cancellation of license.

Failure of any warehouseman or person operating a warehouse to comply with the provisions of this chapter will render the license of the warehouseman or person operating a warehouse subject to revocation and cancellation by the department.

History. Laws 1939, ch. 15, § 16; C.S. 1945, § 34-616; Laws 1957, ch. 55, § 13; W.S. 1957, § 11-165; W.S. 1977, § 11-12-117 ; Laws 1978, ch. 32, § 1; 1993, ch. 191, § 3; 2002 Sp. Sess., ch. 4, § 1; 2005, ch. 232, § 2.

The 2005 amendment substituted “department” for “director.”

Laws 2005, ch. 232, § 4, makes the act effective immediately upon completion of all acts necessary for a bill to become law as provided by art. 4, § 8, Wyo. Const. Approved March 10, 2005.

§ 11-11-117. Prohibited acts; penalties for violations.

  1. Any person who engages in or carries on  any grain warehousing business without first having obtained a license,  or who continues to engage in or carry on such business after his  license has been suspended, revoked or expires is guilty of a misdemeanor  and shall be fined not less than one hundred dollars ($100.00) nor  more than five hundred dollars ($500.00) for each offense. Each day  that such unlicensed business is carried on is a separate offense.
  2. Any warehouseman or person operating a  warehouse who converts to his own use or that of another, any grain  stored or accepted for storage of the value of one thousand dollars  ($1,000.00) or more, is guilty of a felony and shall be fined not  less than five hundred dollars ($500.00) for each day of violation  and imprisoned for not to exceed fourteen (14) years. If the value  of the grain converted is less than one thousand dollars ($1,000.00),  the warehouseman or person operating a warehouse is guilty of a misdemeanor  and shall be fined not to exceed five hundred dollars ($500.00) or  imprisoned not to exceed six (6) months, or both.

History. Laws 1939, ch. 15, § 17; C.S. 1945, § 34-617; Laws 1957, ch. 55, § 14; W.S. 1957, § 11-166; W.S. 1977, § 11-12-118 ; Laws 1978, ch. 32, § 1; 2002 Sp. Sess., ch. 4, § 1; 2005, ch. 232, § 2.

The 2005 amendment increased penalties for violations throughout.

Laws 2005, ch. 232, § 4, makes the act effective immediately upon completion of all acts necessary for a bill to become law as provided by art. 4, § 8, Wyo. Const. Approved March 10, 2005.

Severability. —

Section 18, ch. 15, Laws 1939, reads: “If any clause, sentence, paragraph or part of this act shall for any reason be adjudged by any court of competent jurisdiction to be invalid, such judgment shall not effect, impair or invalidate the remainder thereof, but shall be confined in its operations to the clause, sentence, paragraph or part thereof directly involved in the controversy in which such judgment shall have been rendered.”

§ 11-11-118. Perjury.

Any affirmation under this chapter shall be given under penalty of perjury.

History. Laws 2005, ch. 232, § 1.

Effective dates. —

Laws 2005, ch. 232, § 4, makes the act effective immediately upon completion of all acts necessary for a bill to become law as provided by art. 4, § 8, Wyo. Const. Approved March 10, 2005.

§ 11-11-119. Cease and desist orders; warehousemen; notice; opportunity for hearing.

  1. After notice and opportunity for hearing,  the department shall issue a final cease and desist order to a warehouseman  if the warehouseman or any officer, director, employee or agent of  the warehouse is violating any state statute or rule relating to warehouses  or warehousemen.
  2. Before issuing a final cease and desist  order, the department shall serve notice of intent to issue the order  upon the warehouseman. The notice shall be in writing and shall contain  the information required by W.S. 11-11-121(a). The proposed order shall direct the warehouseman to  discontinue the violations of law, rule or regulation.
  3. The warehouseman may request a hearing  on the proposed order before the director in accordance with W.S. 11-11-121(b). If the warehouseman does not request a hearing in writing  within the prescribed time period, the proposed order shall become  a final cease and desist order and the department shall serve the  final order upon the warehouseman.

History. Laws 2005, ch. 232, § 1.

Effective dates. —

Laws 2005, ch. 232, § 4, makes the act effective immediately upon completion of all acts necessary for a bill to become law as provided by art. 4, § 8, Wyo. Const. Approved March 10, 2005.

§ 11-11-120. Temporary cease and desist order; warehousemen; service.

  1. If the department believes the actions  of a warehouseman or of any officer, director, employee or agent of  the warehouse pose an immediate threat to the safety and soundness  of the warehouse or to the interests of the depositors or creditors  of the warehouse, the department shall issue a temporary cease and  desist order to the warehouseman or officer, director, employee or  agent of the warehouse pending final action on the proposed cease  and desist order issued pursuant to W.S. 11-11-119(a).
  2. The temporary order shall be in writing  and shall be served upon the warehouseman. The temporary order shall  take effect upon service and shall remain in effect until the director  issues the final cease and desist order, the department dismisses  the proposed cease and desist order or a court of competent jurisdiction  dismisses the proposed cease and desist order after hearing.
  3. On or after the effective date of the  temporary order, the attorney general, upon request from the department,  may apply to the district court for the county in which the warehouse  is located for enforcement of the temporary order. If the warehouseman  operates warehouses in two (2) or more counties, the request may be  made in any county where the warehouseman operates a warehouse. The  application for enforcement shall be given precedence over other cases  pending in court and shall in every way be expedited.
  4. The warehouseman, officer, director, employee  or agent to whom a temporary cease and desist order is issued may  apply to the district court for the county in which the warehouse  is located for a stay of the temporary cease and desist order. The  application for stay shall be given precedence over other civil cases  pending in court and shall be expedited. The court shall grant the  stay only if the warehouseman, officer, director, employee or agent  shows he will be irreparably harmed unless the stay issues and there  is substantial likelihood he will prevail on the merits.

History. Laws 2005, ch. 232, § 1.

Effective dates. —

Laws 2005, ch. 232, § 4, makes the act effective immediately upon completion of all acts necessary for a bill to become law as provided by art. 4, § 8, Wyo. Const. Approved March 10, 2005.

§ 11-11-121. Procedures for enforcement actions; service of notice; content of orders; contested case proceedings; appeal.

  1. All notices and orders required to be  served by the department under this article shall be served by certified  mail return receipt requested to the last known address of the warehouseman  or may be served as provided by the Wyoming Rules of Civil Procedure.  Notice of a proposed order issued by the department under this article  shall include:
    1. A statement of the grounds for issuing  the proposed order, including a citation to the statute or rule involved;
    2. A statement of the facts in support of  the allegations;
    3. A statement informing the warehouseman  subject to the proposed order of the right to a hearing on the order  before the director, right of appeal of any subsequent order in accordance  with the Wyoming Administrative Procedure Act and that failure to  timely request a hearing will result in the order becoming final;  and
    4. A copy of the proposed order.
  2. A request for hearing on a proposed order  issued by the department under this article shall be in writing and  shall be submitted to the director no later than seven (7) days after  receipt of the notice of intent from the department. The director  shall hold the hearing no later than fifteen (15) days after receipt  of the request for hearing, unless the warehouseman subject to the  proposed order requests an extension of time for good cause shown.
  3. A hearing on a proposed order issued under  this article shall be a contested case hearing conducted in accordance  with the Wyoming Administrative Procedure Act. After the hearing,  the director shall issue findings of fact and conclusions of law and  a final decision either confirming or dismissing a proposed order.  The director shall confirm a proposed order only if the director finds  by a preponderance of the evidence that grounds exist under this article  for issuing the order. Otherwise, the director shall dismiss the proposed  order. If the director confirms a proposed order it shall become a  final order.
  4. The department shall serve a final order  under this article upon the warehouseman who is the subject of the  order. The final order shall take effect upon service and shall remain  in effect until the department or the court terminates the final order.  The warehouseman who is the subject of the order may appeal the issuance  of a final order in accordance with the Wyoming Administrative Procedure  Act.
  5. On or after the effective date of a final  order under this article, the attorney general, upon request from  the department, may apply to the district court of the county in which  the warehouse is located for enforcement of the final order. The application  for enforcement shall be given precedence over other cases pending  in court and shall in every way be expedited.

History. Laws 2005, ch. 232, § 1.

Wyoming Administrative Procedure Act. —

See 16-3-101(a), (b)(i).

Effective dates. —

Laws 2005, ch. 232, § 4, makes the act effective immediately upon completion of all acts necessary for a bill to become law as provided by art. 4, § 8, Wyo. Const. Approved March 10, 2005.

Chapter 12 Seeds

Cross references. —

As to definition of “director,” see § 11-1-101 .

Am. Jur. 2d, ALR and C.J.S. references. —

3 Am. Jur. 2d, Agriculture § 2.

3 C.J.S. Agriculture §§ 3, 65, 68 to 73.

§ 11-12-101. Definitions.

  1. Repealed by Laws 2007, ch. 8, § 4.
  2. As used in this act:
    1. “Controlling the pollination” means to  use a method of hybridization which will produce pure seed which is  at least seventy-five percent (75%) hybrid seed;
    2. “Dormant” means viable seed, excluding  hard seed, which fails to germinate when provided the specific germination  conditions for the kind of seed in question;
    3. “Germination” means the emergence and  development from the seed embryo of those essential structures which,  for the kind of seed in question, are indicative of the ability to  produce a normal plant under favorable conditions. For the purposes  of this act, “germination” may also mean the percentage of seed determined  viable by a tetrazolium test for species identified in the rules for  testing, or for species for which there are no rules for testing;
    4. “Hard seed” means seed which remains hard  at the end of the prescribed test period because it has not absorbed  water due to an impermeable seed coat;
    5. “Hybrid” as applied to kinds or varieties  of seed, means the first generation seed of a cross produced by controlling  the pollination and by combining:
      1. Two (2) or more inbred lines;
      2. One (1) inbred or a single cross with  an open pollinated variety; or
      3. Two (2) selected clones, seed lines, varieties  or species.
    6. “Inert matter” means all matter that is  not a seed, including broken seeds, sterile florets, chaff, fungus  bodies and stones;
    7. “Kind” means one (1) or more related species  or subspecies which singly or collectively is known by one (1) common  name, including but not limited to, soybean, flax, barley and wheat;
    8. “Labeling” means the display or displays  of written, printed or graphic matter upon or attached to the container  of seed or accompanying and pertaining to any seed whether sold in  bulk or in containers, including invoices;
    9. “Lot” means the number or other identification  that relates to records pertaining to the known quantity of seed;
    10. “Origin” means the state, District of  Columbia, Puerto Rico or possession of the United States, or the foreign  country or designated portion thereof, where the seed was grown;
    11. “Pure seed” means seed exclusive of inert  matter and all other seed not of the seed being offered for sale;
    12. “Rules for testing” means procedures specified  by the Association of Official Seed Analysts for conducting seed analysis;
    13. “Seed” means the propagative part of a  plant normally capable of germination to produce a new plant, including  ovules, tubers and bulbs. “Seed” also includes the following as defined  for the purposes of this act:
      1. “Agricultural seeds” means any agronomic  crop seeds or seeds of species as defined in W.S. 11-1-101 ;
      2. “Flower seed” means seeds of herbaceous  plants grown for their blooms, ornamental foliage or other ornamental  parts and commonly known and sold under the name of flower seeds in  this state;
      3. “Tree seed” means seeds of woody plants  commonly known and sold as tree and shrub seeds in this state; or
      4. “Vegetable seed” means the seeds of those  crops that are or may be grown in gardens or truck farms and are generally  known and sold under the name of vegetable seeds in this state.
    14. “Total viable” means:
      1. Germination plus dormant seed plus hard  seed; or
      2. Viable as determined by a tetrazolium  test for species identified in the rules for testing, or for species  for which there are no rules for testing.
    15. “Treated seed” means any seed that has  been treated with chemicals that are harmful to humans, livestock  or other vertebrate animals;
    16. “Variety” means a subdivision of a kind  which is characterized by growth, plant, fruit, seed or other characters  by which it can be differentiated from other sorts of the same kind,  including but not limited to, C2243 wheat and Manchu soybeans;
    17. “Weeds” includes the following as defined  for purposes of this act:
      1. “Prohibited noxious weeds” means the seeds  of any species for which the department by rule has established zero  (0) tolerance;
      2. “Restricted noxious weeds” means any species  for which the department by rule has established an allowable tolerance;
      3. “Regulated weeds” means seed, other than  prohibited noxious weeds or restricted noxious weeds, of any species  for which the department by rule has established a limitation of amount  per pound in a seed lot.
    18. “This act” means W.S. 11-12-101 through 11-12-124 .

History. Laws 1941, ch. 126, § 15; C.S. 1945, § 34-715; W.S. 1957, § 11-193; W.S. 1977, § 11-14-101 ; Laws 1978, ch. 32, § 1; 1983, ch. 169, § 3; 2007, ch. 8, §§ 2, 4.

Cross references. —

As to meaning of “board,” see § 11-1-101 .

The 2007 amendment, effective July 1, 2007, repealed former (a), which defined seeds and prohibited noxious weeds; and added (b).

§ 11-12-102. Exceptions to applicability.

  1. This act does not apply to any person  who:
    1. Has seeds in storage for conditioning  or cleaning and the intended use of the seed is not planting;
    2. Is a resident grower of seed who sells  his seed to a seed dealer who is licensed pursuant to this act;
    3. Repealed by Laws 2006, ch. 114, § 2.
  2. Any resident grower who sells or offers  for sale any agricultural, vegetable, flower or tree seeds grown only  by him and sold or offered for sale at the headquarters of his operations  directly to grower planters of the seed and not for resale is exempt  from the licensing provisions under W.S. 11-12-103 .

History. Laws 1941, ch. 126, § 9; C.S. 1945, § 34-709; Laws 1947, ch. 117, § 2; 1957, ch. 18, § 1; W.S. 1957, § 11-194; W.S. 1977, § 11-14-102 ; Laws 1978, ch. 32, § 1; 1983, ch. 169, § 3; 2006, ch. 114, §§ 1, 2; 2007, ch. 8, § 2.

The 2006 amendment repealed (a)(iii), concerning any resident grower who sells or offers to sell agricultural, vegetable, flower or tree seeds; and added (b).

Laws 2006, ch. 114, § 5, makes the act effective immediately upon completion of all acts necessary for a bill to become law as provided by art. 4, § 8, Wyo. Const. Approved March 24, 2006.

The 2007 amendment, effective July 1, 2007, in (a), deleted “agricultural, vegetable, flower or tree” following “Has,” substituted “conditioning or cleaning and the intended use of the seed is not planting” for “recleaning, but are not processed and sold or offered for sale for seed purposes within the state” in (i); and substituted “seed who sells his seed to a seed dealer who is licensed pursuant to this act” for “agricultural, vegetable, flower or tree seeds” in (ii).

Meaning of “this act.” —

For the definition of “this act,” referred to this section, see § 11-12-101(b)(xxiii).

Conflicting legislation. —

Laws 2006, ch. 114, § 3 provides: “[A]ny other act adopted by the Wyoming legislature during the same session in which this act is adopted shall be given precedence and shall prevail over the amendments in this act to the extent that such acts are in conflict with this act.”

§ 11-12-103. Licensing.

  1. Any person who sells or offers for sale  or distribution in Wyoming any seeds shall obtain a license from the  department. The license shall expire annually on March 31. Application  for the license shall include the name and address of the person to  whom the license is to be issued and the location of the place or  places of business of the applicant. The application shall be accompanied  by the license fee authorized by W.S. 11-1-104 for each place of business selling seeds in packets,  packages or bulk of ten (10) pounds or more. This subsection shall  not apply to any person licensed in accordance with W.S. 11-11-103 .
  2. Any person who conditions grain or seed  for hire in Wyoming shall obtain a license from the department. The  license shall expire annually on March 31. Application for the license  shall include the name and address of the person to whom the license  is to be issued and the location of the place or places of business  of the applicant. The application shall be accompanied by the license  fee which shall be the same as the fee established for a seed dealer  license. This subsection shall not apply to any person licensed in  accordance with W.S. 11-11-103 .
  3. Charitable and educational institutions  shall be exempt from licensing requirements imposed by this section.

History. Laws 1941, ch. 126, § 4; 1943, ch. 70, § 1; C.S. 1945, § 34-704; Laws 1947, ch. 117, § 1; 1949, ch. 103, § 1; 1951, ch. 23, § 3; 1955, ch. 236, § 2; W.S. 1957, § 11-195; Laws 1959, ch. 28, 1; W.S. 1977, § 11-14-103 ; Laws 1978, ch. 32, § 1; 1983, ch. 169, § 3; 1993, ch. 135, § 2; 2007, ch. 8, § 2.

The 2007 amendment, effective July 1, 2007, added (b) and (c), and redesignated the former provisions as (a); and in (a), substituted “Any person who sells or offers” for “No person shall sell or offer,” substituted “seeds shall obtain a license from the department” for “agricultural, vegetable, flower or tree seeds without obtaining a license from the state department of agriculture,” in the first sentence, substituted “subsection” for “section” in the last sentence; and made a related change.

§ 11-12-104. Restrictions on the sale of weed seeds; allowed tolerance for other noxious weeds; rulemaking.

  1. No person shall sell or offer for sale  or distribution in Wyoming seed which contains any prohibited noxious  weed seeds. The department, by rule and regulation, may establish  a list of prohibited noxious weeds, restricted noxious weeds and regulated  weeds and establish tolerances for restricted noxious weeds and regulated  weeds.
  2. and  (c) Repealed by Laws 2007, ch. 8, § 4.
  3. Any seed which contains any prohibited  noxious weed seeds or exceeds the tolerance established on restricted  noxious weed seeds or regulated weed seeds shall be removed from sale  in Wyoming and impounded by the director and shall be released only  for the following purposes:
    1. For complete destruction;
    2. For removal outside of the state;
    3. To be conditioned to the point that no  prohibited noxious weeds are present and to the point that the tolerance  established on restricted noxious weeds and regulated weeds is not  exceeded;
    4. For processing in such a way as to make  the weed seeds harmless and sold as feed; or
    5. For burial in an approved landfill.

History. Laws 1941, ch. 126, § 3; 1943, ch. 70, § 1; C.S. 1945, § 34-703; Laws 1951, ch. 23, § 2; W.S. 1957, § 11-196; W.S. 1977, § 11-14-104 ; Laws 1978, ch. 32, § 1; 1983, ch. 169, § 3; 1993, ch. 191, § 3; 2007, ch. 8, §§ 2, 4.

Cross references. —

As to meaning of “board,” see § 11-1-101 .

As to weed and pest control generally, see chapter 5 of this title.

The 2007 amendment, effective July 1, 2007, rewrote (a) and added the last sentence to clarify the selling of noxious weed seeds; repealed former (b), which read listed prohibited noxious weeds; repealed former (c), which related to the adopting and publishing of rules and regulations to establish a list of restricted noxious weed seeds; in (d), substituted “Any seed which contains” for “agricultural, vegetable, flower or tree seeds which contain,” inserted “or regulated weed seeds,” deleted “of the department of agriculture” following “director” in the introductory language; in (iii), substituted “conditioned” for recleaned,” substituted “weeds” for “weed seeds,” and substituted “weeds and regulated weeds” for “weed seeds”; deleted “to be” following “harmless and” in (iv); deleted “dump” from the end of (v); and made related changes.

§ 11-12-105. Labeling of packages required; contents; exception.

  1. Each lot of seed which is sold or offered  for sale in Wyoming, shall be legibly labeled in English upon the  exterior of the container with a written or printed label. The label  shall show:
    1. The commonly accepted name of the kind  of seed. If seeds are mixed, the kind of each seed making up five  percent (5%) or more of the mixture shall be stated separately;
    2. The full name and address of the person  selling, offering or distributing the seeds for sale;
    3. The percentage of pure seed, crop seed  (not to be added to pure seed), inert matter, common weed seeds by  weight, germination, hard seed and the month and year of the germination  test;
    4. The origin of the seed;
    5. Lot number or other lot identification;
    6. Name and number of each kind of restricted  noxious weed seeds per pound; and
    7. The words “poisonous treated” shall appear  in bold print if the seeds have been treated with chemicals which  are toxic or poisonous to either humans, livestock or other vertebrate  animals.
  2. When seeds are sold or offered for sale  in bulk, the label required by subsection (a) of this section shall  be conspicuously displayed on the container of each lot of bulk seed.  A printed or written statement bearing the required labeling information  shall be taken from the bulk seed container label in the presence  of the purchaser and given to the purchaser upon request.
  3. This section does not apply to flower,  tree, garden or vegetable seeds labeled to comply with the requirements  of the United States department of agriculture by authority of the  Federal Seed Act [7 U.S.C. §§ 1551 through 1611].

History. Laws 1941, ch. 126, § 1; C.S. 1945, § 34-701; Laws 1951, ch. 23, § 1; 1953, ch. 136, § 1; 1955, ch. 236, § 1; W.S. 1957, § 11-197; W.S. 1977, § 11-14-105 ; Laws 1978, ch. 32, § 1; 1983, ch. 169, § 3; 2007, ch. 8, § 2.

Cross references. —

As to weed and pest control generally, see chapter 5 of this title.

The 2007 amendment, effective July 1, 2007, in (a), deleted “package or” following “Each,” deleted “whether in package or bulk” following “lot of seed,” in the introductory language; in (i), substituted “If seeds are mixed” for “and variety of seed, and”; substituted “distributing” for “transporting” in (ii); deleted “which shall have been made within twelve (12) months prior to the sale of the seed” at the end of (iii); substituted “livestock or other vertebrate animals” for “or livestock” in (vii); and made stylistic and related changes.

Section did not constitute sign law within meaning of former § 34.1-2-326(c)(i) (now repealed), relating to consignment sales and the rights of creditors under the UCC. United Agri-Products Fin. Servs., Inc. v. O's Gold Seed Co., 733 P.2d 252, 1987 Wyo. LEXIS 399 (Wyo. 1987).

§ 11-12-106. Lawn grass seed.

Lawn grass seed mixtures offered for sale in Wyoming shall comply with all requirements of this act, and in addition shall contain at least fifty percent (50%) of perennial permanent type lawn grass seed that is adapted to local growing conditions, such as Kentucky blue grass (Poa pratensis), bent grass (Agrostis species) or fescue (Festuca species).

History. Laws 1941, ch. 126, § 2; 1943, ch. 70, § 1; C.S. 1945, § 34-702; W.S. 1957, § 11-198; W.S. 1977, § 11-14-106 ; Laws 1978, ch. 32, § 1; 1983, ch. 169, § 3.

Meaning of “this act.” —

For the definition of “this act,” referred to this section, see § 11-12-101(b)(xxiii).

Cross references. —

As to weed and pest control generally, see chapter 5 of this title.

§ 11-12-107. Weed seeds.

No person shall sell in the retail trade in this state, any seed which contains two percent (2%) or more of weed seeds by weight.

History. Laws 1941, ch. 126, § 2; 1943, ch. 70, § 1; C.S. 1945, § 34-702; W.S. 1957, § 11-198; W.S. 1977, § 11-14-106 ; Laws 1978, ch. 32, § 1; 1983, ch. 169, § 3; 2007, ch. 8, § 2.

Cross references. —

As to weed and pest control generally, see chapter 5 of this title.

The 2007 amendment, effective July 1, 2007, substituted “seed which contains two percent (2%) or more of weed” for “agricultural, vegetable, flower or tree seeds either in package or in bulk, which contain two percent (2%) or more of common weed.”

§ 11-12-108. Screenings to be specially labeled and free from noxious weed seeds; seizure and destruction; grain cleaning establishments.

Screenings of any seeds or grains which are offered for sale by any person shall be legibly labeled as such and not sold as seeds. They shall be free of prohibited noxious weed seeds and shall not exceed the tolerance established on restricted noxious weed seed. Screenings found to contain weed seeds in violation of this section are subject to seizure by the director of the department of agriculture. Screenings are subject to the provisions of W.S. 11-12-104(d).

History. Laws 1941, ch. 126, § 6; 1943, ch. 70, § 1; C.S. 1945, § 34-706; Laws 1953, ch. 136, § 3; W.S. 1957, § 11-199; W.S. 1977, § 11-14-107 ; Laws 1978, ch. 32, § 1; 1983, ch. 169, § 3; 1993, ch. 191, § 3.

Cross references. —

As to meaning of “director,” see § 11-1-101 .

As to weed and pest control generally, see ch. 5 of this title.

§ 11-12-109. Failure to label or false labeling of seeds.

It is unlawful for any person to sell or offer for sale or to deliver within Wyoming any seeds which are misbranded or are not labeled in accordance with the requirements of W.S. 11-12-103 through 11-12-108 , or if the seed is falsely labeled in any respect, subject to such tolerance as established by the board.

History. Laws 1941, ch. 126, § 7; C.S. 1945, § 34-707; W.S. 1957, § 11-200; W.S. 1977, § 11-14-108 ; Laws 1978, ch. 32, § 1; 1983, ch. 169, § 3.

Cross references. —

As to meaning of “board,” see § 11-1-101 .

§ 11-12-110. Importation of seeds.

It is unlawful for any person to transport or cause to be transported into Wyoming any seed without meeting the requirements of this act.

History. Laws 1941, ch. 126, § 5; C.S. 1945, § 34-705; Laws 1953, ch. 136, § 2; W.S. 1957, § 11-201; W.S. 1977, § 11-14-109 ; Laws 1978, ch. 32, § 1; 1983, ch. 169, § 3; 2007, ch. 8, § 2.

The 2007 amendment, effective July 1, 2007, substituted “seed” for “agricultural, vegetable, flower or tree seeds.”

Meaning of “this act.” —

For the definition of “this act,” referred to this section, see § 11-12-101(b)(xxiii).

§ 11-12-111. [Repealed.]

Repealed by Laws 1983, ch. 169, § 4.

Editor's notes. —

This section, which derived from Laws 1941, ch. 126, § 8, related to the penalty for violations of W.S. 11-12-103 through 11-12-110 .

§ 11-12-112. Director to enforce provisions; power of director to examine seeds; exception; purchase of samples.

The director shall enforce this act. The director or his agents shall have free access at all reasonable hours upon and into any premises or structures where seed is stored or offered for sale, except federally sealed granaries or warehouses, to examine any seeds and, upon tendering payment therefor at the current value, may take from any person a sample or samples of the seeds.

History. Laws 1941, ch. 126, § 10; C.S. 1945, § 34-710; W.S. 1957, § 11-203; W.S. 1977, § 11-14-111 ; Laws 1978, ch. 32, § 1; 1983, ch. 169, § 3; 1993, ch. 191, § 3; 2007, ch. 8, § 2.

The 2007 amendment, effective July 1, 2007, deleted “of the department of agriculture” following “The director.”

Meaning of “this act.” —

For the definition of “this act,” referred to this section, see § 11-12-101(b)(xxiii).

§ 11-12-113. Rulemaking.

  1. The board shall promulgate, adopt and  publish rules and regulations in accordance with the Wyoming Administrative  Procedure Act [§§ 16-3-101 through 16-3-115 ] for the purpose of carrying out this act.
  2. Except as otherwise provided for in this  act, no ordinance or regulation of any political subdivision may prohibit  or in any way attempt to regulate any matter relating to the registration,  labeling, sale, storage, transportation, distribution, notification  of use or use of seeds, if any ordinance, law or regulation of the  political subdivision is in conflict of this chapter.

History. Laws 1941, ch. 126, § 14; C.S. 1945, § 34-714; W.S. 1957, § 11-204; W.S. 1977, § 11-14-112 ; Laws 1978, ch. 32, § 1; 1983, ch. 169, § 3; 2007, ch. 8, § 2.

Cross references. —

As to meaning of “board,” see § 11-1-101 .

The 2007 amendment, effective July 1, 2007, added (b).

Meaning of “this act.” —

For the definition of “this act,” referred to this section, see § 11-12-101(b)(xxiii).

§ 11-12-114. Seed and grain cleaning establishments; certificates of approval; lists thereof.

The board shall establish standards and other requirements whereby seed and grain cleaning establishments may be issued a certificate of approval. A list of approved establishments for cleaning seeds and grain shall be maintained by the director.

History. Laws 1941, ch. 126, § 6; 1943, ch. 70, § 1; C.S. 1945, § 34-706; Laws 1953, ch. 136, § 3; W.S. 1957, § 11-199; W.S. 1977, § 11-14-107 ; Laws 1978, ch. 32, § 1; 1983, ch. 169, § 3; 1993, ch. 191, § 3; 2007, ch. 8, § 2.

Cross references. —

As to meaning of “board” and “director,” see § 11-1-101 .

The 2007 amendment, effective July 1, 2007, substituted “maintained by the director” for “published by the director of the department of agriculture” and made stylistic changes.

§ 11-12-115. State seed analyst; seed laboratory.

  1. The department shall operate a state seed  laboratory through a memorandum of understanding with the University  of Wyoming. The terms and conditions of the memorandum of understanding  shall include the designation and compensation of a state seed analyst.
  2. A state laboratory operated for the purposes  of seed analysis shall be located in Park County.

History. Laws 1941, ch. 126, § 11; 1943, ch. 70, § 1; C.S. 1945, § 34-711; Laws 1949, ch. 65, § 20; 1953, ch. 136, § 4; ch. 139, § 1; 1957, ch. 157, § 25; W.S. 1957, § 11-205; Laws 1961, ch. 148, § 26; 1965, ch. 115, § 27; 1974, ch. 16, § 2; W.S. 1977, § 11-14-113 ; Laws 1978, ch. 32, § 1; 1983, ch. 169, § 3; 1991, ch. 29, § 3; 1997, ch. 178, § 1; 2002 Sp. Sess., ch. 73, § 1; 2007, ch. 8, § 2.

Cross references. —

As to meaning of “board,” see § 11-1-101 .

The 2007 amendment, effective July 1, 2007, substituted “department” for “board of agriculture” in (a).

§ 11-12-116. Analysis of seeds.

  1. Any person may have his seed analyzed  by the state seed analyst by paying transportation charges to the  laboratory and a fee.
  2. All samples submitted for analysis shall  be taken in accordance with the current regulations of sampling set  forth by the United States department of agriculture by authority  of the Federal Seed Act [7 U.S.C. §§ 1551 through 1611].
  3. Seed testing shall be done in accordance  with the current association of official seed analysts’ rules for  testing seed.
  4. The state seed analyst may provide a list  of recommended fees for seed testing and services to the seed laboratory  advisory group.
  5. The seed laboratory advisory group shall  review the state seed analyst’s list and provide their recommendation  for testing and service fees to the board.
  6. Fees for testing and services shall become  effective upon approval by the board. The board may set testing and  service fees at different levels for in-state and out-of-state samples.
  7. The state seed analyst, upon approval  by the board, may enter into a separately negotiated contract with  a government entity to provide testing and services at approximate  cost.

History. Laws 1941, ch. 126, § 12; 1943, ch. 70, § 1; C.S. 1945, § 34-712; Laws 1951, ch. 23, § 4; 1953, ch. 136, § 5; W.S. 1957, § 11-206; W.S. 1977, § 11-14-114 ; Laws 1978, ch. 32, § 1; 1983, ch. 169, § 3; 2007, ch. 8, § 2.

Cross references. —

As to meaning of “board,” see § 11-1-101 .

The 2007 amendment, effective July 1, 2007, deleted “established by the board” at the end of (a); and added (d) through (g).

§ 11-12-117. Disposition of collected funds.

All funds collected from seed analyses shall be deposited in the general fund.

History. Laws 1941, ch. 126, § 16; C.S. 1945, § 34-716; Laws 1947, ch. 117, § 3; 1953, ch. 136, § 6; W.S. 1957, § 11-207; Laws 1974, ch. 16, § 2; W.S. 1977, § 11-14-115 ; Laws 1978, ch. 32, § 1.

Severability. —

Section 18, ch. 126, Laws 1941, reads: “If any section, subsection, sentence, clause, or phrase of this act is for any reason held unconstitutional, such decision shall not affect the validity of the remaining portions of this act.”

Repealing clauses. —

Section 17, ch. 126, Laws 1941, repealed §§ 1 to 21, ch. 127, Laws 1937, and all acts or parts of acts inconsistent with that act.

§ 11-12-118. Duty of district or county and prosecuting attorney to prosecute reported violations.

Any district or county and prosecuting attorney to whom the director of the department of agriculture reports any violation of this act shall cause appropriate proceedings to be commenced and prosecuted in the proper courts without delay.

History. Laws 1941, ch. 126, § 13; C.S. 1945, § 34-713; W.S. 1957, § 11-208; W.S. 1977, § 11-14-116 ; Laws 1978, ch. 32, § 1; 1981, Sp. Sess., ch. 22, § 1; 1983, ch. 169, § 3; 1993, ch. 191, § 3.

Meaning of “this act.” —

For the definition of “this act,” referred to this section, see § 11-12-101(b)(xxiii).

§ 11-12-119. Seed certification service; authority to make rules; fees; disposition thereof.

The seed certification service of the college of agriculture of the University of Wyoming may engage in the certification of varieties of seeds and propagating materials, and make such rules and regulations with respect to certification and varieties eligible for certification as necessary to insure the production of certified seed of high quality. The seed certification service may charge reasonable fees for conducting the certification program, and shall use the funds received to defray the cost of conducting the certification program.

History. Laws 1933, ch. 62, § 1; C.S. 1945, § 34-717; Laws 1957, ch. 15, § 1; W.S. 1957, § 11-209; W.S. 1977, § 11-14-117 ; Laws 1978, ch. 32, § 1.

§ 11-12-120. False labeling of seeds; prohibited.

It is unlawful for any person to attach or cause to be attached to any container of seeds or propagating materials, for the purpose of certifying the contents, any label or tag describing the contents as certified seed or propagating material, except labels or tags which are issued by the seed certification service of the college of agriculture, University of Wyoming, for the purpose of certification.

History. Laws 1933, ch. 62, § 1; C.S. 1945, § 34-717; Laws 1957, ch. 15, § 1; W.S. 1957, § 11-209; W.S. 1977, § 11-14-117 ; Laws 1978, ch. 32, § 1; 1983, ch. 169, § 3.

§ 11-12-121. False labeling of seeds; false labeling as prima facie evidence of violation.

Any label or tag prohibited by W.S. 11-12-120 found attached to any container of seed or propagating material is prima facie evidence of a violation of W.S. 11-12-120 by the person falsely labeling or tagging the container.

History. Laws 1933, ch. 62, § 2; C.S. 1945, § 34-718; Laws 1957, ch. 15, § 2; W.S. 1957, § 11-210; W.S. 1977, § 11-14-118 ; Laws 1978, ch. 32, § 1; 1983, ch. 169, § 3.

§ 11-12-122. Quarantine.

  1. The board, in compliance with this act,  may promulgate rules and regulations to establish a quarantine against  movement of seed containing prohibited noxious weed seed and restricted  noxious weed seed which exceeds the tolerance established and may  enter into an agreement with law enforcement agencies to carry out  the quarantine provisions.
  2. and  (c) Repealed by Laws 2007, ch. 8, § 4.
  3. All seed shipments through the state shall  be covered in a prescribed manner so as not to allow the dissemination  of noxious weed seed.

History. Laws 1983, ch. 169, § 1; 1993, ch. 191, § 3; 2007, ch. 8, §§ 2, 4.

The 2007 amendment, effective July 1, 2007, deleted “the entry into Wyoming and intrastate” following “quarantine against” in (a); repealed former (b), which read: “Seed shall be free of prohibited noxious weed seed and shall not exceed the tolerance on restricted noxious weed seed prior to entry into the state or shall be so verified by proper authority in the state of origin”; repealed former (c), which read: “Seed shall be free of prohibited noxious weed seed and shall not exceed the tolerance on restricted noxious weed seed prior to intrastate movement, or shall be so verified by the director of the department of agriculture”; and substituted “All seed” for “Interstate” in (d).

Editor's notes. —

Former § 11-12-122 , relating to penalties for violation of §§ 11-12-101 through 11-12-123 , was renumbered by § 2, ch. 169, Laws 1983, as § 11-12-123 .

Meaning of “this act.” —

For the definition of “this act,” referred to this section, see § 11-12-101(b)(xxiii).

§ 11-12-123. Seed laboratory advisory group created; composition; appointment; officers; vacancy; meetings; quorum.

  1. There is created a seed laboratory advisory  group which shall be comprised of the following:
    1. Voting members shall be:
      1. One (1) member of the board, appointed  by the chairman of the board;
      2. One (1) member representing organizations  whose primary goal is improved seed production, appointed by the board;
      3. Two (2) members representing the Wyoming  seed industry, appointed by the board;
      4. Two (2) members who are certified or contract  seed growers, appointed by the board;
      5. One (1) member who is a person interested  in seed quality, appointed by the board.
    2. Nonvoting members shall be:
      1. The director of the Wyoming department  of agriculture or his designee;
      2. The University of Wyoming experiment station  director;
      3. The head of the University of Wyoming  college of agriculture plant science department or his designee;
      4. The Wyoming seed certification service  manager, who shall serve as the seed laboratory advisory group secretary;
      5. The state seed analyst.
  2. All voting members shall serve terms of  three (3) years. A member may serve for more than one (1) term.
  3. The chairman and the vice-chairman shall  serve terms of two (2) years with the vice-chairman succeeding the  chairman. The chairman and vice-chairman shall be elected by a majority  of the voting members at the annual meeting. In the event that the  chairman is not able to complete his term, the vice-chairman shall  complete that term in addition to serving the succeeding term. In  the event the vice-chairman is unable to complete his term, an election  of a new chairman and vice-chairman shall take place at the next annual  meeting.
  4. In the event of a vacancy on the seed  laboratory advisory group, the board shall appoint a new member to  complete the term of the vacating member.
  5. One (1) regular meeting shall be held  annually in conjunction with a Wyoming crop improvement industry meeting,  as called by the chairman or as called by a majority of the voting  members.
  6. A majority of the voting members shall  constitute a quorum.

History. Laws 2007, ch. 8, § 1.

Editor's notes. —

Former § 11-12-123 , was amended and renumbered as § 11-12-125 by Laws 2007, ch. 8, § 3.

Effective dates. —

Laws 2007, ch. 8, § 1, makes the act effective July 1, 2007.

§ 11-12-124. Seed laboratory advisory group duties.

  1. The seed laboratory advisory group shall:
    1. Maintain a policy of operation manual,  which shall be reviewed by seed laboratory advisory group members  at the annual meeting, and shall contain the policies and operational  procedures of the seed laboratory advisory group;
    2. Serve in an advisory role to aid the state  seed analyst, the University of Wyoming, the Wyoming department of  agriculture and the board in the management of the seed laboratory;
    3. Annually review the price list for seed  testing and services provided by the laboratory;
    4. Recommend to the board as necessary, any  changes to the price list or other fees of the laboratory;
    5. Review the annual seed laboratory report;
    6. Recommend to the board as necessary, any  major capital purchases needed by the laboratory;
    7. Recommend to the board as necessary, the  use of new technologies or other seed testing needs as they occur;
    8. Provide support as necessary to seed laboratory  customers;
    9. Provide to the board as necessary, constructive  ideas on how the laboratory can serve Wyoming and the region more  effectively.

History. Laws 2007, ch. 8, § 1.

Effective dates. —

Laws 2007, ch. 8, § 5, makes the act effective July 1, 2007.

§ 11-12-125. Penalties; director authorized to investigate and file complaint.

  1. Any person violating any provision of  this act is guilty of a misdemeanor and shall be fined not more than  seven hundred fifty dollars ($750.00), or imprisoned for not more  than six (6) months, or both for each offense. Each day shall constitute  a separate violation.
  2. The director is authorized to investigate  alleged violations and to file a complaint with the proper district  or county and prosecuting attorney for the prosecution of violations.
  3. Any person found guilty of violating any  provision of W.S. 11-12-101 through 11-12-124 , shall reimburse the state for the cost of any control  actions, treatments, quarantine, confiscation, destruction or removal  of any seed from the state resulting from the violation. Amounts collected  under this subsection shall be paid to the department of agriculture  technical services division account.

History. Laws 1933, ch. 62, § 3; C.S. 1945, § 34-719; Laws 1957, ch. 15, § 3; W.S. 1957, § 11-211; W.S. 1977, § 11-14-119; Laws 1978, ch. 32, § 1; Rev. W.S. 1977, § 11-12-122 ; Laws 1981, Sp. Sess., ch. 22, § 1; 1983, ch. 169, § 2; 1993, ch. 191, § 3; Laws 2007, ch. 8, § 3.

The 2007 amendment, effective July 1, 2007, in (a), substituted “seven hundred fifty dollars ($750.00)” for “two hundred dollars ($200.00)” and added the last sentence; deleted “of the department of agriculture” following “The director” in (b); and added (c).

Editor's notes. —

Former § 11-12-123 was amended and renumbered as § 11-12-125 by Laws 2007, ch. 8, § 3.

Meaning of “this act.” —

For definition of “this act,” referred to in this section, see § 11-12-101(b)(xxiii).

Chapter 13 Commercial Feed

Cross references. —

As to requiring board of trustees of University of Wyoming to provide for operation of research station to conduct programs related to soils, vegetation diseases, fertilizers, insects, irrigation phases and other related factors in order to effectuate reduction or elimination of causes detrimental to agriculture, see § 21-17-302(c).

Am. Jur. 2d, ALR and C.J.S. references. —

3 Am. Jur. 2d Agriculture § 2.

Liability of manufacturer or seller for injury caused by animal feed, 81 ALR2d 138.

Products liability: animal feed or medicines, 29 ALR4th 1045.

Validity, under commerce clause (art. I, § 8, cl. 3), of state statutes regulating labeling of food, 79 ALR Fed 246.

3 C.J.S. Agriculture, §§ 3, 15 to 19, 23; 36A C.J.S. Food § 3 et seq.

§ 11-13-101. Short title.

This act may be cited as the “Wyoming Commercial Feed Law.”

History. Laws 1969, ch. 215, § 1; W.S. 1957, § 11-221.1; W.S. 1977, § 11-15-101 ; Laws 1978, ch. 32, § 1; 1996, ch. 26, § 2.

Meaning of “this act.” —

For the definition of “this act,” referred to in this section, see § 11-13-102(a)(xxvii).

§ 11-13-102. Definitions; exemptions.

  1. As used in this act:
    1. “Association of America Feed Control Officials  (AAFCO)” means officials of any state, dominion, federal or other  governmental agency in North America, and employees thereof charged  with the responsibility of enforcing laws regulating the production,  labeling, distribution or sale of animal feeds;
    2. “Association of Official Analytical Chemists  (AOAC)” means government and industry officials charged with developing  analytical methods and the collaborative testing of those methods,  validating data and accepting or rejecting those methods for use;
    3. “Brand name” means any word, name, symbol,  device or any combination thereof identifying the commercial feed  of a distributor or registrant and distinguishing it from that of  others;
    4. “Commercial feed” means all liquid or  solid materials or combination of materials, including custom formula  feed, medicated feed and mineral feed, which are distributed or intended  for distribution for use as feed or for mixing in feed for animals  other than man except the following:
      1. Unmixed seed, whole or processed, made  directly from the entire seed, or unmixed or unprocessed whole seeds;
      2. Raw meat, hay, straw, stover, silage,  cobs, husks, hulls and individual chemical compounds or substances  when such commodities, compounds or substances are not intermixed  with other materials, and are not adulterated within the meaning of W.S. 11-13-106(c)(ii).
    5. “Contract feeder” means a person who as  an independent contractor, feeds commercial feed to animals pursuant  to a contract whereby the commercial feed is supplied, furnished or  otherwise provided to the person and whereby the person’s remuneration  is determined all or in part by feed consumption, mortality, profits  or amount or quality of product;
    6. “Custom formula feed” means commercial  feed which consists of a mixture of commercial feeds or feed ingredients  each batch of which is manufactured according to the specific instructions  of the final purchaser;
    7. “Department” means the state department  of agriculture;
    8. “Director” means the director of the department  of agriculture;
    9. “Distribute” means to offer for sale,  sell, exchange or barter commercial feed or to supply, furnish or  otherwise provide commercial feed;
    10. “Distributor” means any person who distributes;
    11. “Drug” means any article intended for  use in the diagnosis, cure, mitigation, treatment or prevention of  disease in animals other than man and articles other than feed intended  to affect the structure or any function of the animal body;
    12. “Feed” means commercial feed, pet food  and specialty pet food;
    13. “Feed ingredient” means each of the constituent  materials making up a commercial feed;
    14. “Label” means a display of written, printed  or graphic matter upon or affixed to the container in which a commercial  feed is distributed, or on the invoice or delivery slip with which  a commercial feed or custom formula feed is distributed;
    15. “Labeling” means all labels and other  written, printed or graphic matter upon a commercial feed, any of  its containers or wrappers, or accompanying such commercial feed;
    16. “Manufacture” means to grind, mix or blend,  or further process a commercial feed for distribution;
    17. “Medicated feed” means any commercial  feed which contains drug ingredients intended for the cure, mitigation,  treatment or prevention of diseases of animals, or which contains  drug ingredients intended to affect the structure or any function  of the body of animals;
    18. “Mineral feed or mixture” means a commercial  feed designed or intended to supply primarily mineral elements or  inorganic nutrients;
    19. “Official sample” means any sample of  feed taken by and designated as official by the director or his agent;
    20. “Percent” or “percentage” means percentage  by weight;
    21. “Pet” means any domesticated animal normally  maintained in or near the household of the owner thereof;
    22. “Pet food” means any commercial feed prepared  and distributed for consumption by pets;
    23. “Product name” means the name of the commercial  feed which identifies it as to kind, class or specific use;
    24. “Specialty pet” means any domesticated  animal pet normally maintained in a cage or tank, such as, but not  limited to, gerbils, hamsters, canaries, psittacine birds, mynahs,  finches, tropical fish, goldfish, snakes and turtles;
    25. “Specialty pet food” means any commercial  feed prepared and distributed for consumption by a specialty pet;
    26. “Ton” means a net weight of two thousand  (2,000) pounds avoirdupois;
    27. “This act” means W.S. 11-13-101 through 11-13-110 .
  2. The names and definitions for commercial  feeds shall be the official definition of feed ingredients adopted  by the Association of American Feed Control Officials (AAFCO) and  the director, except as he designates otherwise in specific cases,  or as specified in this section.
  3. The terms used in reference to commercial  feeds shall be the official feed terms adopted by the Association  of American Feed Control Officials and the director, except as he  designates otherwise in specific cases or as specified in this section.
  4. Individual chemical compounds and substances  are hereby declared exempt from the definition of “commercial feed” under the provisions of this act. The director may exempt a product  from the provisions of this act if he finds that the product meets  the following criteria:
    1. There is an adopted Association of American  Feed Control Officials definition for the product;
    2. The product is either generally recognized  as safe or is not covered by a specific food and drug administration  regulation;
    3. The product is either a natural occurring  product of relatively uniform chemical composition or is manufactured  to meet the Association of American Feed Control Officials definition  of the product;
    4. The use of the product in the feed industry  constitutes a minor portion of its total industrial use;
    5. Small quantities of additives, which are  intended to impart special desirable characteristics shall be permitted;  and
    6. There is no need or problem of control  of this product.
  5. Nothing in this act shall apply to any  contract feeder as defined by this act.

History. Laws 1917, ch. 122, § 1; C.S. 1920, § 3758; R.S. 1931, § 5-901; C.S. 1945, § 34-901; Laws 1949, ch. 24, § 1; W.S. 1957, §§ 11-212, 11-221.2; Laws 1969, ch. 215, § 2; 1975, ch. 30, § 1; W.S. 1977, § 11-15-102 ; Laws 1978, ch. 32, § 1; 1993, ch. 191, § 3; 1996, ch. 26, § 2.

§ 11-13-103. Labels.

  1. Every lot, package or parcel of commercial  feed sold, offered for sale or distributed within this state shall  have a tag or label affixed in a conspicuous place on the outside,  containing a legible printed statement clearly and truly certifying:
    1. The product name and the brand name, if  any, under which the commercial feed is distributed;
    2. A purpose statement which shall contain  the specific species and animal class for which the feed is intended.  The manufacturer shall have flexibility in describing in more specific  common language the defined animal class, specie and purpose while  being consistent with the category of animal class, which may include  but not be limited to the weight range, sex or ages of the animals  for which the feed is manufactured. The purpose statement may be excluded  from the label if the product name includes a description of the species  and animal class for which the product is intended;
    3. The guaranteed analysis stated in such  terms that will advise the user of the composition of the feed or  to support claims made in the labeling. In all cases the substances  or elements must be determinable by laboratory methods. The guaranteed  analysis shall contain the following information:
      1. The minimum percent of crude protein;
      2. The percent of added approved synthetic  nitrogen sources reported as protein, for ruminant feeding only;
      3. The minimum percent of crude fat;
      4. The maximum percent of crude fiber;
      5. The vitamin content as listed;
      6. The month and year of preparation or lot  number, all legibly printed;
      7. The maximum percent of water in the case  of liquid commercial feeds; and
      8. Other substances or elements, determinable  by laboratory methods, guaranteed by permission of the director.
    4. The common or usual name of each ingredient  used in the manufacture of commercial feed. The name of each ingredient  shall be defined in the official publication of the Association of  American Feed Control Officials, common or usual name, or one (1)  approved by the director. The use of a collective term for a group  of ingredients which perform a similar function shall be permitted.  Collective terms for grouping of feed ingredients as defined in the  official definitions of feed ingredients published in the official  publication of the Association of American Feed Control Officials  in lieu of the individual ingredients may be used provided that:
      1. When a collective term for a group of  ingredients is used on the label, individual ingredients within that  group shall not be listed on the label; and
      2. The manufacturer shall provide the department,  upon request, with a list of individual ingredients, within a defined  group, that are or have been used at manufacturing facilities distributing  in or into this state.
    5. Directions for use and any warning or  precaution statements;
    6. The name and principal address of the  manufacturer or person responsible for distributing the commercial  feed;
    7. The net weight of the contents of the  package, lot or parcel stated in the required avoirdupois;
    8. For medicated feeds:
      1. The word “medicated” shall appear directly  below the product name;
      2. The guaranteed analysis of the drug or  medication used, expressed in terms respective to the type of drug  or medication used; and
      3. A claim statement shall be included in  the labeling.
  2. A custom formula feed shall be accompanied  by a label, invoice, delivery slip or other shipping document and  be supplied to the purchaser at the time of delivery bearing the following  information:
    1. Name and address of the manufacturer;
    2. Name and address of the purchaser;
    3. Date of sale or delivery;
    4. The custom formula feed name, product  name and brand name, if any, and number of pounds of each registered  commercial feed used in the mixture and the name and number of pounds  of each other feed ingredient added;
    5. The net weight of the contents of the  package, lot or parcel, stated in the required avoirdupois; and
    6. The directions for use and any precautionary  statements for all custom formula feeds containing drugs and for such  other feeds as necessary for their safe and effective use. Any custom  formula feeds containing drugs or medications shall also be provided  as outlined in subsection (a) of this section with a claim statement  and the guaranteed analysis of the drug or medication used, expressed  in terms respective to the type of drug or medication used. Should  any custom formula feed be distributed to any other person than the  final purchaser for whom the feed was made, it shall be considered  a commercial feed and shall meet all labeling and registration requirements  of a commercial feed as outlined in this act.
  3. Every lot, package or parcel of mineral  mixtures sold, offered for sale or distributed as commercial feed  within this state shall have a tag or label affixed in a conspicuous  place on the outside containing a legible printed statement truly  certifying:
    1. The net weight of the contents of the  package, lot or parcel stated in the required avoirdupois;
    2. The product name and brand name, if any,  under which the mineral mixture is distributed;
    3. The name and principal mailing address  of the manufacturer or person responsible for distributing the mineral  mixture;
    4. The minimum and maximum percent of calcium  (Ca) subject to the following limitations:
      1. The maximum percent of calcium shall not  exceed by more than twenty percent (20%) the minimum percent of calcium  unless the minimum percent of calcium is five percent (5%) or less,  in which case the maximum percent of calcium may exceed the minimum  by one percent (1%) of calcium; and
      2. Where limestone is used as a source of  calcium in livestock minerals sold in Wyoming, no limestone shall  be used which contains less than ninety percent (90%) of calcium carbonate  (CaCO3).
    5. The minimum percent of phosphorus (P);
    6. The minimum percent of iodine (I);
    7. The maximum percent of sodium chloride  (NaCl);
    8. The specific generic name of each ingredient  used in its manufacture.
  4. The crude protein, crude fat, crude fiber,  vitamins and minerals shall be determined by the methods in force  at the time by the Association of Official Analytical Chemists.

History. Laws 1917, ch. 122, § 2; C.S. 1920, § 3759; R.S. 1931, § 5-902; C.S. 1945, § 34-902; Laws 1949, ch. 24, § 2; 1951, ch. 38, § 1; W.S. 1957, §§ 11-213, 11-221.3; Laws 1969, ch. 215, § 3; 1975, ch. 30, §§ 1, 2; W.S. 1977, § 11-15-103 ; Laws 1978, ch. 32, § 1; 1993, ch. 191, § 3; 1996, ch. 26, § 2.

Meaning of “this act.” —

For the definition of “this act,” referred to in this section, see § 11-13-102(a)(xxvii).

§ 11-13-104. Powers and duties of director generally.

  1. The director shall enforce the provisions  of this chapter and may prescribe the form of tags, stamps or labels  to be used to show that the registration has been properly filed.  The director may prescribe and enforce rules and regulations relating  to the sale of commercial feed he deems necessary and may adopt such  standards and definitions to carry into effect the full intent and  meaning of the law.
  2. The director may refuse to register any  commercial feed under a name, brand or trademark which would tend  to mislead or deceive as to the materials of which it is composed,  or when the specific name of each ingredient used in its manufacture  is not stated except for those feeds that utilize collective terms  in the labeling. He may refuse registration of any application not  in compliance with the law and may cancel any registration subsequently  found not to be in compliance with the law. No registration shall  be refused or cancelled until the registrant has been given opportunity  to be heard before the director and to amend his application in order  to bring it into compliance.
  3. An applicant may appeal the refusal to  register a product in accordance with the Wyoming Administrative Procedure  Act [§§ 16-3-101 through 16-3-115 ].

History. Laws 1917, ch. 122, § 10; C.S. 1920, § 3767; R.S. 1931, § 5-910; C.S. 1945, § 34-910; W.S. 1957, §§ 11-214, 11-221.4; Laws 1969, ch. 215, § 4; W.S. 1977, § 11-15-104 ; Laws 1978, ch. 32, § 1; 1993, ch. 191, § 3; 1996, ch. 26, § 2.

§ 11-13-105. Registration; fees; disposition thereof.

  1. Each commercial feed except custom formula  feeds shall be registered before being distributed in this state.  The application for registration shall be submitted on forms furnished  by the director, and if the director requests, shall also be accompanied  by a label or other printed matter describing the product. Upon approval  by the director or his agent, a copy of the registration shall be  furnished to the applicant. All registrations are effective from the  date of approval and expire on December 31 each year. The director  may permit on the registration the alternative listing of ingredients  of comparable feed value, but the label for each package shall state  the specific ingredients in the package except for those feeds which  utilize collective terms in the labeling.
  2. A distributor is not required to register  any brand of commercial feed which is already registered under this  act by another person.
  3. Changes in the chemical or ingredient  composition of a registered commercial feed may be permitted if there  is satisfactory evidence that such changes do not result in lowering  the feed value of the product for the purpose for which designed.
  4. Each application for registration shall be accompanied with a forty dollar ($40.00) registration fee per mixture or formula. The registration fee shall be deposited in the state general fund.

History. Laws 1917, ch. 122, §§ 3 to 5; C.S. 1920, §§ 3760 to 3762; R.S. 1931, §§ 5-903 to 5-905; C.S. 1945, §§ 34-903 to 34-905; Laws 1955, ch. 149, § 1; W.S. 1957, §§ 11-215 to 11-217, 11-221.5; Laws 1969, ch. 215, § 5; 1974, ch. 16, § 2; W.S. 1977, § 11-15-105 ; Laws 1978, ch. 32, § 1; 1993, ch. 73, § 1; ch. 191, § 3; 1996, ch. 26, § 2; 2020, ch. 26, § 1.

The 2020 amendment, effective July 1, 2020, in (d), substituted “forty dollar ($40.00) registration fee” for “twenty dollar ($20.00) registration fee.”

Meaning of “this act.” —

For the definition of “this act,” referred to in this section, see § 11-13-102(a)(xxvii).

§ 11-13-106. Right of access to establishments and information relating to manufacturing; sampling and analysis.

  1. The director or his agent shall have access  during normal business hours to establishments or facilities in which  commercial feed is manufactured, transported or held for distribution,  and to information relating to manufacture, transportation or distribution  of the feed for purposes of sampling and inspection.
  2. The methods of sampling and analysis shall  be those adopted by the director from the Association of Official  Analytical Chemists. In cases not covered by such methods, or in cases  where methods are available in which improved applicability has been  demonstrated, the director may adopt such appropriate methods from  other sources. The director, in determining whether a commercial feed  is deficient in any component, shall be guided solely by the official  sample analyzed in accordance with the methods so adopted. A deficiency  in an official sample of commercial feed resulting from nonuniformity  during packaging is deemed to be a deficiency for the purposes of  this act. For purposes of this act, the results of official analysis  shall be final, unless it is determined by the director that a resample  is warranted. If a distributor or registrant requests a resample of  a commercial feed based upon the director’s findings of a deficiency,  all costs associated with the resampling and analysis shall be borne  by the distributor or registrant. If the results of the resampling  establish the result of the first analysis was invalid, the department  shall bear the costs associated with the resampling. Any requests  for a resample to the director shall be made in writing.
  3. When the inspection and analysis of an  official sample indicates a commercial feed has been adulterated or  misbranded, the results of analysis shall be forwarded by the director  to the distributor and the purchaser. The following shall apply:
    1. A commercial feed shall be deemed to be  misbranded if:
      1. Its labeling is false or misleading in  any particular;
      2. It is distributed under the name of another  commercial feed;
      3. It is not labeled as required in W.S. 11-13-103 ;
      4. It purports to be or is represented as  a commercial feed or if it purports to contain or is represented as  containing a commercial feed unless such feed conforms to the definition  outlined by the official publication of the Association of American  Feed Control Officials, except as the director designates otherwise  in specific cases;
      5. Any word, statement or other information  required by or under the authority of this act does not appear conspicuously  on the label, and in such terms that the ordinary person under customary  conditions of purchase and use would not understand;
      6. The commercial feed is short weight. All  provisions for enforcement of items found to be short weight shall  be administered by the department under W.S. 40-10-117 through 40-10-136 of the Wyoming weights and measures law.
    2. A commercial feed shall be deemed to be  adulterated if:
      1. It bears or contains any poisonous or  deleterious substance which may render it injurious to health, but  in case the substance is not an added substance, such commercial feeds  shall not be considered adulterated under this subsection if the quantity  of such substance does not ordinarily render it injurious to health;
      2. It contains an unapproved food and drug  administration drug, medication or animal remedy;
      3. Any valuable constituent has been in whole  or in part omitted or abstracted therefrom or any less valuable substance  substituted therefor;
      4. It contains any prohibited noxious weed  seeds or exceeds the tolerance established on restricted noxious weed  seeds pursuant to W.S. 11-12-104 or exceeds two percent (2%) of viable common weed seeds  by weight.

History. Laws 1917, ch. 122, §§ 6, 7; C.S. 1920, §§ 3763, 3764; R.S. 1931, §§ 5-906, 5-907; C.S. 1945, §§ 34-906, 34-907; W.S. 1957, §§ 11-218, 11-219, 11-221.6; Laws 1969, ch. 215, § 6; W.S. 1977, § 11-15-106 ; Laws 1978, ch. 32, § 1; 1993, ch. 191, § 3; 1996, ch. 26, § 2.

Cross references. —

As to labeling requirements, see § 11-13-103 .

Meaning of “this act.” —

For the definition of “this act,” referred to in this section, see § 11-13-102 (xxvii).

§ 11-13-107. Warning to distributor; seizure and order of disposition; application for release.

  1. When the director or his authorized agents  find that an article is unregistered, mislabeled or misbranded, adulterated  or that it does not conform to its label guarantee, he may issue a  written statement warning the distributor that the article is considered  to be in violation of the law. This statement is a warning only, to  the distributor that if the article is distributed further the director  may bring proceedings. If the distributor or manufacturer heeds the  warning and corrects the violation within the time allowed by the  director, no further action will be taken.
  2. Any lot of commercial feed not in compliance  with requirements of law and regulations is subject to seizure on  complaint of the director to a court of competent jurisdiction in  the area in which the commercial feed is located. If the court finds  the commercial feed in violation and orders the condemnation of the  feed, it shall be disposed of in any manner consistent with the quality  of the commercial feed and the laws of the state. In no instance shall  the disposition of the commercial feed be ordered by the court without  first giving the claimant an opportunity to apply to the court for  release of the feed or for permission to process or relabel the feed  to bring it into compliance with the law.

History. Laws 1969, ch. 215, § 7; W.S. 1957, § 11-221.7; W.S. 1977, § 11-15-107 ; Laws 1978, ch. 32, § 1; 1993, ch. 191, § 3; 1996, ch. 26, § 2.

Cross references. —

As to labeling requirements, see § 11-13-103 .

§ 11-13-108. Prohibited acts; penalty; additional sanctions.

  1. It is unlawful for any person to:
    1. Sell or distribute in this state any commercial  feed without having attached or furnished such stamps, labels or tags  as required by law;
    2. Impede, prevent or attempt to prevent  the director or his agent in the performance of his lawful duties;
    3. Sell, offer for sale or distribute in  this state any commercial feed without complying with the requirements  of law;
    4. Sell or distribute in this state any commercial  feed which contains a smaller percentage of crude protein or crude  fat or a larger percentage of crude fiber than is certified to be  contained therein;
    5. Fail to properly state the specific name  of each ingredient used in its manufacture except for those feeds  which utilize collective terms in the labeling; or
    6. Sell or distribute in this state any commercial  feed which has not been registered with the department as required  by this act.
  2. Any person who violates any of the provisions  of this section shall be fined not more than one hundred dollars ($100.00)  for the first violation and not less than one hundred dollars ($100.00)  for each subsequent violation.
  3. In addition to the penalty provided in  subsection (b) of this section, the distribution of any commercial  feed mixed or adulterated with any substance injurious to livestock  or pets is subject to seizure, condemnation and sale as the court  may direct, the proceeds from such sale to be deposited in the state  general fund. The court may in its discretion release the feed seized  when the requirements of law have been complied with, and upon payment  of all costs and expenses incurred by the state in any proceedings  connected with the seizure.

History. Laws 1917, ch. 122, § 9; C.S. 1920, § 3766; R.S. 1931, § 5-909; C.S. 1945, § 34-909; W.S. 1957, §§ 11-221, 11-221.8; Laws 1969, ch. 215, § 8; W.S. 1977, § 11-15-108 ; Laws 1978, ch. 32, § 1; 1993, ch. 191, § 3; 1996, ch. 26, § 2.

Meaning of “this act.” —

For the definition of “this act,” referred to in this section, see § 11-13-102 (xxvii).

§ 11-13-109. Promulgation of rules and regulations.

The director is authorized to promulgate such rules and regulations for commercial feeds as may be necessary for the efficient enforcement of this act. Procedures for promulgation shall be those outlined in the Wyoming Administrative Procedure Act.

History. Laws 1996, ch. 26, § 1.

Cross references. —

Wyoming Administrative Procedure Act, see § 16-3-101(a), (b)(xi).

Meaning of “this act.” —

For the definition of “this act,” referred to in this section, see § 11-13-102(a)(xxvii).

§ 11-13-110. Cooperation with other entities.

The director may cooperate with and enter into agreements with governmental agencies of this state, other states and agencies of the federal government in order to carry out the purpose and provisions of this act.

History. Laws 1996, ch. 26, § 1.

Meaning of “this act.” —

For the definition of “this act,” referred to in this section, see § 11-13-102(a)(xxvii).

Chapter 14 Fertilizer

Cross references. —

As to requiring board of trustees of University of Wyoming to provide for operation of research station to conduct programs related to soils, vegetation diseases, fertilizers, etc., in order to effectuate reduction or elimination of causes detrimental to agriculture, see § 21-17-302(c).

Am. Jur. 2d, ALR and C.J.S. references. —

3 Am. Jur. 2d Agriculture § 53.

3 C.J.S. Agriculture §§ 74 to 82.

§ 11-14-101. Short title.

This act shall be known as the “Wyoming Fertilizer Law of 2009.”

History. Laws 1971, ch. 88, § 1; W.S. 1957, § 11-193; W.S. 1977, § 11-17-101 ; Laws 1978, ch. 32, § 1; 2009, ch. 92, § 3.

The 2009 amendment, effective July 1, 2009, substituted “2009” for “1971”.

Meaning of “this act.” —

For the definition of “this act,” referred to in this section, see § 11-14-103(a)(xxv).

§ 11-14-102. Administration of provisions.

This act shall be administered by the state department of agriculture, hereinafter referred to as the department.

History. Laws 1971, ch. 88, § 2; W.S. 1957, § 11-194; W.S. 1977, § 11-17-102 ; Laws 1978, ch. 32, § 1; 1993, ch. 191, § 3.

Meaning of “this act.” —

For the definition of “this act,” referred to in this section, see § 11-14-103(a)(xxv).

§ 11-14-103. Definitions.

  1. As used in this act:
    1. “Brand” means a term, design or trademark  used in connection with one (1) or several grades of commercial fertilizer;
    2. “Bulk fertilizer” means a commercial fertilizer  distributed in a nonpackaged form;
    3. “Commercial fertilizer” means any substance  containing one (1) or more recognized plant nutrients used for its  nutrient content and designed for use or claimed to have value in  promoting plant growth;
    4. “Deficient” means the amount of nutrient  found by analysis less than that guaranteed which may result from  a lack of nutrient ingredients or from lack of uniformity;
    5. “Department” means the Wyoming department  of agriculture;
    6. “Director” means the director of the department  of agriculture;
    7. “Distributor” means any person who imports,  consigns, distributes, manufactures, produces, compounds, formulates,  mixes, blends or applies commercial fertilizer, soil conditioner or  soil amendment or who offers for sale, sells, barters or otherwise  supplies commercial fertilizers, soil amendments or soil conditioners  in this state. The distributor may also be the registrant;
    8. “Grade” means the percentage of total  nitrogen, available phosphorus or phosphate, and soluble potassium  or soluble potash stated in whole numbers in the same terms, order  and percentages as in the guaranteed analysis, and fertilizer materials,  bone meal, manures and similar raw materials which may be guaranteed  in fractional units;
    9. “Guaranteed analysis” means the minimum  percentage of plant nutrients claimed in the following order and form:
      1. Total nitrogen (N)  . . . . .  percent  Available  phosphate (P2O5)  . . . . .  percent  Soluble potash (K2O)  . . . . .  percent;
      2. For unacidulated mineral phosphatic materials  and basic slag, both total and available phosphate and the degree  of fineness, and for bone, tankage and other organic phosphatic materials,  total phosphate;
      3. Additional plant nutrients when mentioned  or claimed on the label, container or advertising material, shall  be registered and guaranteed, and guarantees shall be made on the  percentage elemental basis with sources of the elements shown. When  any plant nutrients or other substances or compounds are guaranteed,  they shall be subject to inspection and analysis in accord with the  methods and regulations prescribed by the department;
      4. Potential basicity or acidity expressed  in terms of calcium carbonate equivalent in multiples of one hundred  (100) pounds per ton.
    10. “Investigational allowance” means an allowance  for variations inherent in the taking, preparation and analysis of  an official sample of fertilizer, soil conditioner or soil amendment;
    11. “Label” means the display of all written,  printed or graphic matter upon the container or statement accompanying  a commercial fertilizer, soil amendment or soil conditioner;
    12. “Labeling” means all written, printed  or graphic matter upon or accompanying any commercial fertilizer,  or advertisements, brochures, posters and television or radio announcements  used in promoting the sale of commercial fertilizers, soil amendments  or soil conditioners;
    13. “Mixed fertilizer” means a commercial  fertilizer containing any combination or mixture of fertilizer materials;
    14. “Official sample” means any sample of  fertilizer, soil conditioner or soil amendment taken by the director;
    15. “Percent” or “percentage” means the percentage  by weight;
    16. “Person” means any individual, partnership,  association, corporation, or organized group of persons whether incorporated  or not;
    17. “Primary nutrient” means the plant nutrients  nitrogen (N), available phosphate (P2O5) or soluble potash (K2O);
    18. “Registrant” means the person who registers  commercial fertilizers, soil amendments or soil conditioners under  the provisions of this act. The registrant may also be the distributor;
    19. “Sell” or “sale” means exchange of ownership  or transfer of custody;
    20. “Soil amendment” or “soil conditioner”  means any material which improves the physical or chemical soil characteristics  and is manufactured and sold for such purposes but which is not added  for its plant food content;
    21. “Specialty fertilizer” means a commercial  fertilizer distributed primarily for nonfarm use such as home gardens,  lawns, shrubbery, flowers, golf courses, municipal parks, cemeteries,  greenhouses and nurseries;
    22. “Ton” means a net weight of two thousand  (2,000) pounds avoirdupois;
    23. “Organic fertilizer” means a material  containing carbon and one (1) or more elements other than hydrogen  and oxygen essential for plant growth, and allowed for use under the  Organic Foods Production Act of 1990, as promulgated by the United  States department of agriculture “National List of Allowed and Prohibited  Substances” rule;
    24. “Secondary or micro plant nutrients” means  nutrients other than the primary nutrients that are essential for  the normal growth of plants and that may need to be added to the growth  medium. Secondary plant nutrients shall include calcium, magnesium  and sulfur. Micro plant nutrients shall include boron, chlorine, cobalt,  copper, iron, manganese, molybdenum, nickel, sodium and zinc;
    25. “This act” means W.S. 11-14-101 through 11-14-118 .

History. Laws 1971, ch. 88, § 3; W.S. 1957, § 11-195; W.S. 1977, § 11-17-103 ; Laws 1978, ch. 32, § 1; 1993, ch. 191, § 3; 1995, ch. 46, § 2; 2009, ch. 92, § 3.

The 2009 amendment, effective July 1, 2009, in (a)(xvii) inserted “the plant nutrients” preceding “nitrogen”, deleted “phosphorus, and” preceding “soluble potash”, and deleted “or potassium” thereafter, and added the chemical elements following “nitrogen”, “phosphate” and “soluble potash”, redesignated former (a)(xxviii) as (xxv), added (a)(xxviii) and (xxiv), and substituted “11-14-118” for “11-14-117” in (xxv).

Editor's notes. —

There is no subsection (b) in this section as it appears in the printed acts.

§ 11-14-104. Registration of fertilizer, soil conditioner and soil amendments; applications; fees; disposition thereof; exceptions.

  1. Each brand and grade of commercial fertilizer  shall be registered with the department before being distributed in  this state. The application for registration shall be submitted on  forms furnished by the department and shall include the following  information:
    1. The brand and grade;
    2. The guaranteed analysis;
    3. The name and address of the registrant  or the distributor;
    4. The sources from which the nitrogen, phosphorus  or phosphate and potassium are derived;
    5. Additional plant nutrients, when claimed,  the percentage guaranteed and the sources, provided, the minimum percentages  which will be accepted for registration are those recognized by the  Association of American Plant Food Control Officials.
  2. Each soil conditioner and soil amendment  shall be registered with the department before being distributed in  this state. The application for registration shall be submitted on  forms furnished by the department and shall include the following  information:
    1. The brand;
    2. Guaranteed analysis on label;
    3. The name and address of the registrant  or the distributor.
  3. A registration fee of one hundred fifteen dollars ($115.00) shall accompany each separate formula of brand and grade of fertilizer, soil conditioner or soil amendment to be registered. The registration expires on December 31 next following the date of application and shall be renewed annually. All registration fees collected shall be deposited in the state general fund and may be appropriated by the legislature for programs authorized by W.S. 11-2-202(a)(v), 11-14-101 through 11-14-116 and 11-16-105(a)(v).
  4. A distributor or registrant is not required  to register any commercial fertilizer, specialty fertilizer, soil  conditioner or soil amendment which is already registered under this  act by another person if the label does not differ in any respect.
  5. A distributor or registrant is not required  to register each grade of commercial fertilizer, soil conditioner  or soil amendment formulated according to specifications furnished  by a consumer prior to preparation.

History. Laws 1971, ch. 88, § 4; W.S. 1957, § 11-196; Laws 1974, ch. 16, § 2; W.S. 1977, § 11-17-104 ; Laws 1978, ch. 32, § 1; 1993, ch. 147, § 1; 1995, ch. 46, § 2; 2020, ch. 26, § 1.

The 2020 amendment, effective July 1, 2020, in (c), substituted “registration fee of one hundred fifteen dollars ($115.00)” for “registration fee of seventy-five dollars ($75.00).”

Meaning of “this act.” —

For the definition of “this act,” referred to in this section, see § 11-14-103(a)(xxv).

§ 11-14-105. Label requirements.

  1. Any commercial fertilizer, soil amendment  or soil conditioner distributed in this state in containers shall  have affixed to the container a label setting forth in clearly legible  and conspicuous form the information required by W.S. 11-14-104(a) and (b), the month and year of preparation or lot number,  and shall show the net weight stated in both metric units and avoirdupois.  In case of bulk shipments, this information in written or printed  form shall accompany delivery and be supplied to the purchaser at  time of delivery.
  2. A commercial fertilizer, soil conditioner  or soil amendment formulated according to specifications furnished  by a consumer prior to mixing shall be labeled to show the net weight  stated in both metric units and avoirdupois, guaranteed analysis and  the name and address of the registrant or the distributor.

History. Laws 1971, ch. 88, § 5; W.S. 1957, § 11-197; W.S. 1977, § 11-17-105 ; Laws 1978, ch. 32, § 1; 1995, ch. 46, § 2; 2009, ch. 92, § 3.

Cross references. —

As to misbranding fertilizer, see § 11-14-109 .

The 2009 amendment, effective July 1, 2009, in (a), inserted “, the month and year of preparation or lot number,” in the first sentence.

§ 11-14-106. [Repealed.]

Repealed by Laws 1993, ch. 147, § 2.

Editor's notes. —

This section, which derived from Laws 1971, ch. 88, § 6, related to reports of sales to nonregistrants.

§ 11-14-107. Sampling of fertilizer, soil amendment or soil conditioner.

  1. The director or his designee shall sample,  inspect, make analyses of and test commercial fertilizers, soil conditioners  and soil amendments distributed within this state at any time and  place and to the extent he deems necessary to determine whether they  are in compliance with this act. The director or his designee may  enter upon any premises or carriers during regular business hours  to have access to commercial fertilizers, soil amendments or soil  conditioners subject to the provisions of this act and to the records  relating to their distribution.
  2. The methods of sampling analysis shall  be those adopted by the Association of Official Analytical Chemists  (AOAC). In cases not covered by such methods, or in cases where methods  are available in which improved applicability has been demonstrated,  the department may adopt such appropriate methods from other sources.
  3. The department in determining whether  any commercial fertilizer is deficient in plant food shall be guided  solely by the official sample obtained and analyzed as provided for  in subsection (b) of this section.
  4. Official samples establishing a penalty  for nutrient deficiency shall be retained for a minimum of ninety  (90) days from issuance of a deficiency report. A deficiency in an  official sample of mixed fertilizer resulting from nonuniformity is  not distinguishable from a deficiency due to actual plant nutrient  shortage and is properly subject to official action.
  5. For purposes of this act, the results  of official analysis shall be final, unless it is determined by the  director that a resample is warranted. Should a distributor or registrant  request a resample of a fertilizer based upon the director’s findings  of a deficiency, all costs associated with the resampling and analysis  shall be borne by the distributor or registrant. If results of the  resampling establish the results of first analysis were invalid, the  department shall bear the costs associated with the resampling.

History. Laws 1971, ch. 88, § 7; W.S. 1957, § 11-199; W.S. 1977, § 11-17-107 ; Laws 1978, ch. 32, § 1; 1993, ch. 191, § 3; 1995, ch. 46, § 2.

Meaning of “this act.” —

For the definition of “this act,” referred to in this section, see § 11-14-103(a)(xxv).

§ 11-14-108. Reimbursement of purchaser of deficient fertilizer.

When a fertilizer is deficient in any element beyond recognized investigational allowances, the distributor or registrant must reimburse the purchaser of the fertilizer an amount equal to double the current market value of the fertilizer as determined by the state chemical and bacteriological laboratory.

History. Laws 1971, ch. 88, § 8; W.S. 1957, § 11-200; W.S. 1977, § 11-17-108 ; Laws 1978, ch. 32, § 1; 1995, ch. 46, § 2.

§ 11-14-109. Misbranded or adulterated fertilizer, soil conditioner or soil amendment; distribution of unregistered fertilizer.

  1. No person shall distribute misbranded  fertilizer, soil conditioners or soil amendments. A commercial fertilizer,  soil conditioner or soil amendment is misbranded if:
    1. Its labeling is false or misleading in  any particular way, including being labeled organic fertilizer, when  its use is not allowed pursuant to the United States department of  agriculture “National List of Allowed and Prohibited Substances” rule;
    2. It is distributed under the name of another  fertilizer, soil conditioner or soil amendment;
    3. It is not labeled as required in W.S. 11-14-105 and in accordance with regulations prescribed under this  act.
  2. No person shall distribute an adulterated  fertilizer, soil conditioner or soil amendment. A commercial fertilizer,  soil conditioner or soil amendment is adulterated if:
    1. It contains any deleterious or harmful  ingredient in sufficient amount to render it injurious to beneficial  plant life when applied in accordance with directions for use on the  label, or if adequate warning statements or directions for use which  may be necessary to protect plant life are not shown upon the label;
    2. Its composition falls below or differs  from that which it is purported to possess by its labeling;
    3. It contains unwanted crop seed or weed  seed; or
    4. A commercial fertilizer that contains  guaranteed amounts of phosphates or micronutrients, contains metals  in amounts greater than the levels of metals established by the following  table:

      Metal ppm per 1% PO 2 5 ppm per 1% micronutrients Arsenic 13 112 Cadmium 10 83 Cobalt 3,100 23,000* Lead 61 463 Mercury 1 6 Molybdenum 42 300* Nickel 250 1,900 Selenium 26 180 Zinc 420 2,900* (*only applies when not guaranteed)

      Click to view

      The table shall be used according to the following three (3) situations:

      1. For fertilizers with a phosphate guarantee,  but no micronutrient guarantee, multiply the percent guaranteed P2O5 in the  product by the values in the table to obtain the maximum allowable  concentration of each metal. The minimum value for P2O5 utilized as a multiplier  shall be six (6.0);
      2. For fertilizers with one (1) or more micronutrient  guarantee, but no phosphate guarantee, multiply the sum of the guaranteed  percentages of all micronutrients in the product by the value in the  appropriate column in the table to obtain the maximum allowable concentration  (in parts per million, or ppm) of each metal. The minimum value for  micronutrients utilized as a multiplier shall be one (1);
      3. For fertilizers with both a phosphate  and a micronutrient guarantee, multiply the guaranteed percent P2O5 by the  value in the appropriate column. The minimum value for P2O5 utilized  as a multiplier shall be one (1). Then, multiply the sum of the guaranteed  percentages of the micronutrients by the value in the appropriate  column. The minimum value for micronutrients utilized as a multiplier  shall be one (1). Then, utilize the higher of the two (2) resulting  values as the maximum allowable concentration (ppm) of each metal.
  3. No person shall distribute unregistered  fertilizers, soil conditioners or soil amendments.
  4. No person shall distribute fertilizers,  soil conditioners or soil amendments that are short weight. All provisions  for enforcement of items found to be short weight shall be administered  by the department under W.S. 40-10-117 through 40-10-136 of the weights and measures law.
  5. Any penalties resulting from violations  of these heavy metal standards shall accrue to the registrant of the  material that violates the heavy metal standard.

History. Laws 1971, ch. 88, § 9; W.S. 1957, § 11-201; W.S. 1977, § 11-17-109; Laws 1978, ch. 32, § 1; 1995, ch. 46, § 2; 2009, ch. 92, § 3.

The 2009 amendment, effective July 1, 2009, in the introductory language of (a)(i) added “including being labeled organic fertilizer, when its use is not allowed pursuant to the United States department of agriculture ‘National List of Allowed and Prohibited Substances’ rule”, added (b)(iv), and added (e).

Meaning of “this act.” —

For the definition of “this act,” referred to in this section, see § 11-14-103(a)(xxv).

§ 11-14-110. [Repealed.]

Repealed by Laws 1995, ch. 46, § 3.

Editor's notes. —

This section, which derived from Laws 1971, ch. 88, § 10, related to publication of distribution and analyses information.

§ 11-14-111. Rules and regulations.

The director may prescribe and enforce rules and regulations relating to investigational allowances, definitions, records and the distribution of commercial fertilizers, soil conditioners and soil amendments as necessary to carry out the provisions of this act.

History. Laws 1971, ch. 88, § 11; W.S. 1957, § 11-203; W.S. 1977, § 11-17-111; Laws 1978, ch. 32, § 1; 1993, ch. 191, § 3.

Meaning of “this act.” —

For the definition of “this act,” referred to in this section, see § 11-14-103(a)(xxv).

§ 11-14-112. Refusal, suspension or cancellation of registration; hold orders; release.

  1. A registration may be refused, suspended  or cancelled for any formula of fertilizer, soil conditioner or soil  amendment as herein provided, upon evidence that the product is misbranded  or adulterated. A hold order may be issued to the owner or custodian  of any lot of fertilizer, soil conditioner or soil amendment to stop  sale, use or removal and to hold at a designated place when the director  finds the product is being offered for sale in violation of this act,  until the law has been complied with and the product is released in  writing by the director or the violation has been otherwise legally  disposed of by a court of competent jurisdiction.
  2. No person shall make any false or misleading  representation with regard to any fertilizer, soil conditioner or  soil amendment sold, offered or exposed for sale by the person in  this state, either as principal or agent. No person shall use any  false, misleading or deceptive brand or grade in connection therewith.  The penalties provided by subsection (a) of this section shall apply  to any violation of this subsection.

History. Laws 1971, ch. 88, § 12; W.S. 1957, § 11-204; W.S. 1977, § 11-17-112; Laws 1978, ch. 32, § 1; 1993, ch. 191, § 3; 1995, ch. 46, § 2.

Meaning of “this act.” —

For the definition of “this act,” referred to in this section, see § 11-14-103(a)(xxv).

§ 11-14-113. Seizure and disposition of fertilizer found to be in violation; right to application for release.

Any lot of commercial fertilizer, soil conditioner or soil amendment not in compliance with this act is subject to seizure on complaint of the department to a court of competent jurisdiction in the area in which the commercial fertilizer, soil conditioner or soil amendment is located. If the court finds the commercial fertilizer, soil conditioner or soil amendment to be in violation of this act and orders the condemnation of the commercial fertilizer, soil conditioner or soil amendment, it shall be disposed of in any manner consistent with the quality of the commercial fertilizer and the laws of the state, but in no instance shall the disposition of the commercial fertilizer, soil conditioner or soil amendment be ordered by the court without first giving the claimant an opportunity to apply to the court for release of the commercial fertilizer to bring it into compliance with this act.

History. Laws 1971, ch. 88, § 13; W.S. 1957, § 11-205; W.S. 1977, § 11-17-113; Laws 1978, ch. 32, § 1.

Meaning of “this act.” —

For the definition of “this act,” referred to in this section, see § 11-14-103(a)(xxv).

§ 11-14-114. Notice of violation; hearing; penalty; duty of district attorney; injunctions.

  1. If examination of any commercial fertilizer,  soil conditioner or soil amendment indicates that this act or the  rules and regulations issued thereunder have been violated, the director  shall give notice of the violations and an opportunity for a hearing  to the registrant or distributor. If it appears after the hearing  that this act or rules and regulations issued thereunder have been  violated, the director may certify the facts to the proper district  attorney.
  2. Any person convicted of violating this  act or the rules and regulations issued thereunder is guilty of a  misdemeanor and shall be fined not less than fifty dollars ($50.00)  nor more than one thousand dollars ($1,000.00) for each offense, or  the director may apply to the district court for the purpose of preventing  further violation.
  3. The director is not required to report  for prosecution or for the institution of seizure proceedings minor  violations when he believes that the public interests will be best  served by a suitable notice of warning in writing.
  4. Each district attorney to whom any violation  is reported shall cause appropriate proceedings to be instituted and  prosecuted in a court of competent jurisdiction without delay. Violations  of this act may be enjoined by proceedings brought by the district  attorney of the proper county, or by the attorney general, regardless  of whether criminal proceedings have been instituted, provided the  director has entered a finding pursuant to this act.
  5. The director may apply for and the court  may grant a temporary or permanent injunction, without bond, restraining  any person from violating or continuing to violate this act or any  rule or regulation promulgated under the act notwithstanding the existence  of other remedies at law.

History. Laws 1971, ch. 88, § 14; W.S. 1957, § 11-206; W.S. 1977, § 11-17-114; Laws 1978, ch. 32, § 1; 1981, Sp. Sess., ch. 22, § 1; 1993, ch. 191, § 3; 1995, ch. 46, § 2.

Cross references. —

As to injunctions generally, see ch. 28 of title 1.

Meaning of “this act.” —

For the definition of “this act,” referred to in this section, see § 11-14-103(a)(xxv).

§ 11-14-115. Action for damages to crops; evidence.

  1. Nothing in this act shall preclude the  right of a purchaser to bring an action for any damages to crops,  land or livestock by reason of misbranded, adulterated or deficient  fertilizer, soil conditioner or soil amendment.
  2. The department shall, upon demand, make  all results of samplings, inspections and laboratory analyses available  to any purchaser of fertilizer, soil conditioner or soil amendment.
  3. In a civil action for damages against  any distributor or manufacturer of any misbranded or deficient fertilizer,  soil conditioner or soil amendment, all results of the department  samplings, inspections or laboratory analyses shall be competent evidence  before any court where such civil action is pending.
  4. The results of a criminal action for violation  of this act is competent evidence in any civil action for misbranding  or deficiency of any fertilizer, soil conditioner or soil amendment.

History. Laws 1969, ch. 204, § 2; W.S. 1957, § 11-207; W.S. 1977, § 11-16-101 ; Laws 1978, ch. 32, § 1; 2009, ch. 92, § 3.

The 2009 amendment, effective July 1, 2009, in (a) inserted “, adulterated” following “misbranded”.

Meaning of “this act.” —

For the definition of “this act,” referred to in this section, see § 11-14-103(a)(xxv).

§ 11-14-116. Sales between importers, manufacturers or manipulators excepted from provisions.

Nothing in this act shall restrict or avoid sales or exchanges of commercial fertilizers, soil conditioners or soil amendments to each other by importers, manufacturers or manipulators who mix fertilizer materials for sale, or prevent the free and unrestricted shipment of commercial fertilizers, soil conditioners or soil amendments to manufacturers or manipulators who have registered their brands as required by this act.

History. Laws 1971, ch. 88, § 15; W.S. 1957, § 11-208; W.S. 1977, § 11-17-115; Laws 1978, ch. 32, § 1.

Meaning of “this act.” —

For the definition of “this act,” referred to in this section, see § 11-14-103(a)(xxv).

Severability. —

Section 16, chapter 88, Laws 1971, reads: “If any clause, sentence, paragraph, or part of this Act shall for any reason be judged invalid by any court of competent jurisdiction, such judgment shall not affect, impair, or invalidate the remainder thereof but shall be confined in the operation to the clause, sentence, paragraph, or part thereof directly involved in the controversy in which such judgment shall have been rendered.”

§ 11-14-117. Cooperation with other entities.

The department may cooperate with and enter into agreement with governmental agencies of this state, other states, agencies of the federal government and any nongovernmental entity in order to carry out the purpose and provisions of this act.

History. Laws 1995, ch. 46, § 1.

Meaning of “this act.” —

For the definition of “this act,” referred to in this section, see § 11-14-103(a)(xxv).

§ 11-14-118. Registration of ammonium nitrate.

[2009 Wyoming Session Laws, Chapter 92, provides this section is effective on and after July 1, 2009 only upon certification of the governor to the secretary of state that the United States department of homeland security has published final federal rules under H.R. 2764, Subtitle J, Secure Handling of Ammonium Nitrate or its successor. As of the date of the publication of the 2019 Wyoming statutes no such certification had been made.]

  1. Any person who possesses ammonium nitrate  or regulated ammonium nitrate materials shall be registered with the  department. The registration application shall be on a form approved  by the director in consultation with and upon the recommendation of  the director of the office of homeland security. The director shall  charge an annual registration fee not to exceed fifty dollars ($50.00).  Nothing in this section shall require the registration of any person  who produces, sells or purchases ammonium nitrate exclusively for  use in the production of an explosive under a license or permit issued  under chapter 40 of title 18, U.S.C.
  2. Ammonium nitrate and regulated ammonium  nitrate materials shall be secured to provide reasonable protection  against vandalism, theft or other unauthorized use. Reasonable protection  may include, but not be limited to, ensuring that storage facilities  are fenced and locked when unattended, and inspected daily for signs  of attempted entry or vandalism to any storage facility. The director  in consultation with or upon the recommendation of the director of  the office of homeland security, may recommend other security measures.  The director shall work in consultation with or upon the recommendation  of the director of the office of homeland security to provide information  to ammonium nitrate users on appropriate security measures.
  3. A distributor shall record the date of  sale and quantity sold, the valid state or federal driver’s license  number, the current physical address and telephone number for the  purchaser of ammonium nitrate or regulated ammonium nitrate materials.  If the purchaser obtains physical possession of ammonium nitrate or  regulated ammonium nitrate material, the distributor shall obtain  the registrant’s registration number as a condition of completing  the sale. A registrant, if not a distributor, shall record the date  of application. All sale and application records shall be retained  by each registrant for a period of not less than two (2) years.
  4. Registrants shall comply with all federal  and state requirements regarding the dissemination of any information,  providing the director and the director of the office of homeland  security access to the records.
  5. For the purposes of this section:
    1. “Ammonium nitrate” means chiefly the ammonium  salt of nitric acid. Ammonium nitrate shall not contain less than  thirty-three percent (33%) nitrogen, one-half (1/2) of which is the  ammonium form and one-half (1/2) of which is the nitrate form;
    2. “Regulated ammonium nitrate materials”  means regulated ammonium nitrate material fertilizer products which  have been determined by the director in consultation with and upon  the recommendation of the director of the office of homeland security  to warrant regulation based on the potential explosive capacity of  the fertilizer material determined by the ammonium nitrate content.

History. Laws 2009, ch. 92, § 2.

Editor's notes. —

Laws 2009, ch. 92, § 1, effective July 1, 2009, provides: “Section 2 of this act shall be effective only if the United States department of homeland security publishes final federal rules under H.R. 2764, Subtitle J, Secure Handling of Ammonium Nitrate or its successor. The governor shall certify to the secretary of state the occurrence of the publication of such final federal rules and section 2 of this act shall be effective on the date the certification is filed with the secretary of state. In preparing copy for printing and arranging and furnishing copies of this act for the printer of the session laws or the Wyoming statutes, the legislative service office is authorized to display the provisions of this act in a manner which most effectively displays the contingencies provided in this act.”

Chapter 15 Grading and Shipment of Potatoes

Cross references. —

As to definition of the term “director,” see § 11-1-101 .

Am. Jur. 2d, ALR and C.J.S. references. —

3 Am. Jur. 2d Agriculture § 2.

3 C.J.S. Agriculture § 3; 36A C.J.S. Food §§ 2, 4, 6 et seq.

§ 11-15-101. Grades, classifications and standards.

In order to make the grading and classification of potatoes uniform throughout the United States, the director shall adopt by rule and grades, standards and classifications for potatoes lawfully established by the United States department of agriculture.

History. Laws 1978, ch. 32, § 1; 1993, ch. 191, § 3.

§ 11-15-102. Definitions.

  1. As used in this act:
    1. “Carlot” or “carload” means any railroad  car, truck or trailer, regardless of size;
    2. “This act” means W.S. 11-15-101 through 11-15-112 ;
    3. “Director” means the director of the department  of agriculture.

History. Laws 1978, ch. 32, § 1; 1993, ch. 191, § 3.

Editor's notes. —

There is no subsection (b) in this section as it appears in the printed acts.

§ 11-15-103. Sorting and grading.

Carlot shipments of potatoes originating in Wyoming shall be sorted and graded at point of origin upon request of a majority of the potato growers from the county making shipments from any shipping points within the county as designated by the director.

History. Laws 1925, ch. 95, § 1; R.S. 1931, § 5-801; C.S. 1945, § 34-801; W.S. 1957, § 11-230; W.S. 1977, § 11-18-103 ; Laws 1978, ch. 32, § 1; 1993, ch. 191, § 3.

§ 11-15-104. Director to appoint inspectors; term.

This act shall be enforced by qualified inspectors appointed by the director and licensed by the United States department of agriculture. They shall keep their licenses current and in good standing at all times when employed by the director. They shall serve at the pleasure of the director.

History. Laws 1925, ch. 95, § 4; R.S. 1931, § 5-804; C.S. 1945, § 34-804; W.S. 1957, § 11-231; W.S. 1977, § 11-18-104 ; Laws 1978, ch. 32, § 1; 1993, ch. 191, § 3.

Meaning of “this act.” —

For the definition of “this act,” referred to in this section, see § 11-15-102(a)(ii).

§ 11-15-105. Conformity to applicable standards required; inspection; certificate, use thereof as evidence.

  1. No person shall pack, offer, consign or  sell in carload lots any potatoes loaded within the state which do  not conform to applicable standards, subject to such variations therefrom  as provided by regulations adopted in accordance with this act, unless  such potatoes are specifically described, or plainly marked, in accordance  with regulations to indicate they are ungraded or unclassified.
  2. Whenever grades, standards or classification  have been established for potatoes, it is unlawful for any shipper  to ship carload lots of potatoes without being inspected by an authorized  inspector. The inspector shall issue a certificate of inspection showing  grade, standard or other classification. The certificate shall be  issued in duplicate, one (1) copy shall be attached to bill of lading  and one (1) copy shall be issued to the shipper.
  3. A certificate of the grade or other classification  of potatoes, when not reversed or modified, shall be accepted in any  court of this state as prima facie evidence of the true grade or classification  of the potatoes at the time of grading or classification.

History. Laws 1925, ch. 95, § 4; R.S. 1931, § 5-804; C.S. 1945, § 34-804; W.S. 1957, § 11-231; W.S. 1977, § 11-18-104 ; Laws 1978, ch. 32, § 1.

Meaning of “this act.” —

For the definition of “this act,” referred to in this section, see § 11-15-102(a)(ii).

§ 11-15-106. Reports of inspections required.

The director shall make reports to the United States department of agriculture on July 1 each year.

History. Laws 1925, ch. 95, § 4; R.S. 1931, § 5-804; C.S. 1945, § 34-804; W.S. 1957, § 11-231; W.S. 1977, § 11-18-104 ; Laws 1978, ch. 32, § 1; 1993, ch. 191, § 3.

§ 11-15-107. Director to promulgate regulations; board approval required.

Subject to approval of the board of agriculture, the director may promulgate regulations necessary to carry out the provisions of this act. The regulations shall conform as nearly as practicable to any act of congress or standards legally adopted by any federal agency relating to the marketing of farm products.

History. Laws 1925, ch. 95, § 4; R.S. 1931, § 5-804; C.S. 1945, § 34-804; W.S. 1957, § 11-231; W.S. 1977, § 11-18-104 ; Laws 1978, ch. 32, § 1; 1993, ch. 191, § 3.

Meaning of “this act.” —

For the definition of “this act,” referred to in this section, see § 11-15-102(a)(ii).

§ 11-15-108. Director engaging in potato business prohibited.

The director is prohibited from engaging in the business of buying, selling or commission dealing in potatoes.

History. Laws 1925, ch. 95, § 4; R.S. 1931, § 5-804; C.S. 1945, § 34-804; W.S. 1957, § 11-231; W.S. 1977, § 11-18-104 ; Laws 1978, ch. 32, § 1; 1993, ch. 191, § 3.

§ 11-15-109. Inspection upon request of interested party; issuance of certificate; fees.

The director, upon request of any interested party, may furnish a licensed inspector to inspect any lot of potatoes within the state whether the potatoes originated in Wyoming or elsewhere, and may issue a federal or state certificate showing grade, quality and condition of such potatoes which will be receivable as prima facie evidence in any court in Wyoming. This provision includes storage, inspection and less than carload lots. For this inspection the department shall be paid by the party asking for inspection the fees established by the board of agriculture, not to exceed actual costs of inspection and all traveling expenses to and from the place of inspection.

History. Laws 1925, ch. 95, § 4; R.S. 1931, § 5-804; C.S. 1945, § 34-804; W.S. 1957, § 11-231; W.S. 1977, § 11-18-104 ; Laws 1978, ch. 32, § 1; 1993, ch. 191, § 3.

§ 11-15-110. Reinspection on request; cost.

Any interested party may demand a reinspection at point of origin if the grade established by the licensed inspector is not satisfactory. The reinspection may be made by an inspector authorized by the director or by an inspector of the United States department of agriculture. The reinspection shall be made at the expense of the party requesting the service.

History. Laws 1925, ch. 95, § 4; R.S. 1931, § 5-804; C.S. 1945, § 34-804; W.S. 1957, § 11-231; W.S. 1977, § 11-18-104 ; Laws 1978, ch. 32, § 1; 1993, ch. 191, § 3.

§ 11-15-111. Inspection fees; exception; when inspection not required; consent of director; certification of certain shipments.

A fee established by the board of agriculture not to exceed actual costs of inspection shall be paid on all shipments of potatoes inspected within the district except those designated for manufacturing purposes on which no fee shall be charged. With the consent of the director, potatoes for seed stock may be moved to storage within the state without inspection. When potatoes are shipped without inspection within the state the shipper shall not be provided with a certificate. Other shipments of seed stock must conform to the requirements of grade no. 1 except with regard to size, and the certificate must contain a statement designating variety, trueness to type and percent defects with regard to disease and other blemishes.

History. Laws 1925, ch. 95, § 5; R.S. 1931, § 5-805; C.S. 1945, § 34-805; W.S. 1957, § 11-232; W.S. 1977, § 11-18-105 ; Laws 1978, ch. 32, § 1; 1993, ch. 191, § 3.

§ 11-15-112. Prohibited acts; penalties.

Whoever removes any inspection certificate before a car is entirely unloaded, or whoever except an authorized inspector alters any inspection certificate, or whoever without using reasonable diligence to secure inspection fails or neglects to have potatoes inspected before shipping, or whoever hinders, molests or attempts to influence any inspector in the performance of his duties, or whoever violates this act is guilty of a misdemeanor and shall be fined for each violation not exceeding five hundred dollars ($500.00) and the costs of the prosecution, or shall be imprisoned not exceeding six (6) months, or both. Any inspector who fails or neglects to perform the duties imposed by this act shall suffer the penalty herein provided.

History. Laws 1925, ch. 95, § 6; R.S. 1931, § 5-806; C.S. 1945, § 34-806; W.S. 1957, § 11-233; W.S. 1977, § 11-18-106 ; Laws 1978, ch. 32, § 1.

Meaning of “this act.” —

For the definition of “this act,” referred to in this section, see § 11-15-102(a)(ii).

Chapter 16 Conservation Districts

Severability. —

Section 18, ch. 134, Laws 1941, reads: “If any section, sentence, clause, or phrase of this act is for any reason held to be unconstitutional, such decision shall not affect the validity of the remaining portions of the act. The legislature hereby declares that it would have passed this act, and each sentence, section, clause or phrase thereof, irrespective of the fact that any one or more other sections, sentences, clauses or phrases be declared unconstitutional.”

Repealing clauses. —

Section 19, ch. 134, Laws 1941, reads: “Insofar as any of the provisions of this act conflict with the provisions of any other act, the provisions of this act shall be controlling.”

Am. Jur. 2d, ALR and C.J.S. references. —

3 Am. Jur. 2d Agriculture §§ 20, 25, 28-29, 32; 16A Am. Jur. 2d Constitutional Law § 324 to 327, 369, 370; 56 Am. Jur. 2d Municipal Corporations §§ 10, 12 to 15.

3 C.J.S. Agriculture §§ 25 to 64.

§ 11-16-101. Short title.

This act may be cited as the “Wyoming Conservation Districts Law.”

History. Laws 1941, ch. 134, § 1; C.S. 1945, § 34-1401; W.S. 1957, § 11-234; Laws 1959, ch. 193, § 1; 1971, ch. 111, § 1; W.S. 1977, § 11-19-101 ; Laws 1978, ch. 32, § 1.

Meaning of “this act.” —

For the definition of “this act,” referred to in this section, see § 11-16-102(a)(xii).

Library references. —

17 Nat. Resources & Env't Law Review 73.

§ 11-16-102. Definitions.

  1. As used in this act:
    1. “Agency of this state” means any subdivision,  agency or instrumentality, corporate or otherwise, of the government  of this state;
    2. “At large member” means any registered  voter and taxpayer within the county;
    3. “Commission” or “state conservation commission”  means the state board of agriculture;
    4. “Conservation” means development, improvement,  maintenance, preservation, protection and use of natural resources,  and the control and prevention of floodwater and sediment damages,  and the disposal of excess waters;
    5. “District” or “conservation district”  means a governmental subdivision of this state, and a public body  corporate and politic, organized in accordance with this act;
    6. “Due notice” for those provisions other  than election and referendum provisions, means notice published at  least twice, with an interval of six (6) days between the two (2)  publication dates, in a newspaper of general circulation within the  boundaries of the proposed or organized district, or by posting at  five (5) conspicuous places within the organized or proposed district,  such posting to include, where possible, posting at public places  where it may be customary to post notices concerning county or municipal  affairs generally. Except as otherwise provided in this act, the notice  of any hearing required under this act shall fix the time, place and  purpose, which shall be not less than ten (10) or more than fifteen  (15) days after the first publication or first posting of the notice.  Any hearing held pursuant to such notice may be adjourned from time  to time without renewing the notice for the adjourned dates. Notice  for any election or referendum required by this act shall be as specifically  provided in this act, or if not specifically provided in this act,  as required in the Special District Elections Act of 1994;
    7. “Government” or “governmental” means the  government of this state, the government of the United States, and  any subdivision, agency or instrumentality, corporate or otherwise,  of either of them;
    8. Repealed by Laws 1987, ch. 21, § 3.
    9. Repealed by Laws 1998, ch. 115, § 5.
    10. “Renewable natural resources,” “natural  resources” or “resources,” means land, soil, water, vegetation, trees,  wild rivers, wilderness, natural beauty, scenery and open space;
    11. “Urban” or “urban member” means any registered  voter of an incorporated Wyoming municipality;
    12. “This act” means W.S. 11-16-101 through 11-16-135 .

History. Laws 1941, ch. 134, § 3; C.S. 1945, § 34-1403; W.S. 1957, § 11-235; Laws 1959, ch. 193, § 3; 1971, ch. 111, §§ 2 to 4; 1973, ch. 147, § 2; W.S. 1977, § 11-19-102 ; Laws 1978, ch. 32, § 1; 1987, ch. 21, §§ 2, 3; 1991, ch. 17, § 1; 1998, ch. 115, §§ 2, 5; 2013, ch. 150, § 1.

The 2013 amendment, effective July 1, 2013, substituted “11-16-135” for “11-16-134” in (a)(xii).

Editor's notes. —

There is no subsection (b) in this section as it appears in the printed acts.

Stated in

Associated Enters., Inc. v. Toltec Watershed Imp. Dist., 490 P.2d 1069, 1971 Wyo. LEXIS 267 (Wyo. 1971).

§ 11-16-103. Legislative declarations and policy.

  1. It is hereby declared that the farm and  grazing lands of Wyoming are among the basic assets of the state;  that improper land use practices cause and contribute to serious erosion  of these lands by wind and water; that among the consequences which  would result from such conditions are the deterioration of soil and  its fertility and the silting and sedimentation of stream channels,  reservoirs, dams and ditches; that to conserve soil, and soil and  water resources, and prevent and control soil erosion, it is necessary  that land use practices contributing to soil erosion be discouraged  and that appropriate soil conserving land use practices be adopted.
  2. It is hereby declared to be the policy  of the legislature to provide for the conservation of the soil, and  soil and water resources of this state, and for the control and prevention  of soil erosion and for flood prevention or the conservation, development,  utilization, and disposal of water, and thereby to stabilize ranching  and farming operations, to preserve natural resources, protect the  tax base, control floods, prevent impairment of dams and reservoirs,  preserve wildlife, protect public lands, and protect and promote the  health, safety and general welfare of the people of this state.

History. Laws 1941, ch. 134, § 2; C.S. 1945, § 34-1402; W.S. 1957, § 11-236; Laws 1959, ch. 193, § 2; W.S. 1977, § 11-19-103 ; Laws 1978, ch. 32, § 1.

§ 11-16-104. [Repealed.]

Repealed by Laws 1987, ch. 15, § 1.

Cross references. —

As to creation of board of agriculture, see § 11-2-101 .

Editor's notes. —

This section, which derived from Laws 1941, ch. 134, § 4, related to the establishment of the state conservation commission.

Termination of state conservation commission. —

Laws 1987, ch. 15, § 2, terminates the state conservation commission effective July 1, 1987, transfers respective powers and duties to the state board of agriculture and provides for the transfer of employees, revenue, appropriations and property.

§ 11-16-105. State board of agriculture; duties generally.

  1. The commission shall:
    1. Keep a record of its official actions,  adopt a seal, which shall be judicially noticed, and perform acts,  hold public hearings and promulgate rules and regulations as necessary  for the execution of its functions under this act;
    2. Assist and guide districts in the preparation  and carrying out of programs for resource conservation authorized  under this act, review district programs, coordinate the programs  of the several districts and resolve any conflicts, and facilitate,  promote, assist, harmonize, coordinate and guide the resource conservation  programs and activities of districts as they relate to other special  purpose districts, counties and other public agencies;
    3. Keep the supervisors of the districts  organized under this act informed of the activities and experiences  of other districts and facilitate cooperation and an interchange of  advice and experience between the districts;
    4. Coordinate the programs of the several  conservation districts so far as this may be done by advice and consultation;
    5. Recommend the appropriation of state funds  necessary to finance the activities of the commission and the conservation  districts; distribute to conservation districts funds, equipment,  supplies and services received by the commission for that purpose  from any source, subject to conditions made applicable thereto by  any state or federal statute or local ordinance making available the  funds, property or services; issue regulations establishing guidelines  and suitable controls to govern the use by conservation districts  of such funds, property and services; and review all budgets, administrative  procedures and operations of the districts and advise the districts  concerning their conformance with applicable laws and regulations;
    6. Disseminate information throughout the  state concerning the activities and programs of the conservation districts  and encourage the formation of such districts in areas where their  organization is desirable; enlist the cooperation and collaboration  of state, federal, regional, interstate and local public and private  agencies with the conservation districts; facilitate arrangements  under which the conservation districts may serve county governing  bodies and other agencies as their local operating agencies in the  administration of any activity concerned with the conservation of  renewable natural resources; and except as otherwise assigned by law,  carry out the policies of this state in programs at the state level  for the conservation of the renewable natural resources of this state  and represent the state in matters affecting such resources.
  2. Whenever the commission determines that  there exists a substantial conflict between the resources conservation  program of a district and the proposed plans or activities directly  affecting resource conservation prepared by any other local governmental  unit or agency of this state, and the conflict cannot be resolved  through consultation procedures, the commission shall submit a report  to the governor.

History. Laws 1941, ch. 134, § 5; C.S. 1945, § 34-1405; Laws 1947, ch. 140, § 1; W.S. 1957, § 11-238; Laws 1959, ch. 193, § 5; 1971, ch. 111, §§ 6 to 11; W.S. 1977, § 11-19-105 ; Laws 1978, ch. 32, § 1.

Cross references. —

As to the definition of “commission” see § 11-16-102 and notes thereunder.

Meaning of “this act.” —

For the definition of “this act,” referred to in this section, see § 11-16-102(a)(xii).

§ 11-16-106. Department of agriculture; when contracts invalid.

No contract of the state commission for the payment of money is valid unless the commission has available at the time the contract is made funds sufficient for the payment thereof.

History. Laws 1941, ch. 134, § 5; C.S. 1945, § 34-1405; Laws 1947, ch. 140, § 1; W.S. 1957, § 11-238; Laws 1959, ch. 193, § 5; 1971, ch. 111, §§ 6 to 11; W.S. 1977, § 11-19-105 ; Laws 1978, ch. 32, § 1; 1991, ch. 240, § 1; 1994, ch. 29, § 1.

Cross references. —

As to the definition of “commission” see § 11-16-102 and notes thereunder.

§ 11-16-107. Report to director; reports by district supervisors to board.

  1. On or before November 1 each even-numbered  year, the commission shall report to the director of the department  of agriculture the number and acreages of districts in existence or  in process of organization, together with an estimate of the number  and probable acreages of the districts which may be organized during  the ensuing period; the balance of funds, if any, available to the  commission and to the districts; and the estimates of the commission  as to the sums needed for its administrative and other expenses and  for allocation among the several districts during the ensuing period.
  2. The supervisors of the respective districts  shall submit to the commission such statements, estimates, budgets  and other information as the commission may require. The director  shall include the information furnished by the commission in his report  to the governor.

History. Laws 1941, ch. 134, § 17; C.S. 1945, § 34-1417; W.S. 1957, § 11-239; Laws 1959, ch. 193, § 13; 1971, ch. 111, § 12; 1973, ch. 215, § 1; W.S. 1977, § 11-19-106 ; Laws 1978, ch. 32, § 1; 1993, ch. 191, § 3.

Cross references. —

As to the definition of “commission” see § 11-16-102 and notes thereunder.

As to report to governor, see § 9-2-1014 .

§ 11-16-108. Petition to form district; contents; consolidation and exclusion.

  1. Any ten (10) owners of land lying within  the limits of the proposed district may file a petition with the commission  asking that a conservation district be organized to function in the  territory described in the petition. The petition shall meet all of  the requirements of W.S. 22-29-105(f). The commission shall act upon the petition for formation  in the same manner as set forth in W.S. 22-29-109 for county commissioners in determining if a petition  for district formation shall be voted upon. When more than one (1)  petition is filed covering parts of the same territory, the commission  may consolidate all or any such petitions, or may exclude from any  petition areas in conflict with another petition or petitions.
    1. through (v) Repealed  by Laws 1998, ch. 115, § 5.

History. Laws 1941, ch. 134, § 6; 1945, ch. 6, § 1; C.S. 1945, § 34-1406; W.S. 1957, § 11-240; Laws 1959, ch. 193, § 6; 1971, ch. 111, §§ 13 to 15; W.S. 1977, § 11-19-107 ; Laws 1978, ch. 32, § 1; 1998, ch. 115, §§ 2, 5.

Cross references. —

As to the definition of “commission” see § 11-16-102 and notes thereunder.

Editor's notes. —

There is no subsection (b) in this section as it appears in the printed acts.

§ 11-16-109. Notice and hearing on petition; approval or denial; criteria.

After the hearing, if the commission determines, upon the facts presented at the hearing and other relevant facts that are available, that there is need in the interest of the public health, safety and welfare for a conservation district to function in the territory considered at the hearing, it shall record such determination and define by metes and bounds or by legal subdivisions the boundaries of the district. In making the determination and defining the boundaries, the commission shall give weight and consideration to the topography of the area considered and of the state, the composition of soils therein, the distribution of erosion, the carrying capacity and condition of grazing lands, the numbers of livestock grazed, the prevailing land use and management practices, the desirability and necessity of including within the district the particular lands under consideration and the benefits such land may receive from being included within the district, the relation of the proposed district to existing watersheds and agricultural regions and to other conservation districts already organized or proposed for organization, and such other physical, geographical and economic factors as are relevant, having due regard to the legislative policy set forth in W.S. 11-16-103 . The territory included within the district need not be contiguous. If the commission determines there is no need for a conservation district to function in the territory considered at the hearing, it shall record such determination and deny the petition. Any owner of lands within a proposed district which is less than a countywide district may have his owned and leased lands excluded from the proposed district upon presentation of a petition and description of the lands to the commission not less than seven (7) days prior to the holding of the referendum for the organization of the district.

History. Laws 1941, ch. 134, § 6; 1945, ch. 6, § 1; C.S. 1945, § 34-1406; W.S. 1957, § 11-240; Laws 1959, ch. 193, § 6; 1971, ch. 111, §§ 13 to 15; W.S. 1977, § 11-19-107 ; Laws 1978, ch. 32, § 1; 1987, ch. 21, § 2; 1998, ch. 115, § 2.

Cross references. —

As to the definition of “commission” see § 11-16-102 and notes thereunder.

§ 11-16-110. Canvass of ballots.

  1. Repealed by Laws 1998, ch. 115, § 5.
  2. Repealed by Laws 1987, ch. 21, § 3.
  3. Repealed by Laws 1998, ch. 115, § 5.
  4. Repealed by Laws 1987, ch. 21, § 3.
  5. Immediately after the polls close, the  referendum officers shall canvass the ballots. The results disclosed  by the canvass shall be certified by the commission.
  6. If a majority of the qualified electors  voting in the referendum favor the formation of the district, the  proposal to organize the proposed district shall carry and the commission  shall proceed to make the determination required in W.S. 11-16-112 . If the majority of the qualified electors voting in  the referendum are against the organization of the district, the proposal  to form the district shall fail and the commission shall deny the  petition. The commission shall promptly make public the result of  the referendum.

History. Laws 1941, ch. 134, § 6; 1945, ch. 6, § 1; C.S. 1945, § 34-1406; W.S. 1957, § 11-240; Laws 1959, ch. 193, § 6; 1971, ch. 111, §§ 13 to 15; W.S. 1977, § 11-19-107 ; Laws 1978, ch. 32, § 1; 1987, ch. 21, §§ 2, 3; 1998, ch. 115, §§ 2, 5.

Cross references. —

As to the definition of “commission” see § 11-16-102 and notes thereunder.

§ 11-16-111. Board of agriculture to provide for issuance of notices, conduct of hearings and referenda.

The commission shall provide for the issuance of notices and the conduct of hearings and referenda by appropriate regulations. It shall provide for registration prior to the date of the referendum of all eligible voters, or prescribe some other appropriate procedure for the determination of those eligible as voters in the referendum.

History. Laws 1941, ch. 134, § 6; 1945, ch. 6, § 1; C.S. 1945, § 34-1406; W.S. 1957, § 11-240; 1971, ch. 111, §§ 13 to 15; W.S. 1977, § 11-19-107 ; Laws 1978, ch. 32, § 1; 1998, ch. 115, § 2.

Cross references. —

As to the definition of “commission” see § 11-16-102 and notes thereunder.

§ 11-16-112. Result of referendum; announcement; practicability of district; determination; criteria.

After making public the result of the referendum, the commission shall consider and determine whether the operation of the district within the defined boundaries is administratively practicable. If the commission determines the operation of the district is not administratively practicable, it shall record the determination and deny the petition. If the commission determines that the operation of the district is administratively practicable, it shall record the determination and proceed with the organization of the district. In making the determination the commission shall give regard to the attitudes of the voters lying within the defined boundaries, the number of voters eligible to vote in the referendum who voted, the proportion of votes cast in favor of the creation of the district to the total number of votes cast, the approximate wealth and income of the owners of land of the proposed district, the probable expense of carrying on erosion-control operations within the district, and other economic and social factors as are relevant.

History. Laws 1941, ch. 134, § 6; 1945, ch. 6, § 1; C.S. 1945, § 34-1406; W.S. 1957, § 11-240; Laws 1971, ch. 111, §§ 13 to 15; W.S. 1977, § 11-19-107 ; Laws 1978, ch. 32, § 1; 1987, ch. 21, § 2; 1998, ch. 115, § 2.

Cross references. —

As to the definition of “commission” see § 11-16-102 and notes thereunder.

§ 11-16-113. Establishment of district.

  1. If the commission determines the operation  of the proposed district is administratively practicable, it shall  appoint two (2) supervisors who are owners of land in the district  to act with three (3) supervisors elected as provided hereinafter  as the governing body of the district. The district shall be a governmental  subdivision of this state and a public body corporate and politic.  The two (2) appointed supervisors shall present to the secretary of  state an application signed by them setting forth by recital only  and not in detail:
    1. That a petition for the creation of the  district was filed with the commission pursuant to the provisions  of this act, and the proceedings specified in the act were taken pursuant  to the petition;
    2. That the application is filed to complete  the organization of the district as a governmental subdivision and  a public body, corporate and politic, under this act;
    3. That the commission has appointed them  as supervisors;
    4. The name and official residence of each  supervisor and a certified copy of the appointment evidencing his  right to office;
    5. The term of office of each supervisor;
    6. The name of the district; and
    7. The location of the principal office of  the supervisors of the district.
  2. The application shall be subscribed and  sworn to by each supervisor before an officer authorized to administer  oaths, who shall certify upon the application that he personally knows  the supervisors and knows them to be the officers affirmed in the  application, and that each has subscribed thereto in the officer’s  presence. The application shall be accompanied by a certified statement  by the commission, setting forth the boundaries of the district but  otherwise containing no detail other than the mere recitals that:
    1. A petition was filed, notice issued and  hearing held as required by law;
    2. The commission determined that there is  need, in the interest of the public health, safety and welfare, for  a conservation district to function in the proposed territory and  did define the boundaries;
    3. Notice was given and a referendum held  on the question of the creation of such district;
    4. The result of the referendum showed a  majority of the votes cast in favor of the creation of the district;  and
    5. The commission did determine the operation  of the proposed district is administratively practicable.
  3. The secretary of state shall examine the  application and statement and if he finds the name proposed for the  district is not so similar to that of another conservation district  as to cause confusion or uncertainty, he shall record them in an appropriate  book in his office. If the secretary of state finds the name proposed  for the district is so similar to that of any other conservation district  of this state as to lead to confusion, he shall certify that fact  to the commission, which shall submit a new name for the district  which is not subject to such defects. Upon receipt of the new name  the secretary of state shall record the application and statement,  with the name so modified, in an appropriate book. When the application  and statement have been made, filed and recorded, the district is  a governmental subdivision of this state and a public body corporate  and politic. The secretary of state shall issue to the supervisors  a certificate, under the seal of the state, of the organization of  the district, and shall record the certificate with the application  and statement. The boundaries of the district shall include the territory  determined by the commission, but shall not include any area included  within the boundaries of another conservation district organized under  this act.

History. Laws 1941, ch. 134, § 6; 1945, ch. 6, § 1; C.S. 1945, § 34-1406; W.S. 1957, § 11-240; Laws 1959, ch. 193, § 6; 1971, ch. 111, §§ 13 to 15; W.S. 1977, § 11-19-107 ; Laws 1978, ch. 32, § 1.

Cross references. —

As to the definition of “commission” see § 11-16-102 and notes thereunder.

Meaning of “this act.” —

For the definition of “this act,” referred to in this section, see § 11-16-102(a)(xii).

§ 11-16-114. [Repealed.]

Repealed by Laws 1998, ch. 115, § 5.

Editor's notes. —

This section, which derived from Laws 1991, ch. 139, § 6, related to filing subsequent petitions six months after the date of denial of a petition.

§ 11-16-115. Districts; transfer of land; division or consolidation; change in name.

  1. Upon written request of the board of supervisors  of the conservation district or districts involved, with a showing  that the request is approved by a majority vote of the members of  each board involved the commission may, by administrative order:
    1. Transfer lands from one district to another;
    2. Divide a single district into two (2)  or more districts, each of which shall thereafter operate as a separate  district; or
    3. Consolidate two (2) or more districts  to operate thereafter as a single district.
  2. The secretary of state shall make and  issue a corrected certificate of organization upon receipt of such  certification from the commission.
  3. Petitions for a change in the name of  a conservation district may be submitted to the commission by the  board of supervisors of a conservation district. If the commission  approves the change of name, it shall certify the change to the secretary  of state and shall notify the board of supervisors of the conservation  district of the change, setting out in the notice the new name of  the district. The secretary of state shall make and issue a corrected  certificate of organization upon receipt of such certification from  the commission.

History. Laws 1941, ch. 134, § 6; 1945, ch. 6, § 1; C.S. 1945, § 34-1406; W.S. 1957, § 11-240; Laws 1959, ch. 193, § 6; 1971, ch. 111, §§ 13 to 15; W.S. 1977, § 11-19-107 ; Laws 1978, ch. 32, § 1.

Cross references. —

As to the definition of “commission” see § 11-16-102 and notes thereunder.

§ 11-16-116. Districts; proof of organization.

In any suit, action or proceeding relating to any action of the district, the district is deemed to have been established in accordance with this act upon proof of the issuance of the certificate by the secretary of state. A copy of the certificate certified by the secretary of state is admissible in evidence in any suit, action or proceeding and is proof of the filing and contents thereof.

History. Laws 1941, ch. 134, § 6; 1945, ch. 6, § 1; C.S. 1945, § 34-1406; W.S. 1957, § 11-240; Laws 1971, ch. 111, §§ 13 to 15; W.S. 1977, § 11-19-107 ; Laws 1978, ch. 32, § 1.

Meaning of “this act.” —

For the definition of “this act,” referred to in this section, see § 11-16-102(a)(xii).

§ 11-16-117. Districts; termination; dissolution procedures; determination by board of agriculture; legal effects of dissolution.

  1. After five (5) years after the organization  of a district under this act, any ten (10) owners of land lying within  the district may petition the commission that the operations of the  district be discontinued and the existence of the district terminated.  The commission may conduct public meetings and hearings upon the petition  as necessary in the consideration thereof. Within sixty (60) days  after a petition has been filed with the commission, it shall give  notice of a referendum as provided in the Special District Elections  Act of 1994. The commission shall supervise the referendum and issue  appropriate regulations governing the conduct thereof. The question  shall be submitted by ballots upon which the words “For terminating  the existence of the  . . . . .  (name  of the conservation district to be here inserted)” and “Against terminating  the existence of the  . . . . .  (name  of the conservation district to be here inserted)” shall appear, with  a square before each proposition and a direction to insert an X mark  in the square before one (1) or the other as the voter may favor or  oppose dissolution of the district. Qualified electors of the district  are eligible to vote in the referendum. No informalities in the conduct  of the referendum or related matters shall invalidate the referendum  or result if notice is given substantially as herein provided and  the referendum is fairly conducted.
  2. The commission shall publish the result  of the referendum. If a majority of the votes cast in the referendum  oppose dissolution of the district, the commission shall determine  whether the continued operation of the district within the defined  boundaries is administratively practicable. If the commission determines  the continued operation of the district is administratively practicable,  it shall record its determination and deny the petition. If a majority  of the votes cast favor dissolution of the district it shall certify  that fact to the supervisors of the district. In making the determination  of administrative practicality to continue the district the commission  shall consider those factors set forth in W.S. 11-16-112 for creation of the district.
  3. Upon receipt from the commission of a  certification that the majority of votes cast in the referendum favor  dissolution of the district, the supervisors shall forthwith terminate  the affairs of the district. The supervisors shall dispose of all  property belonging to the district at public auction and pay the net  proceeds of the sales to the state treasurer. The supervisors shall  thereupon file a verified application with the secretary of state  for dissolution of the district, and shall transmit with the application  the certificate of the commission that the majority of votes cast  at the referendum favored dissolution of the district. The application  shall recite that the property of the district has been disposed of  and the proceeds paid over as provided by law, setting forth a full  accounting of the properties and proceeds of sale. The secretary of  state shall issue to the supervisors a certificate of dissolution  and shall record the certificate in an appropriate book in his office.  The secretary of state shall make no charge for any service required  of him by this act.
  4. Upon issuance of a certificate of dissolution  all ordinances and regulations adopted and in force within the district  are void. All contracts to which the district or supervisors are parties  remain in force and effect for the period provided in such contracts.  The commission shall be substituted for the district or supervisors  as party to the contracts. The commission is entitled to all benefits  and subject to all liabilities under such contracts and has the same  right and liability to perform, require performance, sue and be sued  thereon, and to modify or terminate the contracts as the supervisors  of the district would have had. Dissolution does not affect the lien  of any judgment entered or the pendency of any action instituted under W.S. 11-16-126 [repealed], and the commission succeeds to all rights  and obligations of the district or supervisors as to such liens and  actions.

History. Laws 1941, ch. 134, § 16; C.S. 1945, § 34-1416; W.S. 1957, § 11-241; Laws 1959, ch. 193, § 12; 1971, ch. 111, § 16; W.S. 1977, § 11-19-108 ; Laws 1978, ch. 32, § 1; 1987, ch. 21, § 2; 1998, ch. 115, § 2.

Cross references. —

As to the definition of “commission” see § 11-16-102 and notes thereunder.

Editor's notes. —

Section 11-16-126, referred to in the last sentence in subsection (d), was repealed in 1987.

Meaning of “this act.” —

For the definition of “this act,” referred to in the last sentence in subsection (c), see § 11-16-102(a)(xii).

§ 11-16-118. District supervisors; term; vacancies; expenses; removal; quorum; bond required of employees; areas included in district; cooperative agreement with city.

  1. The term of the two (2) supervisors appointed  extends from their appointment until the second annual election held  in the district. A supervisor shall hold office from his election  or appointment and taking of the oath of office until his successor  has been elected or appointed, and qualified. Vacancies shall be filled  for the unexpired term. Vacancies in the office of any supervisor  shall be filled by appointment by the commission upon the recommendations  of the district supervisors, the appointee to serve until the next  election at which time the vacancy shall be filled by the electors  for the unexpired term. A supervisor shall receive no compensation  for his services, but is entitled to expenses, including traveling  expenses, necessarily incurred in the discharge of his duties. Any  supervisor may be removed by the commission upon notice and hearing,  for neglect of duty or malfeasance in office.
  2. A majority of the supervisors constitutes  a quorum and the concurrence of three (3) supervisors is required  for determination of any matter.
  3. The supervisors shall require a bond to  be issued for all employees and officers entrusted with funds or property.  The supervisors shall provide for keeping a full and accurate record  of all proceedings, resolutions, regulations and orders issued or  adopted. The accounts, receipts and disbursements of the district  shall be subject to the audit and reporting requirements set forth  in W.S. 9-1-507(a)(iii).
  4. All cities, towns, villages or other urban  and suburban areas lying wholly or partly within the exterior boundaries  of a conservation district shall, from the effective date of this  act, be included in the district. In doubtful cases, the commission  shall determine the district which includes any urban or suburban  area.
  5. By cooperative agreement with the city  concerned, a district may perform within the boundaries of the city  any work required or authorized under this act, through such administrative  and financial arrangements as the city and the district agree upon.

History. Laws 1941, ch. 134, § 8; C.S. 1945, § 34-1408; W.S. 1957, § 11-242; Laws 1959, ch. 193, § 8; 1971, ch. 111, § 17; 1973, ch. 147, § 2; W.S. 1977, § 11-19-109 ; Laws 1978, ch. 32, § 1; 1994, ch. 29, § 1; 2004, ch. 54, § 1.

Cross references. —

As to the definition of “commission” see § 11-16-102 and notes thereunder.

As to constitutional oath of office, see art. 6, §§ 20 and 21, Wyo. Const.

The 2004 amendment, effective July 1, 2004, in (c), substituted “the audit and reporting requirements set forth in W.S. 9-1-507(a)(iii)” for “an annual review. If a district's annual budget averages twenty-five thousand dollars ($25,000.00) or more over a period of four (4) consecutive years, the district shall commission an independent audit at the conclusion of the fourth year. Copies of the annual review or audit will be sent to the department of agriculture.”

Meaning of “this act.” —

For the definition of “this act,” referred to in this section, see § 11-16-102(a)(xii).

§ 11-16-119. District supervisors; nomination; qualifications; election; term.

Within thirty (30) days after issuance by the secretary of state of a certificate of organization of a conservation district, applications for election under the Special District Elections Act of 1994 may be filed with the commission by candidates for supervisors, who shall be owners of land within the district. The commission may extend for not to exceed thirty (30) days the time within which applications may be filed. The commission shall give notice of an election to be held for the election of three (3) supervisors for the district. All qualified electors within the district are eligible to vote. The three (3) supervisors first elected shall draw lots, one (1) for a term of two (2) years, and two (2) for a term of three (3) years. Thereafter supervisors shall be elected each year to serve for a full term of three (3) years. The number of supervisors elected each year shall be determined by the number of supervisors whose terms expire at that time. The commission shall provide for all elections, supervise the conduct thereof, and prescribe regulations governing the conduct of all elections, and shall make public the result thereof.

History. Laws 1941, ch. 134, § 7; C.S. 1945, § 34-1407; W.S. 1957, § 11-243; Laws 1959, ch. 193, § 7; 1967, ch. 46, § 1; 1971, ch. 111, § 18; W.S. 1977, § 11-19-110 ; Laws 1978, ch. 32, § 1; 1987, ch. 21, § 2; 1994, ch. 99, § 2; 1998, ch. 115, § 2.

Cross references. —

As to the definition of “commission” see § 11-16-102 and notes thereunder.

Effect of election of supervisors by owners and occupiers. —

Chapter 215, Laws 1961, authorizing the establishment of improvement districts, was enacted by a legislature in which all of the state's electors have the unquestioned right to be fairly represented. Under the act, districts may be formed only as subdivisions of conservation districts. And a precondition to their formation referendum is a determination by a board of supervisors of the affected conservation district, popularly elected by both occupiers and owners of land within the district, that the watershed improvement district is both necessary and administratively practicable. Associated Enters., Inc. v. Toltec Watershed Imp. Dist., 410 U.S. 743, 93 S. Ct. 1237, 35 L. Ed. 2d 675, 1973 U.S. LEXIS 16 (1973).

§ 11-16-120. District supervisors; elections under Election Code and for new districts.

  1. District supervisors shall be elected  in subsequent elections under the Special District Elections Act of  1994 and as hereinafter provided for new districts:
    1. At the first subsequent director election  following establishment of a new district, five (5) supervisors, who  reside within the district shall be elected at large by a nonpartisan  ballot. Three (3) supervisors shall be rural residents, one (1) shall  be a resident of an urban area and one (1) shall be elected at large.  At the first subsequent director election, the at large candidate  receiving the largest number of votes shall be elected for a four  (4) year term, the urban candidate receiving the largest number of  votes shall be elected for a four (4) year term, the rural candidate  receiving the largest number of votes shall serve a four (4) year  term and the two (2) candidates receiving the next highest number  of votes shall be elected for two (2) year terms. In succeeding elections  all supervisors shall be elected for four (4) year terms.
    2. Repealed by Laws 1998, ch. 115, § 5.

History. Laws 1973, ch. 147, § 1; W.S. 1957, § 11-243.1; W.S. 1977, § 11-19-111 ; Laws 1978, ch. 32, § 1; 1985, ch. 204, § 1; 1987, ch. 21, § 2; 1994, ch. 99, § 2; 1998, ch. 115, §§ 2, 5.

Cross references. —

As to the definition of “commission” see § 11-16-102 and the notes thereunder.

As to nomination by petition, see § 22-5-301 et seq.

Editor's notes. —

There is no subsection (b) in this section as it appears in the printed acts.

§ 11-16-121. District supervisor; cooperation and agreements between districts; agreements with districts in adjoining states.

  1. The supervisors of two (2) or more districts  organized under this act may cooperate in the exercise of any or all  powers conferred in this act.
  2. Any two (2) or more districts may engage  in joint activities by agreement for planning, financing, constructing,  operating, maintaining and administering any program or project concerned  with the conservation of renewable natural resources. The districts  concerned may make available for purposes of the agreement any funds,  property, personnel, equipment or services available to them under  this act.
  3. Any district may enter into such agreements  with districts in an adjoining state if the law in the other state  permits such agreements.
  4. The commission may propose, guide and  facilitate the establishment and carrying out of such agreements.

History. Laws 1941, ch. 134, § 14; C.S. 1945, § 34-1414; W.S. 1957, § 11-244; Laws 1971, ch. 111, § 19; W.S. 1977, § 11-19-112 ; Laws 1978, ch. 32, § 1.

Cross references. —

As to the definition of “commission” see § 11-16-102 and notes thereunder.

Meaning of “this act.” —

For the definition of “this act,” referred to in this section, see § 11-16-102(a)(xii).

§ 11-16-122. Powers and duties of districts and supervisors thereof generally.

  1. Each conservation district organized under this act shall make an annual estimate of the funds required by the district for conservation programs and present a certified copy of the estimate, along with a budget showing all anticipated income and expenses, to the county commissioners. District supervisors shall administer the finances of the district according to the provisions of the Uniform Municipal Fiscal Procedures Act, except that an annual audit in accordance with W.S. 16-4-121 is not required. Each district shall comply with the provisions of W.S. 9-1-507(a)(iii).
  2. A conservation district organized under  this act and the supervisors thereof, in addition to other powers  granted by this act, may:
    1. Employ personnel and determine their duties  and conditions of employment;
    2. Call upon the attorney general of the  state for legal services or employ their own counsel and legal staff;
    3. Delegate to their chairman, to one (1)  or more supervisors or to one (1) or more agents or employees such  delegable powers and duties as they deem proper;
    4. Furnish to the state conservation commission  upon request, copies of ordinances, rules, regulations, orders, contracts,  forms and other documents they adopt or employ, and such other information  concerning their activities as it may require and to the county clerk  copies of ordinances, rules, regulations and orders it adopts in accordance  with law;
    5. Conduct surveys, investigations and research  and disseminate information relating to range management, the character  of soil erosion, flood prevention or the conservation, development,  utilization and disposal of water, and the preventive and control  measures and works of improvement needed, but in order to avoid duplication  of research activities, no district shall initiate any research program  except in cooperation with the government of this state or its agencies,  or with the United States or its agencies;
    6. Conduct demonstration projects within  the district on lands owned or controlled by this state or its agencies,  with the cooperation of the agency administering and having jurisdiction  thereof, and on other lands within the district with the consent of  the owner or occupier of the lands, to demonstrate range management  practices, the means, methods and measures by which soil and soil  resources may be conserved, and soil erosion in the form of soil blowing  and washing may be prevented and controlled and works of improvement  for flood prevention or the conservation, development, utilization  and disposal of water may be carried out;
    7. Carry out preventive and control measures  and works of improvement within the district, including engineering  operations, range management, methods of cultivation, the growing  of grass or other vegetation, changes in use of land or any measure  which may be developed for the control of erosion and better use of  soil, and works of improvement for flood prevention or the conservation,  development, utilization and disposal of water on lands owned or controlled  by this state or its agencies, with the cooperation of the agency  administering and having jurisdiction thereof, or on other lands within  the district with the consent of the owner or occupier of the lands;
    8. Cooperate, including but not limited to representing the conservation district as a cooperating agency with special expertise as provided by the National Environmental Policy Act and in federal land planning implementation as provided in W.S. 11-16-135(a), enter into agreements with and furnish financial or other aid to, any agency, governmental or otherwise, or any owner or occupier of lands within the district, in carrying on range management or erosion control and prevention operations and works of improvement for flood prevention or the conservation, development, utilization and disposal of water within the district, subject to such conditions as the supervisors deem necessary;
    9. through (xiii) Repealed  by Laws 1987, ch. 21, § 3.
    10. Make available on terms it prescribes,  to owners and occupiers of land within the district, agricultural  and engineering machinery and equipment, fertilizer, seeds and seedlings,  male breeding animals, livestock supplies and such other material  or equipment as will assist the owners and occupiers of land to carry  on operations upon their lands and upon those owned or leased by the  district, for range improvement and stabilization, the conservation  of soil and water resources, the prevention and control of soil erosion  and for flood prevention or the conservation, development, utilization  and disposal of water. The assistance authorized by this paragraph  shall be on a limited scale for demonstration purposes and the district  shall not be deemed authorized to compete with private industry;
    11. Repealed by Laws 1987, ch. 21, § 3.
    12. Develop and implement comprehensive resource use and management plans for range improvement and stabilization, conservation of soil, water and vegetative resources, control and prevention of soil erosion and for flood prevention or the conservation, development, utilization and disposal of water within the district, which plans shall include range management provisions and shall specify in detail the acts, procedures, performances and avoidances necessary or desirable to carry out the plans, including the specification of engineering operation, fence and stockwater developments, methods of cultivation, the growing of grass and other vegetation, cropping and range programs, tillage and grazing practices, and changes in use of lands. In developing plans under this paragraph, the supervisors of the district shall consider the customs and culture of residents of the district as those customs and culture relate to the land and resource, current and historical information and data related to the uses of the land and resource;
    13. Make public the plans and information  and bring them to the attention of owners and occupiers of land within  the district;
    14. Repealed by Laws 1987, ch. 21, § 3.
    15. Manage, as agent of the United States  or any of its agencies, and enter into agreements with the United  States or any of its agencies, or this state or any of its agencies,  to effect cooperation with the United States or any of its agencies  under United States Public Law 566 approved August 4, 1954, or amendments  thereto, in connection with the acquisition, construction, operation  or administration of any land utilization, soil conservation, erosion  control, erosion prevention, flood prevention projects, conservation  of water, water utilization, disposal of water in watershed areas  and other water projects within its boundaries;
    16. Act as representative for local groups  in dealing with the United States or its representatives, in soil  or water conservation matters under United States Public Law 566 approved  August 4, 1954, or amendments thereto;
    17. Accept donations, gifts and contributions  in money, services, materials or otherwise from any source which will  impose no financial obligation upon the state, and use or expend the  monies, services, materials or contributions in carrying on its operations;
    18. Sue and be sued in the name of the district;
    19. Have a seal, which shall be judicially  noticed;
    20. Have perpetual succession unless terminated  as hereinafter provided;
    21. Make and execute contracts and other instruments  necessary to the exercise of its powers;
    22. Make, amend and repeal rules and regulations  not inconsistent with this act, to implement its purposes and powers;
    23. As a condition to extending any benefits  to or performance of work upon any land not owned or controlled by  the state or its agencies, require contributions in money, services,  materials or otherwise to any operations conferring benefits and require  owners and occupiers of land to enter into and perform such agreements  or covenants as to the permanent use of such lands as will prevent  or control erosion and prevent flood water and sediment damages thereon  and promote the best use of such lands;
    24. The supervisors of a conservation district which has officially adopted a comprehensive plan pursuant to W.S. 11-16-122(b)(xvi) may coordinate with federal agencies as provided in the Federal Land Policy and Management Act of 1976, the Forest and Rangeland Renewable Resources Planning Act of 1974, as amended by the national Forest Management Act of 1976 and any other federal statute which provides for coordination with local governments and federal regulations adopted pursuant to those acts.
  3. A conservation district shall not purchase  or hold title to farm lands as defined by W.S. 11-34-101(a)(ii).

History. Laws 1941, ch. 134, § 9; C.S. 1945, § 34-1409; Laws 1955, ch. 71, § 1; ch. 130, § 1; W.S. 1957, § 11-245; Laws 1959, ch. 53, § 2; ch. 193, § 9; 1971, ch. 111, § 20; W.S. 1977, § 11-19-113 ; Laws 1978, ch. 32, § 1; 1987, ch. 21, §§ 2, 3; 1994, ch. 99, § 2; 2013, ch. 125, § 2; 2017, ch. 62, § 2; 2018, ch. 4, § 1.

The 2013 amendment, substituted “including but not limited to representing the conservation district as a cooperating agency with special expertise as provided by the National Environmental Policy Act and in federal land planning implementation as provided in W.S. 11-16-135(a)” for “or” in (b)(viii); added “and implement,” “resource use and a management,” “and vegetative,” and the last sentence and made a stylistic change in (b)(xvi); and added (b)(xxviii).

The 2017 amendment , effective July 1, 2017, added the last sentence of (a).

The 2018 amendment, in (a), added “except that an annual audit in accordance with W.S. 16-4-121 is not required” at the end of the second sentence, added the final sentence, and made a related stylistic change.

Laws 2018, ch. 4, § 2, makes the act effective immediately upon completion of all acts necessary for a bill to become law as provided by art. 4, § 8, Wyo. Const. Approved March 7, 2018.

Cross references. —

As to the definition of “commission” see § 11-16-102 and notes thereunder.

Effective dates. —

Laws 2013, ch. 125, § 3, makes the act effective immediately upon completion of all acts necessary for a bill to become law as provided by Article 4, Section 8 of the Wyoming Constitution. Approved March 13, 2013.

Editor’s notes. —

Laws 2018, ch. 123, § 5, provides: “To the extent this act conflicts with 2018 House Bill 53, this act shall be given precedence and shall prevail over any conflicting provision.”

Meaning of “this act.” —

For the definition of “this act,” referred to throughout subsections (a) and (b), see § 11-16-102(a)(xii).

Public Law 566. —

Public Law 566, referred to in subsections (b)(xix) and (b)(xx), appears as 16 U.S.C. §§ 1001 through 1008.

§ 11-16-123. Applicability of provisions concerning other agencies; validity of contracts of supervisors.

  1. No provisions with respect to the acquisition,  operation or disposition of property by other public bodies are applicable  to a district organized hereunder unless the legislature shall specifically  so state.
  2. No contract of the district supervisors  for the payment of money is valid unless the supervisors have at the  time the contract is made funds in cash, securities or deposits sufficient  for the payment thereof.

History. Laws 1941, ch. 134, § 9; C.S. 1945, § 34-1409; Laws 1955, ch. 130, § 1; W.S. 1957, § 11-245; W.S. 1977, § 11-19-113 ; Laws 1978, ch. 32, § 1.

§ 11-16-124. Administration of oaths by secretary or treasurer of district.

The secretary or treasurer of the district are severally authorized to administer oaths within their district in any matter pertaining to the business of their district where an oath is required by law.

History. Laws 1941, ch. 134, § 9; C.S. 1945, § 34-1409; W.S. 1957, § 11-245; Laws 1967, ch. 46, § 2; W.S. 1977, § 11-19-113 ; Laws 1978, ch. 32, § 1.

§§ 11-16-125 through 11-16-131. [Repealed.]

Repealed by Laws 1987, ch. 21, § 3.

Editor's notes. —

These sections, which derived from Laws 1941, ch. 134, §§ 10 through 13, related to conservation ordinances and the board of adjustment.

§ 11-16-132. Publicly owned lands to be administered in cooperation with districts.

Agencies of the state, county or any political subdivision of the state which have jurisdiction over or are charged with the administration of any state, county or other publicly owned lands lying within the boundaries of any district organized hereunder, shall cooperate to the fullest extent with the supervisors of the district to effect the programs and operations undertaken by the supervisors under this act and may lease such lands to a district. The supervisors of the districts shall be given free access to enter and perform work upon the publicly owned lands. The provisions of conservation ordinances have the force and effect of law over all publicly owned lands, and shall be in all respects observed by the agencies administering the lands.

History. Laws 1941, ch. 134, § 15; C.S. 1945, § 34-1415; W.S. 1957, § 11-250; W.S. 1977, § 11-19-118 ; Laws 1978, ch. 32, § 1.

Cross references. —

As to leasing of state lands generally, see §§ 36-5-101 to 36-5-117 .

Meaning of “this act.” —

For the definition of “this act,” referred to in this section, see § 11-16-102(a)(xii).

§ 11-16-133. Tax levied on property in district; maximum amount; soil and water conservation fund; other appropriation authorized.

  1. Subject to W.S. 11-16-134 , the county commissioners may annually levy a tax to  carry out this act. The tax shall be levied upon all property in the  district and shall not exceed one (1) mill on each one dollar ($1.00)  of assessed valuation. The tax is not part of the general county or  city mill levies. The tax shall be levied and collected as other county  taxes and the county treasurer shall remit the taxes collected to  the district to a separate fund to be known as the conservation district  fund, which shall be used only to carry out the purposes of this act.
  2. Whether or not a tax levy is authorized  under W.S. 11-16-134 , each board of county commissioners may make appropriations  from the county general fund to districts established under this act  for the purpose of providing soil and water conservation programs.

History. Laws 1987, ch. 21, § 1.

Cross references. —

As to the definition of “commission” see § 11-16-102 and notes thereunder.

Meaning of “this act.” —

For the definition of “this act,” referred to throughout this section, see § 11-16-102(a)(xii).

§ 11-16-134. Imposition of tax; vote of electors required.

  1. No tax shall be imposed under W.S. 11-16-133 until the proposition to impose the tax is submitted  to a vote of the voters of the district and a majority of those casting  their ballots vote in favor of imposing the tax. Any tax imposed under  this act shall be levied in the year following the election at which  the imposition of the tax is approved.
  2. The proposition to impose a tax under  this act shall be at the expense of the county and may be submitted  to the voters of the county upon the receipt by the board of county  commissioners of a petition requesting the election signed by a majority  of the supervisors of the district. The election shall be at the direction  and under the supervision of the board of county commissioners.
  3. Subject to the limitation of subsection  (b) of this section, the proposition to impose a tax under this act  shall be submitted on an election date authorized under W.S. 22-21-103 , or by mail ballot pursuant to W.S. 22-29-115 and 22-29-116 . A notice of election shall be given by the county clerk  in at least one (1) newspaper of general circulation published in  the county wherein the election is to be held and shall specify the  object of the election. The notice shall be published at least once  each week for a thirty (30) day period preceding the election. At  the election the ballots shall contain the words “for the conservation  district tax” and “against the conservation district tax”. Upon the  initial submission of the conservation district tax, or any renewal  thereof, after July 1, 1995, the conservation district board of supervisors  shall choose one (1) of the following options and the words of the  chosen option shall be clearly printed in the appropriate area on  the election ballot:
    1. If this proposition is approved, the same  proposition shall be submitted at the second following general election  or by mail ballot pursuant to W.S. 22-29-115 and 22-29-116 , and thereafter at succeeding general elections or by  mail ballot pursuant to W.S. 22-29-115 and 22-29-116, every four (4) years until the proposition is defeated;  or
    2. If this proposition is approved, the tax  shall remain in effect until a petition to discontinue the tax, signed  by not less than ten percent (10%) of the voters of the district,  is received by the board of county commissioners, and the proposal  to discontinue the tax is approved by the voters. The proposal to  discontinue the tax shall be submitted to the voters of the district  at the expense of the county at the next general election or by mail  ballot pursuant to W.S. 22-29-115 and 22-29-116 for approval or disapproval.

History. Laws 1987, ch. 131, § 1; 1995, ch. 180, § 1; 1996, ch. 97, § 2; 1998, ch. 115, § 2.

Cross references. —

As to the definition of “commission” see § 11-16-102 and notes thereunder.

Meaning of “this act.” —

For the definition of “this act,” referred to throughout this section, see § 11-16-102(a)(xii).

§ 11-16-135. Special expertise of supervisors of conservation districts.

When representing a conservation district as a cooperating agency in matters related to the National Environmental Policy Act and in federal land planning, implementation and management actions, supervisors of a conservation district shall be deemed to have special expertise on all subject matters for which they have statutory responsibility as provided in W.S. 11-16-122 , including but not limited to all subject matters directly or indirectly related to stabilization of the agriculture industry, protection of natural resources including but not limited to data and information, conservation of soil and water resources, control and prevention of soil erosion, flood prevention or the conservation, development, utilization and disposal of water within the district.

History. Laws 2013, ch. 125, § 1.

Effective date. — Laws 2013, ch. 125, § 3, makes the act effective immediately upon completion of all acts necessary for a bill to become law as provided by Article 4, Section 8 of the Wyoming Constitution. Approved March 13, 2013.

Chapter 17 Livestock Remedies

Cross references. —

For definition of the term “director,” see § 11-1-101 .

As to commercial feed, see ch. 13 of this title.

Severability. —

Section 9, ch. 70, Laws 1929, reads: “If any provisions of this act shall be held invalid, it is hereby provided that all other portions of this act which are not expressly held to be invalid shall continue in full force and effect.”

Repealing clauses. —

Section 10, ch. 70, Laws 1929, repealed all laws and parts of laws in conflict with that act.

Am. Jur. 2d, ALR and C.J.S. references. —

3 Am. Jur. 2d Agriculture §§ 38 to 48.

3A C.J.S. Animals §§ 66 to 68.

Article 1. Livestock Remedies Generally

§ 11-17-101. [Repealed.]

Repealed by Laws 2011, ch. 98, § 2.

Editor's notes. —

This section, which derived from Laws 1929, ch. 70, § 1, related to definition of “livestock remedy.”

Laws 2011, ch. 98, § 3, makes the act effective July 1, 2011.

§ 11-17-102. [Repealed.]

Repealed by Laws 2011, ch. 98, § 2.

Editor's notes. —

This section, which derived from Laws 1929, ch. 70, § 2, related to file a statement and certificate with department of agriculture.

Laws 2011, ch. 98, § 3, makes the act effective July 1, 2011.

§ 11-17-103. [Repealed.]

Repealed by Laws 2011, ch. 98, § 2.

Editor's notes. —

This section, which derived from Laws 1929, ch. 70, § 7, related to refusal or cancellation of registration and refusal to allow changes of ingredients.

Laws 2011, ch. 98, § 3, makes the act effective July 1, 2011.

§ 11-17-104. [Repealed.]

Repealed by Laws 2011, ch. 98, § 2.

Editor's notes. —

This section, which derived from Laws 1929, ch. 70, § 4, related to inspections of buildings used in manufacture and purchase and analysis of samples.

Laws 2011, ch. 98, § 3, makes the act effective July 1, 2011.

§ 11-17-105. [Repealed.]

Repealed by Laws 2011, ch. 98, § 2.

Editor's notes. —

This section, which derived from Laws 1929, ch. 70, § 3, related to labeling.

Laws 2011, ch. 98, § 3, makes the act effective July 1, 2011.

§ 11-17-106. [Repealed.]

Repealed by Laws 2011, ch. 98, § 2.

Editor's notes. —

This section, which derived from Laws 1929, ch. 70, § 5, related to chemical analysis of samples.

Laws 2011, ch. 98, § 3, makes the act effective July 1, 2011.

§ 11-17-107. [Repealed.]

Repealed by Laws 2011, ch. 98, § 2.

Wyoming Administrative Procedure Act. —

See § 16-3-101(a), (b)(xi).

Editor's notes. —

This section, which derived from Laws 1929, ch. 70, § 6, related to hearing on violations, notice to manufacturer, and certification of facts to district attorney.

Laws 2011, ch. 98, § 3, makes the act effective July 1, 2011.

§ 11-17-108. [Repealed.]

Repealed by Laws 2011, ch. 98, § 2.

Editor's notes. —

This section, which derived from Laws 1929, ch. 70, § 8, related to prohibited acts and penalties for violations.

Laws 2011, ch. 98, § 3, makes the act effective July 1, 2011.

Article 2. Animal Remedies

Effective date. —

Laws 2011, ch. 98, § 3, makes the act effective immediately upon completion of all acts necessary for a bill to become law as provided by art. 4, § 8, Wyo. Const. Approved March 12, 2011.

§ 11-17-201. Short title.

This article is known and may be cited as the “Wyoming Animal Remedies Act.”

History. Laws 2011, ch. 98, § 1.

§ 11-17-202. Definitions; exemptions.

  1. As used in this article:
    1. “Advertisement” means any representation,  other than on the label, disseminated in any manner or by any means,  relating to animal remedies as defined in this article;
    2. “Animal” means any animate being, which  is not human, endowed with the power of voluntary action;
    3. “Animal remedy” means any drug, combination  of drugs, proprietary medicine, biological product and combinations  of drugs and other ingredients, other than for food or cosmetic purposes,  which is prepared or compounded for animal use, except as exempted  by the director;
    4. “Antimicrobial resistance” means the result  of microbes changing in ways that reduce or eliminate the effectiveness  of drugs, chemicals or other agents intended to cure or prevent infections;
    5. “Brand name” means any word, name, symbol  or device, or any combination thereof, identifying the animal remedy  of a distributor or registrant and distinguishing it from that of  others;
    6. “Department” means the Wyoming department  of agriculture;
    7. “Director” means the director of the Wyoming  department of agriculture;
    8. “Distribute” means to offer for sale,  sell, exchange or barter any animal remedy;
    9. “Distributor” means any person who distributes  animal remedies;
    10. “Dosage form” means an animal remedy prepared  in tablets, pills, capsules, ampules, boluses or other units suitable  for administration as an animal remedy;
    11. “Drug” means an animal remedy:
      1. Recognized in the official United States  pharmacopoeia, the official United States homeopathic pharmacopoeia,  the official national formulary, or any supplement to any of these  publications;
      2. Recognized by the United States food and  drug administration;
      3. Intended for use in the diagnosis, cure,  mitigation, treatment or prevention of disease in animals;
      4. Prepared for external or internal use  in the mitigation of parasites in or on animals;
      5. Intended to affect the structure or any  function of the body of animals;
      6. Intended for use as a component of any  combined animal remedy specified in subparagraphs (A) through (E)  of this paragraph.
    12. “Drug” does not include a device or its  components, parts or accessories;
    13. “Label” means a display of written, printed  or graphic matter upon or affixed to the immediate container of any  animal remedy;
    14. “Labeling” means any label and other written,  printed or graphic matter upon an animal remedy and any of its containers  or wrappers accompanying the animal remedy. “Labeling” also includes  any advertisement or brochure promoting the animal remedy including  but not limited to television, internet, other electronic medium or  pamphlets;
    15. “Medicated feed” means commercial or custom  feed which contains drug ingredients intended for the cure, mitigation,  treatment or prevention of diseases of animals or which contains drug  ingredients intended to affect the structure or any function of the  body of animals;
    16. “Official sample” means any sample of  an animal remedy taken by and designated as official by the director  or his agent;
    17. “Product name” means the name of the animal  remedy which identifies it as to kind, class or specific use;
    18. “Registrant” means the person who registers  animal remedies under the provisions of this article. The registrant  may also be the distributor;
    19. “This act” means W.S. 11-17-201 through 11-17-209 .
  2. Nothing in this article shall apply to:
    1. A medicated feed;
    2. A product registered with the department  and recognized as a pesticide;
    3. Any animal remedy intended solely for  investigational, experimental or laboratory use by qualified persons,  provided the animal remedy is plainly labeled “for investigational  use only”;
    4. Any person licensed to practice veterinary  medicine in Wyoming, when acting within the scope of that license.

History. Laws 2011, ch. 98, § 1.

§ 11-17-203. Powers and duties of the director; promulgation of rules; interagency cooperation.

  1. The director shall enforce the provisions  of this article and may prescribe the form of tags, stamps or labels  to be used to show that the registration has been properly filed.
  2. The director may refuse to register any  application not in compliance with this article and may cancel any  registration subsequently found not to be in compliance with the law.  No registration shall be refused or cancelled until the registrant  has been given an opportunity to be heard before the director and  to amend his application in order to bring the application into compliance.
  3. The director may sample any animal remedy  as he deems necessary.
  4. The director shall conduct any investigation  he deems necessary to enforce this article.
  5. The director may refuse the registration  of any animal remedy if available facts indicate that the product  proposed is of negligible or no value for correcting, alleviating  or mitigating animal injuries or diseases for which it is intended,  or the director may suspend or revoke any use for flagrant violation  of this article.
  6. The director may determine whether a manufacturer  or distributor shall be registered under the commercial feed or an  animal remedy law.
  7. The director shall cause animal remedies,  which are found or believed not to comply with this article to be  withheld from sale pending compliance with this article.
  8. Whenever the director or his authorized  agent finds or has reasonable cause to believe an animal remedy is  adulterated or misbranded under any provision of W.S. 11-17-207(d), he shall affix to the animal remedy a tag or other appropriate  marking, giving notice that the animal remedy is, or is suspected  of being, adulterated or misbranded and has been detained and warning  all persons not to dispose of the animal remedy in any manner until  permission is given by the director or the court. Any animal remedy  suspected of being adulterated or misbranded may be removed from display  by the manufacturer or vendor, but shall be left on the premises.  No person shall dispose of a detained animal remedy in violation of  this section.
  9. If an animal remedy detained pursuant  to subsection (g) or (h) of this section is found, after examination  and analysis, to be adulterated or misbranded, the director may petition  the judge of any court of competent jurisdiction in whose jurisdiction  the animal remedy is detained for an order to condemn the animal remedy.  If the director finds that the detained animal remedy is not adulterated  or misbranded he shall remove the tag or marking.
  10. The director may promulgate rules and  regulations for animal remedies necessary for the efficient enforcement  of this article. Procedures for promulgation shall be those outlined  in the Wyoming Administrative Procedure Act.
  11. The director may cooperate with and enter  into agreements with other Wyoming agencies including the state veterinarian,  other states and agencies of the federal government in order to carry  out the purpose and provisions of this article.

History. Laws 2011, ch. 98, § 1.

Editor's notes. —

There is no subsection (i) or (l) in this section as it appears in the printed acts.

§ 11-17-204. Registration; fees; audit; investigator special revenue account.

  1. Any manufacturer of animal remedies, except  the United States department of agriculture, shall register each product  before distribution in Wyoming. The application for registration shall  be submitted on forms furnished by the director and shall be accompanied  by a label or other printed matter describing the product. Upon approval  by the director or his agent, a copy of the registration shall be  furnished to the applicant. All registrations are effective from the  date of approval and expire on December 31 each year.
  2. Every registrant of animal remedies shall pay a registration fee of forty dollars ($40.00) per product. Of this fee, twenty dollars ($20.00) shall be deposited into the general fund and twenty dollars ($20.00) shall be deposited into the inspection account.
  3. An applicant may appeal the denial of  a registration in accordance with the Wyoming Administrative Procedure  Act.
  4. The department may conduct a product compliance  audit to assure compliance of this article. The audit shall consist  of label and registration reviews. A registrant may appeal any negative  audit in accordance with the Wyoming Administrative Procedure Act.

History. Laws 2011, ch. 98, § 1; 2020, ch. 91, § 1.

The 2020 amendment, in (b) substituted “forty dollars ($40.00)” for “twenty dollars ($20.00)” and added the last sentence.

Laws 2020, ch. 91, § 2, makes the act effective immediately upon completion of all acts necessary for a bill to become law as provided by art. 4, § 8, Wyo. Const. Approved March 13, 2020.

§ 11-17-205. Labeling.

  1. Any animal remedy distributed in Wyoming  shall be accompanied by a legible label bearing the following information:
    1. The name and principal address of the  manufacturer or person responsible for placing the animal remedy on  the market;
    2. The name, brand or trade-mark under which  the animal remedy is sold;
    3. An accurate statement of the minimum net  contents of the package, lot or parcel, the contents stated by weight  in the case of solids, by volume in the case of liquids, and by both  count and weight or volume per dose in the case of dosage forms;
    4. The common or usual name and quantity  of each active ingredient;
    5. Adequate directions for use;
    6. Adequate warnings against use in conditions,  whether pathological or normal, where its use may be dangerous to  the health of animals, or against unsafe dosage, methods or duration  of methods, administration, or application, in such manner and form,  as are necessary for the protection of animals.
  2. Any word, statement or other information  appearing on the label shall also appear on the outside container  or wrapper, if any, of the retail package of the animal remedy or  shall be easily legible through the outside container or wrapper of  the animal remedy.

History. Laws 2011, ch. 98, § 1.

§ 11-17-206. Professional supervision required for preparation and packaging of remedies.

  1. No person shall compound, manufacture,  make, produce, pack, package or prepare within Wyoming any animal  remedy to be offered for sale or distribution unless the compounding,  manufacture, making, producing, packaging, packing or preparing is  done with adequate equipment under the supervision of a licensed veterinarian,  a graduate chemist, a licensed pharmacist, a licensed physician or  some other person as may be approved by the director after an investigation  and a determination by the director that he is qualified by scientific  or technical training or by experience to perform the duties of supervision  as may be necessary to protect animal health and public safety.
  2. No person shall make a claim that an animal  remedy is antimicrobial resistant without verification and support  documentation of the American Veterinary Medical Association.

History. Laws 2011, ch. 98, § 1.

§ 11-17-207. Right of access to establishments and information relating to manufacturing; sampling and analysis.

  1. The director or his agent shall have access  during normal business hours to any establishment or facility in which  an animal remedy is manufactured, transported or held for distribution  and to information relating to the manufacture, transportation and  distribution of the animal remedy for purposes of sampling and inspection.
  2. Any method of sampling and analysis shall  be as approved by the director from current established methods. In  any case not covered by an approved method, or in any case where methods  are available in which improved applicability has been demonstrated,  the director may approve the appropriate methods from other sources.  The director, in determining whether an animal remedy is deficient  in any component, shall be guided solely by the official sample analyzed  in accordance with approved methods. For purposes of this article,  the results of official analysis shall be final, unless it is determined  by the director that a resample is warranted. If a distributor or  registrant requests a resample of an animal remedy based upon the  director’s findings of a deficiency, all costs associated with the  resampling and analysis shall be borne by the distributor or registrant.  If the results of the resampling establish the result of the first  analysis was invalid, the department shall bear the costs associated  with the resampling. Any requests for a resample to the director shall  be made in writing.
  3. The director shall make or cause to be  made under his direction, analysis and examinations of samples of  animal remedies furnished to him by the director to determine whether  the animal remedy sampled conforms with this article and shall certify  the results of the examinations to the director.
  4. When the inspection and analysis of an  official sample indicates an animal remedy has been adulterated or  misbranded, the results of analysis shall be forwarded by the director  to the distributor and the purchaser.
  5. Any animal remedy that is manufactured  and distributed under registration from and under the supervision  of the United States department of agriculture, and in compliance  with the regulations of that department shall not be considered adulterated  or misbranded.
  6. An animal remedy shall be deemed to be  misbranded under the following circumstances:
    1. It is not properly labeled;
    2. It is not labeled as required in W.S. 11-17-205 and in regulations promulgated under this article;
    3. If the label is false or misleading;
    4. If the information required on the label  is not conspicuous and clear and if any word, statement or other information  required to appear on the label is not prominently placed conspicuously  on the label, as compared with other words, statements, designs or  devices in the labeling and in such terms, as to render it likely  to be read and understood by the ordinary individual under customary  conditions of purchase and use;
    5. It is distributed under the name of another  animal remedy;
    6. If the recommended dosage is dangerous  to the health of animals when used in the dosage or with the frequency  or duration prescribed, recommended or suggested in the labeling of  the animal remedy.
  7. An animal remedy shall be deemed to be  adulterated if:
    1. It consists in whole or in part of any  filthy, putrid or decomposed substance;
    2. It bears or contains any poisonous or  deleterious substance which may render it injurious to health under  customary or usual use;
    3. Its container is composed of any injurious  or deleterious substance which may render the animal remedy injurious  to health;
    4. It was prepared, packed or held under  unsanitary conditions where the animal remedy may have become contaminated  with filth or where the animal remedy may have been rendered injurious  to animal health;
    5. Its composition, purity, strength or quality  falls below or differs from that which it is purported or is represented  to possess by its labeling. The director shall allow a reasonable  tolerance from such representation as is in accordance with good manufacturing  practices.
  8. No person shall forge, counterfeit, simulate  or falsely represent or without proper authority use, any mark, stamp,  tag, label or other identification device required by W.S. 11-17-205 .
  9. No person shall alter, mutilate, destroy,  obliterate or remove any part of the labeling of any animal remedy  if the act results in the animal remedy being misbranded, or do any  other act, while the animal remedy is being held for sale, which results  in the misbranding of the animal remedy.
  10. All provisions for enforcement of animal  remedies found to be short weight shall be administered by the department  under W.S. 40-10-117 through 40-10-136 of the Wyoming weights and measures law.

History. Laws 2011, ch. 98, § 1.

Editor's notes. —

There is no subsection (i) in this section as it appears in the printed acts.

§ 11-17-208. Warning to distributor; seizure and order of disposition; application for release; hearing.

  1. When the director or his authorized agent  finds that an animal remedy is mislabeled, misbranded or adulterated,  or that it does not conform to its label guarantee, he may issue a  written statement warning the distributor or registrant that the animal  remedy is considered to be in violation of the law. This statement  is a warning only to the distributor or registrant that if the animal  remedy is distributed further the director may pursue further action.  If the distributor, registrant or manufacturer heeds the warning and  corrects the violation within the time allowed by the director, no  further action shall be taken.
  2. If it appears that any manufacturer, distributor,  registrant or any other person responsible for animal remedies has  not corrected the reason for the warning in subsection (a) of this  section or has violated this article, the director shall cause notice  to be given to the manufacturer, distributor, registrant or person  that a hearing will be had at a date and place named in the notice.  The director or his authorized agent shall hold a hearing in accordance  with the Wyoming Administrative Procedure Act. If the manufacturer,  distributor, registrant or person fails to appear at the time and  place designated in the notice, the director or his authorized agent  shall conduct the hearing as though the manufacturer, distributor,  registrant or person were present. If it is established by the hearing  to the satisfaction of the director that prosecution is warranted  the director shall provide to the Wyoming attorney general:
    1. A certification of the facts;
    2. An official report of the result of the  hearing; and
    3. A copy of the analysis or other examination  which bears on the case.
  3. Any lot of an animal remedy not in compliance  with requirements of laws or regulations is subject to seizure on  complaint of the director to a court of competent jurisdiction in  the county in which the animal remedy is located. If the court finds  the animal remedy in violation and orders the condemnation of the  animal remedy, it shall be disposed of in any manner consistent with  the quality of the animal remedy and the laws of Wyoming. In no instance  shall the disposition of the animal remedy be ordered by the court  without first giving the manufacturer, distributor or registrant an  opportunity to apply to the court for release of the animal remedy  or for permission to process or relabel the animal remedy to bring  it into compliance with the law.

History. Laws 2011, ch. 98, § 1.

§ 11-17-209. Prohibited acts; penalty; additional sanctions.

  1. It is unlawful for any person to:
    1. Sell or distribute in Wyoming any animal  remedy without having attached or furnished such stamps, labels or  tags as required by this article;
    2. Impede, prevent or attempt to prevent  the director or his agent in the performance of his lawful duties;
    3. Sell, offer for sale or distribute in  Wyoming any animal remedy without complying with the requirements  of this article;
    4. Sell or distribute in Wyoming any animal  remedy when the manufacturer or distributor is not registered with  the department as required by this article;
    5. Manufacture, sell, deliver, hold or offer  for sale any animal remedy that is adulterated or misbranded;
    6. Give a guaranty which is false, except  a person who relied on a guaranty to the same effect signed by, and  containing the name and address of the person from whom he received  the animal remedy in good faith;
    7. Disseminate any advertisement which is  false or misleading in any respect, but no person or medium for the  dissemination of any advertisement, except the manufacturer, packer,  distributor, or seller of the animal remedy to which a false advertisement  relates, is subject to the penalties for violations of this article,  by reason of the dissemination by him of the false advertisement,  unless he refused, on the request of the director to furnish the name  and address of the manufacturer, packer, distributor, seller or advertising  agency which caused him to disseminate the advertisement;
    8. Sell or offer to sell any biological product  that has not been kept in refrigeration under conditions prescribed  by the rules and regulations promulgated and adopted by the director.
  2. Any person violating any provision of W.S. 11-17-201 through 11-17-209 or rules or regulations thereunder is guilty of a misdemeanor  and upon conviction shall be fined not more than five hundred dollars  ($500.00) or imprisoned in the county jail for not more than one (1)  year, or both, for the first offense, and upon conviction for a subsequent  offense shall be fined not more than one thousand dollars ($1,000.00)  or imprisoned in the county jail for not more than one (1) year, or  both. Any offense committed more than three (3) years after a previous  conviction shall be considered a first offense.
  3. In addition to the penalty provided in  subsection (b) of this section, the distribution of any animal remedy  mixed or adulterated with any substance injurious to animals is subject  to seizure and condemnation as the court may direct. The court may  in its discretion release the animal remedy seized when the requirements  of law have been complied with, and upon payment of all costs and  expenses incurred by the state in any proceedings connected with the  seizure.

History. Laws 2011, ch. 98, § 1.

Chapter 18 Livestock Board and State Veterinarian

Cross references. —

As to requiring legislature to provide for protection of livestock and stock owners, see art. 19, § 1, Wyo. Const.

Am. Jur. 2d, ALR and C.J.S. references. —

3 Am. Jur. 2d Agriculture §§ 38 to 48; 4 Am. Jur. 2d Animals § 1 et seq.; 78 Am. Jur. 2d Veterinarians § 1 et seq.

3 C.J.S. Agriculture §§ 15 to 19, 23; 3A C.J.S. Animals §§ 16 to 37, 66 to 116, 122 to 169, 274 to 348.

§ 11-18-101. Livestock board; creation; composition; qualifications; appointment and term of members; removal; vacancies; name defined.

  1. The Wyoming livestock board is created  and shall consist of seven (7) livestock producers. At least three  (3) members shall be sheep producers and at least three (3) shall  be cattle producers, provided that if a vacancy exists on the board  and no person meeting all the qualifications of this section is available  then any livestock producer within the appointment district may be  appointed. Members shall be appointed by the governor with the advice  and consent of the senate and may be removed by the governor as provided  in W.S. 9-1-202 . The members shall be appointed from each of the appointment  districts pursuant to W.S. 9-1-218 and the appointment for each district shall be rotated  among the counties within the district. The members shall serve for  one (1) six (6) year term and until their successors are appointed  and qualified. In case of a vacancy for any reason, the governor shall  appoint a qualified person to fill the vacancy in accordance with W.S. 28-12-101 . Each member of the Wyoming livestock board shall be  a qualified elector of the county from which he is appointed and a  resident of this state during his term of office.
  2. The name, “Wyoming livestock and sanitary  board” wherever it appears in any statute, law or regulation of record  in this state or in any other document now in force and effect means  “Wyoming livestock board.” All powers, duties and prerogatives having  accrued by law to the former livestock and sanitary board is hereafter  vested in the Wyoming livestock board.
  3. Appointments and terms under this section  shall be in accordance with W.S. 28-12-101 through 28-12-103 .

History. Laws 1933, ch. 85, § 1; C.S. 1945, § 56-101; W.S. 1957, § 11-261; Laws 1961, ch. 228, § 1; 1973, ch. 61, § 1; W.S. 1977, § 11-21-103 ; Laws 1977, ch. 21, § 2; 1978, ch. 32, § 1; 1979, ch. 17, § 2; 1983, ch. 32, § 1; 1987, ch. 175, § 1; 2006, ch. 92, § 1; 2010, ch. 69, § 203.

Cross references. —

For definition of “qualified elector,” see § 22-1-102(a)(xxvi).

The 2006 amendment, effective July 1, 2006, in (a), substituted “seven (7) livestock producers” for “three (3) woolgrowers and four (4) stockmen engaged in other livestock interests,” inserted the second sentence, and made a stylistic change.

The 2010 amendment, effective July 1, 2010, in (c), deleted “Effective July 1, 1979”at the beginning.

Appropriations. —

Laws 2006, ch. 92, § 2, appropriates from the general fund to the livestock board two hundred twenty-one thousand five hundred dollars ($221,500.00) for the biennium to fund the director position pursuant to this act and authorizes one (1) full-time equivalent position for the position of director authorized by this act.

Civil office. —

Members of livestock and sanitary board (now livestock board) hold civil office under the state, and hold their offices for six years and until their successors are appointed and have qualified. People ex rel. Warren v. Christian, 58 Wyo. 39, 123 P.2d 368, 1942 Wyo. LEXIS 12 (Wyo. 1942).

Appointive power of governor. —

Governor's power of appointment without advice and consent of senate is confined to cases when vacancy exists and no other mode for filling it has been provided. People ex rel. Warren v. Christian, 58 Wyo. 39, 123 P.2d 368, 1942 Wyo. LEXIS 12 (Wyo. 1942).

Mere fact that the term of office of a livestock and sanitary board (now livestock board) member did not expire until after adjournment of legislature did not prevent a prospective appointment followed by concurrence by the senate. People ex rel. Warren v. Christian, 58 Wyo. 39, 123 P.2d 368, 1942 Wyo. LEXIS 12 (Wyo. 1942).

Right to hold over. —

Right to hold over until successor is appointed and qualifies is as much part of the tenure of office as the regular period fixed by statute. People ex rel. Warren v. Christian, 58 Wyo. 39, 123 P.2d 368, 1942 Wyo. LEXIS 12 (Wyo. 1942).

Holding over keeps office filled. —

Under statute providing term of office shall be six years and “until successors are appointed and qualified,” no vacancy in office exists enabling governor to appoint successor without consent of senate while qualified person is in possession of office. People ex rel. Warren v. Christian, 58 Wyo. 39, 123 P.2d 368, 1942 Wyo. LEXIS 12 (Wyo. 1942).

Death of incumbent holding over. —

Where governor's appointment after incumbent's term expired became valid on incumbent's death to extent incumbent had right to office until successor qualified, because senate did not confirm appointment, appointee's name or his successor's should go to senate at next session, and such person when confirmed will serve for balance of term. People ex rel. Warren v. Christian, 58 Wyo. 39, 123 P.2d 368, 1942 Wyo. LEXIS 12 (Wyo. 1942).

Where governor's appointment of new member to livestock and sanitary board (now livestock board) was invalid because it was not confirmed by the senate, the death of a holdover member created a vacancy which the governor could fill by appointment, with the new appointee standing in the shoes of deceased. People ex rel. Warren v. Christian, 58 Wyo. 39, 123 P.2d 368, 1942 Wyo. LEXIS 12 (Wyo. 1942).

Abandonment of offices not shown. —

Failure of incumbents to bring quo warranto until eight months after invalid appointments of new board members and after annual meeting, did not show loss of offices by “abandonment” or by “acquiescence.” People ex rel. Warren v. Christian, 58 Wyo. 39, 123 P.2d 368, 1942 Wyo. LEXIS 12 (Wyo. 1942).

Acquiescence in appointment of successor. —

Where former member of livestock and sanitary board (now livestock board) acquiesced in appointment of successor for more than two years, he lost all rights to office which he might otherwise have had as holdover incumbent. People ex rel. Warren v. Christian, 58 Wyo. 39, 123 P.2d 368, 1942 Wyo. LEXIS 12 (Wyo. 1942).

Stated in

County Court Judges Ass'n v. Sidi, 752 P.2d 960 (Wyo. 1988).

Cited in

Peterson v. Wyoming Game & Fish Comm'n, 989 P.2d 113, 1999 Wyo. LEXIS 166 (Wyo. 1999).

§ 11-18-102. Livestock board; duties generally.

The Wyoming livestock board shall exercise general supervision over and protect the livestock interests of the state from theft and disease, and shall recommend legislation as in its judgment will foster the industry.

History. Laws 1890-91, ch. 33, § 13; R.S. 1899, § 2031; C.S. 1910, § 2639; C.S. 1920, § 3136; R.S. 1931, § 67-115; C.S. 1945, § 56-115; W.S. 1957, § 11-262; W.S. 1977, § 11-21-104 ; Laws 1978, ch. 32, § 1.

§ 11-18-103. Livestock board; powers generally.

  1. In addition to powers and duties hereinafter  provided, the Wyoming livestock board shall:
    1. Appoint a state veterinarian who is a  graduate of a veterinary college recognized by the American Veterinary  Medical Association and the Wyoming state board of veterinary medicine  and licensed to practice in Wyoming and who shall serve at the pleasure  of the board;
    2. Consult with the state veterinarian when  the state veterinarian appoints deputy state veterinarians. Any deputy  state veterinarians shall act under the direction of the Wyoming livestock  board and the state veterinarian. Deputy state veterinarians shall  be graduates of a veterinary college recognized by the American Veterinary  Medical Association and the Wyoming state board of veterinary medicine.  Deputy state veterinarians shall serve at the pleasure of the state  veterinarian. The state veterinarian shall supervise and control the  action of the deputy state veterinarians and prescribe their duties  and tenure of office;
    3. Supervise and control the action of the  state veterinarian and prescribe his duties and tenure of office;
    4. Remove the state veterinarian at any time;
    5. Promulgate and enforce rules, regulations  and orders it deems necessary for the importation of domestic animals,  excluding those animals covered in W.S. 23-3-301(a), recording and inspection of livestock brands, inspection,  testing, brucellosis vaccination or quarantining of any livestock  including brucellosis vaccination requirements for resident cattle  and cattle imported into Wyoming and to develop a livestock health  and emergency disease response program, including prevention, surveillance  and investigation of livestock diseases through naturally occurring  events or acts of agroterrorism. “Agroterrorism” for the purpose of  this section means an intentional release of a biological or chemical  agent that causes disease to livestock or crops or renders the food  products of livestock or crops unsafe for human consumption;
    6. Exercise the power and authority conferred  upon it by this act [§§ 11-18-101 through 11-18-119 ], either directly or through its agency;
    7. Designate an agency to act as its representative  as provided by W.S. 11-20-201 , recorded in its minutes, and transmit the name of the  agency to the auditor and treasurer of Wyoming;
    8. Develop a comprehensive livestock health  and emergency disease response program for reportable diseases as  identified in W.S. 11-19-102 ;
    9. Promote the prevention, surveillance,  investigation and elimination of diseases of concern and the protection  of the overall health of Wyoming livestock by maintaining science  based import regulations and quarantines and providing instruction  to the ports of entry, veterinarians and law enforcement;
    10. Administer the livestock law enforcement account created by W.S. 11-18-120 ;
    11. Convene when necessary for the purpose of considering the recommended closure of any elk feedground as provided under W.S. 23-1-305(a).

History. Laws 1933, ch. 85, § 14; C.S. 1945, § 56-113; W.S. 1957, § 11-263; Laws 1961, ch. 46, § 1; W.S. 1977, § 11-21-105; Laws 1978, ch. 32, § 1; 1983, ch. 187, § 1; 1994, ch. 96, § 1; 2002 Sp. Sess., ch. 22, § 1; 2006, ch. 92, § 1; 2007, ch. 191, § 1; 2009, ch. 120, § 1; 2019, ch. 182, § 2; 2021, ch. 97, § 2.

The 2006 amendment, effective July 1, 2006, rewrote (a)(ii)(A), (iii), and (iv), authorizing the position of director, giving more oversight and responsibility to a state veterinarian, who will nevertheless remain under the control of the state livestock board.

The 2007 amendment, rewrote (a).

Laws 2007, ch. 191, § 2, makes the act effective immediately upon completion of all acts necessary for a bill to become law as provided by art. 4, § 8, Wyo. Const. Approved March 4, 2007.

The 2009 amendment, effective July 1, 2009, in (a)(v), added “and to develop a livestock health and emergency disease response program, including prevention, surveillance and investigation of livestock diseases through naturally occurring events or acts of agroterrorism” to the first sentence and added the second sentence; added (a)(viii) and (a)(ix); and made related changes.

The 2019 amendment, effective July 1, 2019, added (a)(x).

The 2021 amendment, effective July 1, 2021, added (a)(xi).

Editor's notes. —

There is no subsection (b) and no subparagraph (a)(ii)(B) in this section as it appears in the printed acts.

Appropriations. —

Laws 2006, ch. 92, § 2, appropriates from the general fund to the livestock board two hundred twenty-one thousand five hundred dollars ($221,500.00) for the biennium to fund the director position pursuant to this act and authorizes one (1) full-time equivalent position for the position of director authorized by this act.

Laws 2009, ch. 120, § 2(a), provides as follows:

“(a) There is appropriated one hundred sixty thousand dollars ($160,000.00) from the general fund to the Wyoming livestock board as follows:

“(i) One hundred thousand dollars ($100,000.00) for one (1) full-time position for a field veterinary medical officer for salary and benefits. This position is to assist the state veterinarian in animal trace back, risk assessment, epidemiology, affected area owners and science based decisions;

“(ii) Forty-five thousand dollars ($45,000.00) for a contractor to develop a comprehensive technology plan and business analysis needed to assess and deploy a state-wide electronic system for ownership verification for the livestock brand program and the essential disease trace back and ownership for the livestock health and emergency disease response program that:

“(A) Includes integration and interfaces with new and existing databases, programs and applications;

“(B) Ensures system and data security and integrity;

“(C) Defines initial and on-going training and information technology maintenance resources; and

“(D) Is designed for user friendliness as well as accurate and efficient reporting.

“(iii) Fifteen thousand dollars ($15,000.00) for the vehicle, field office support and expenses for the additional positions authorized in this act.

“(b) The appropriations under subsection (a) of this section shall be for the period beginning with the effective date of this act and ending June 30, 2010. Notwithstanding any other provision of law, these appropriations shall not be transferred or expended for any other purpose and any unexpended, unobligated funds remaining from these appropriations shall revert as provided by law on June 30, 2010.”

Law reviews. —

For article, “Bison, Brucellosis, and Law in the Greater Yellowstone Ecosystem,” see XXVIII Land & Water L. Rev. 1 (1993).

§ 11-18-104. Livestock board; oath.

Members of the Wyoming livestock board, before entering upon their duties, shall take the oath of office prescribed by the constitution, and file it in the office of the secretary of state.

History. Laws 1933, ch. 85, § 2; C.S. 1945, § 56-102; W.S. 1957, § 11-264; W.S. 1977, § 11-21-106; Laws 1978, ch. 32, § 1.

Cross references. —

As to constitutional oath of office, see art. 6, §§ 20 and 21, Wyo. Const.

§ 11-18-105. Livestock board; election of president; meetings generally.

The Wyoming livestock board shall elect one (1) of its members president. It shall meet at such times as called by the president, any three (3) members of the board, the state veterinarian or the director.

History. Laws 1933, ch. 85, § 4; C.S. 1945, § 56-104; W.S. 1957, § 11-265; Laws 1973, ch. 61, § 1; W.S. 1977, § 11-21-107; Laws 1978, ch. 32, § 1; 2007, ch. 191, § 1.

The 2007 amendment, substituted “the state veterinarian or the director” for “or the chief executive officer.”

Laws 2007, ch. 191, § 2, makes the act effective immediately upon completion of all acts necessary for a bill to become law as provided by art. 4, § 8, Wyo. Const. Approved March 4, 2007.

§ 11-18-106. Livestock board; quorum; compensation.

A majority of the board constitutes a quorum for the transaction of business. Members of the board shall receive compensation, mileage and per diem for time actually spent in the performance of their duties and traveling expenses while in attendance, and going to and from board meetings in the same manner and amount as members of the Wyoming legislature.

History. Laws 1933, ch. 85, § 3; C.S. 1945, § 56-103; W.S. 1957, § 11-266; W.S. 1977, § 11-21-108; Laws 1978, ch. 32, § 1; 2006, ch. 90, § 2.

Cross references. —

As to per diem and travel expenses of state employees, see § 9-3-102 .

As to mileage expense, see § 9-3-103 .

The 2006 amendment, effective July 1, 2006, substituted “mileage and per diem” for “at the rate of ten dollars ($10.00) per day,” and substituted “members of the Wyoming legislature” for “provided for state employees by W.S. 9-3-102 .”

Cited in

Sell v. State ex rel. Wyoming Workers' Safety & Compensation Div. (In re Sell), 7 P.3d 1, 2000 Wyo. LEXIS 131 (Wyo. 2000).

§ 11-18-107. Livestock board; seal.

The Wyoming livestock board shall have a seal upon which is engraved “Wyoming Livestock Board.”

History. Laws 1933, ch. 85, § 15; C.S. 1945, § 56-114; W.S. 1957, § 11-267; W.S. 1977, § 11-21-109; Laws 1978, ch. 32, § 1.

§ 11-18-108. Livestock board; report to governor.

The Wyoming livestock board shall report to the governor all proceedings and the condition of the livestock interest of Wyoming as required by W.S. 9-2-1014 .

History. Laws 1933, ch. 85, § 17; C.S. 1945, § 56-117; W.S. 1957, § 11-268; Laws 1973, ch. 215, § 1; W.S. 1977, § 11-21-110; Laws 1978, ch. 32, § 1.

§ 11-18-109. Disposition of collected fees and monies in general fund; payment of expenses of board.

  1. All fees and monies collected by the Wyoming livestock board or any of its officers, agents or employees, not specifically required by law to be credited to a different fund, shall be placed by the board in the general fund with receipt and acknowledgement submitted to the state treasurer.
  2. The expenses incurred in the conduct of the business of the Wyoming livestock board, the state veterinarian and the director, including the per diem of members of the board, the salaries or wages of the director, deputy state veterinarians and other necessary employees, traveling expenses, furnishing of offices, stationery, supplies and all other expenditures necessary and incident thereto, shall be paid out of the general fund appropriations provided by law. All expenses shall be itemized on the proper vouchers, approved by the director, covered by proper receipts, and paid by the state auditor from money appropriated by law.

History. Laws 1933, ch. 85, § 16; 1935, ch. 39, § 1; C.S. 1945, § 56-116; W.S. 1957, § 11-269; Laws 1961, ch. 46, § 2; 1973, ch. 11, § 1; ch. 245, § 3; W.S. 1977, § 11-21-111; Laws 1978, ch. 32, § 1; 2007, ch. 191, § 1; 2015, ch. 12, § 1.

The 2007 amendment, in (b), substituted variants of “director” for “chief executive officer” three times and inserted “the state veterinarian.”

Laws 2007, ch. 191, § 2, makes the act effective immediately upon completion of all acts necessary for a bill to become law as provided by art. 4, § 8, Wyo. Const. Approved March 4, 2007.

The 2015 amendment, effective July 1, 2015, in (b), substituted “board in the general fund with receipt and acknowledgement submitted to the state treasurer” for “state treasurer in the general fund” in (a); and substituted “auditor” for “treasurer” in the last sentence.

§ 11-18-110. Director; deputy directors; term; powers and duties generally; orders subject to review.

  1. The board shall appoint a director, who  shall be the chief executive officer of the board. The director shall  serve at the pleasure of the board and act as the secretary of the  Wyoming livestock board, subject to the rules and regulations of the  board. He may act for and perform the duties imposed by law upon the  board when the board is not in session, but an order or regulation  made by him is subject to review, modification or annulment by the  board at any subsequent meeting.
  2. The director may appoint deputy directors  for agency divisions. The deputy directors shall serve at the pleasure  of the director and are responsible to and under the control and supervision  of the director.
  3. The director shall supervise and control  the action of the other employees and prescribe their duties and tenure  of office.
  4. Unless otherwise specified in this chapter,  the director may only remove employees in accordance with personnel  rules of the state executive branch.

History. Laws 1933, ch. 85, § 6; C.S. 1945, § 56-106; W.S. 1957, § 11-272; W.S. 1977, § 11-21-114; Laws 1978, ch. 32, § 1; 2006, ch. 92, § 1; 2007, ch. 191, § 1.

The 2006 amendment, effective July 1, 2006, rewrote the first sentence in (a), making the director serve at the pleasure of the chief executive officer, and added (b) through (d).

The 2007 amendment, in (a), added the first sentence, and substituted “board” for “chief executive officer” in the second sentence.

Laws 2007, ch. 191, § 2, makes the act effective immediately upon completion of all acts necessary for a bill to become law as provided by art. 4, § 8, Wyo. Const. Approved March 4, 2007.

Appropriations. —

Laws 2006, ch. 92, § 2 appropriates from the general fund to the livestock board two hundred twenty-one thousand five hundred dollars ($221,500.00) for the biennium to fund the director position pursuant to this act and authorizes one (1) full-time equivalent position for the position of director authorized by this act.

§ 11-18-111. Deputy state veterinarians; appointment; powers and duties; term.

With the consent of the Wyoming livestock board and approval of either the federal veterinarian in charge of Wyoming or the chief of veterinary services, United States department of agriculture, the state veterinarian may appoint federal veterinary inspectors stationed in this state as deputy state veterinarians, and federal lay inspectors stationed in this state may be appointed agents of the Wyoming livestock board. All federal officers appointed as deputies or agents of the Wyoming livestock board shall possess the powers and duties of deputy state veterinarians or agents of the Wyoming livestock board, but they shall act without compensation and hold office only at the pleasure of the state veterinarian.

History. Laws 1933, ch. 85, § 9; C.S. 1945, § 56-109; W.S. 1957, § 11-274; W.S. 1977, § 11-21-115; Laws 1978, ch. 32, § 1.

§ 11-18-112. Authority of federal authorities and state inspectors to call sheriffs for assistance; failure to comply; penalties.

All federal authorities authorized, and the various inspectors of this state, may call upon any sheriff or peace officer in any county in this state to assist them in the discharge of their duties and those peace officers shall assist them when so requested. The federal inspector has the same power to enforce the laws of this state as the various inspectors of the state when authorized as aforesaid and engaged in the discharge of their official duties. Any person refusing to comply with the orders of such officer or federal inspector shall be punished as provided in W.S. 11-1-103 .

History. Laws 1909, ch. 60, § 23; C.S. 1910, § 2704; C.S. 1920, § 3213; R.S. 1931, § 67-1423; C.S. 1945, § 56-416; W.S. 1957, § 11-464; W.S. 1977, § 11-27-117; Laws 1978, ch. 32, § 1; 1981, ch. 98, § 2.

Applied in

Hoblyn v. Johnson, 2002 WY 152, 55 P.3d 1219, 2002 Wyo. LEXIS 173 (Wyo. 2002).

§ 11-18-113. When state veterinarian authorized to enter premises or vehicle to inspect livestock.

In the performance of their official duties, the state veterinarian or any agent or officer of the Wyoming livestock board may enter any place or vehicle used for the treatment, retention or transportation of livestock, including poultry, or where he has reason to believe any livestock affected with or exposed to infectious, contagious or communicable diseases may be found.

History. Laws 1933, ch. 85, § 10; C.S. 1945, § 56-110; W.S. 1957, § 11-275; W.S. 1977, § 11-21-116; Laws 1978, ch. 32, § 1.

Repealing clauses. —

Section 18, ch. 85, Laws 1933, repealed certain designated sections of R.S. 1931.

§§ 11-18-114 through 11-18-116. [Repealed.]

Repealed by Laws 1978, ch. 47, § 2.

Editor's notes. —

Sections 11-18-114 through 11-18-116, which derived from Laws 1947, ch. 33, §§ 1 through 3, relating to the state veterinary laboratory, formerly appeared as §§ 11-21-117 to 11-21-119 prior to revision of title 11 by § 1, ch. 32, Laws 1978, and §§ 11-21-117 to 11-21-119 were repealed by § 2, ch. 47, Laws 1978. For present similar provisions, see § 21-17-308 .

§ 11-18-117. Confidentiality of livestock premises and identification records; penalties.

  1. Except as provided by subsection (b) of this section, all records, data and information collected by the state, recorded or otherwise, for the purposes of a livestock identification program shall be confidential and are not public records for purposes of W.S. 16-4-201 through 16-4-205 . The records, data and information shall be released only upon order of the Wyoming livestock board to appropriate governmental agencies for the purposes of a livestock identification program, disease outbreak or law enforcement investigation. The board shall not release any records, data or information to a federal agency until the agency confirms in writing that it will maintain the records, data and information as confidential and that they are not subject to the federal Freedom of Information Act, 5 U.S.C. § 552, as amended. Upon release by the board of any information to any other governmental entity, the board shall notify the person to whom the information refers or pertains that the release has been made, the name of the entity to whom the information was released and shall provide a copy or summary of the information contained in the release. The records, data and information shall not be subject to discovery or introduction into evidence in any civil action.
  2. The Wyoming livestock board may release information collected for the purposes of a livestock identification program related to the ownership and location of individual animals to the extent the information is useful in controlling or preventing a disease outbreak or to show particular animals or herds are not involved in a disease outbreak. The information released may be a public release or may be limited to specific individuals with a need to know the information, as the livestock board deems the circumstances require.
  3. For the purposes of animal disease traceability, Wyoming livestock owners may choose to identify animals using any methods set forth in 9 C.F.R. part 86, as adopted on January 9, 2013, as well as any additional methods that are later approved by the Wyoming livestock board as “official identification”.
  4. Nothing in this section shall be construed to limit or amend the brucellosis surveillance or testing program administered by the state.
  5. A person who knowingly provides false information to the Wyoming livestock board for purposes of a livestock identification program shall be guilty of a misdemeanor punishable by a fine of up to one thousand dollars ($1,000.00), imprisonment for up to six (6) months, or both.
  6. A person who refuses to provide to the livestock board information that is required under the authority of the livestock board for purposes of a mandatory livestock identification program shall be guilty of a misdemeanor punishable by a fine of up to one thousand dollars ($1,000.00), imprisonment for up to six (6) months, or both.

History. Laws 2005, ch. 107, § 1; 2021, ch. 111, § 1.

The 2021 amendment deleted "national" preceding "livestock" throughout the section; added (c) and (d); and redesignated former (c) and (d) as (e) and (f).

Laws 2021, ch. 111, § 3, makes the act effective immediately upon completion of all acts necessary for a bill to become law as provided by art. 4, § 8, Wyo. Const. Approved April 6, 2021.

Effective dates. —

Laws 2005, ch. 107, § 2, makes the act effective July 1, 2005.

§ 11-18-118. Conducting business electronically.

The Wyoming livestock board may allow its business to be conducted electronically as provided by the Uniform Electronic Transactions Act, W.S. 40-21-101 through 40-21-119 .

History. Laws 2006, ch. 90, § 1.

Effective dates. —

Laws 2006, ch. 90, § 4, makes the act effective July 1, 2006.

§ 11-18-119. Veterinarian loan repayment program; rulemaking authority.

  1. The board is authorized to enter into  agreements with graduate veterinarians who are licensed to practice  in the state of Wyoming, to provide food animal health care in this  state. For purposes of this section, “food animal” means cattle, swine,  sheep or goats. The agreements shall:
    1. Provide for the veterinarian to practice  food animal veterinary medicine in a community of the state from among  a list of communities developed by the board. A veterinarian shall  agree to provide food animal veterinary care for the period of the  contract in underserved areas of the state;
    2. Provide that the veterinarian shall be  repaid up to one hundred percent (100%) of the total amount of outstanding  educational loans the veterinarian has acquired as a direct result  of undergraduate or postgraduate educational training directly related  to providing food animal veterinary services, not to exceed thirty  thousand dollars ($30,000.00) per year, including the matching funds  specified in subsection (d) of this section, in exchange for practicing  his profession under the terms of this section;
    3. Require the veterinarian to practice food  animal veterinary services for a minimum of three (3) years under  the agreement;
    4. Contain other provisions the board deems  necessary or appropriate to accomplish the purposes of this section.
  2. The board, in consultation with the appropriate  licensing board and professional association, shall promulgate rules  and regulations necessary to carry out the purposes of this section.  In carrying out this section the board shall assess food animal veterinary  care needs of the state by geographic areas and shall prioritize and  enter into agreements under this section accordingly.
  3. The board may vary the terms of each agreement  in accordance with this section based upon the community and the food  animal veterinary needs of the state.
  4. No state money shall be expended for repayment  of any loan under this section unless twenty-five percent (25%) of  the money is matched with other funds in any combination from any  county, city, veterinary clinic, animal care facility, state agency,  university, laboratory or veterinary association.

History. Laws 2008, ch. 118, § 1; 2010, ch. 2, § 1.

The 2010 amendment, in the introductory language of (a), inserted “graduate” and substituted “are licensed to practice in the state of Wyoming” for “have graduated from accredited veterinary colleges.”

Laws 2010, ch. 2 § 2, makes the act effective immediately upon completion of all acts necessary for a bill to become law as provided by art. 4, § 8, Wyo. Const. Approved March 1, 2010.

Appropriations. —

Laws 2008, ch. 118, § 2, provides: “There is appropriated two hundred seventy thousand dollars ($270,000.00) from the general fund to the Wyoming livestock board. This appropriation shall only be expended for the purpose of providing for loan repayments pursuant to W.S. 11 18 119. Notwithstanding any other provision of law, this appropriation shall not be transferred or expended for any other purpose. Any unexpended, unobligated funds remaining from this appropriation shall not revert but shall remain available for expenditure as provided by this act. A request for this appropriation amount shall be included in the Wyoming livestock board 2011-2012 exception biennial budget request.”

Effective date. —

Laws 2008, ch. 118, § 3, makes the act effective July 1, 2008.

§ 11-18-120. Livestock law enforcement account; reimbursement of county sheriffs by livestock board; rules.

  1. There is created the livestock law enforcement account. Unexpended, unobligated funds in the account shall revert to the general fund at the end of a biennium. Unless otherwise provided by law, the balance in the account shall not exceed five hundred thousand dollars ($500,000.00).
  2. Funds in the livestock law enforcement account shall only be expended by the livestock board to:
    1. Reimburse county sheriffs for activities relating to in-state and out-of-state livestock investigations;
    2. Provide training to county sheriffs regarding livestock enforcement.
  3. Notwithstanding any other provision of law, reimbursement provided under paragraph (b)(i) of this section shall be credited to the applicable account, fund, subaccount or other accounting unit within the budget of a county which is controlled by the county sheriff. Reimbursement provided under paragraph (b)(i) of this section shall not be withheld by a board of county commissioners from a county sheriff or deducted from the budget of a county sheriff.
  4. The livestock board shall adopt rules to implement this section, which shall include eligible expenses, rates and procedures for reimbursement.

History. Laws 2019, ch. 182, § 1.

Effective date. —

Laws 2019, ch. 182, § 4, makes the act effective July 1, 2019.

Chapter 19 Contagious and Infectious Diseases Among Livestock

Cross references. —

As to authorizing legislature to provide for protection of livestock against infectious and contagious diseases, see art. 19, § 1, Wyo. Const.

Am. Jur. 2d, ALR and C.J.S. references. —

3 Am. Jur. 2d Agriculture §§ 38 to 48; 35A Am. Jur. 2d Food § 1 et seq.

Admissibility of opinion evidence of lay witnesses as to diseases and physical condition of animals, 49 ALR2d 932.

Communicable disease, extent of liability of seller of livestock infected with, 87 ALR2d 1317.

Extent of liability of seller of livestock infected with communicable disease, 14 ALR4th 1096.

3A C.J.S. Animals §§ 66 to 68, 73 to 98; 36A C.J.S. Food §§ 1 to 49.

Article 1. In General

§ 11-19-101. Duties of state veterinarian generally; failure to comply with provisions; penalty.

  1. The state veterinarian shall investigate  all cases of dangerously contagious or infectious diseases among domestic  animals in this state which are brought to his notice. In the absence  of specific information, he shall make inspections of any locality  where he has reason to suspect there is any contagious or infectious  disease. He shall order that all animals affected with, exposed to  or suspected of being affected with such diseases be gathered and  quarantined. No animals pronounced affected with a dangerously contagious  or infectious disease by the state veterinarian or his deputy or agent  shall be turned loose, removed or permitted to escape, but shall be  held subject to the order of the state veterinarian. All animals ordered  gathered shall be gathered within a reasonable time specified by the  state veterinarian.
  2. The state veterinarian may inspect, treat,  test, vaccinate, quarantine or sell any animal imported into Wyoming  in violation of W.S. 11-19-111 or any rules promulgated thereunder.
  3. Any person failing to comply with this  section shall be punished as provided in W.S. 11-1-103 .

History. Laws 1882, ch. 41, § 2; R.S. 1887, § 4200; R.S. 1899, § 147; C.S. 1910, § 192; Laws 1917, ch. 41, § 1; C.S. 1920, § 203; R.S. 1931, § 109-1103; C.S. 1945, § 56-201; W.S. 1957, § 11-279; W.S. 1977, § 11-22-101 ; Laws 1978, ch. 32, § 1; 1981, ch. 98, § 2; 2011, ch. 96, § 1.

Cross references. —

As to duties as a member of wildlife/livestock disease research partnership, see § 11-19-602 .

The 2011 amendment, added (b), and redesignated former (b) as (c).

Laws 2011, ch. 96, § 3, makes the act effective immediately upon completion of all acts necessary for a bill to become law as provided by art. 4, § 8, Wyo. Const. Approved March 2, 2011.

Cited in

Peterson v. Wyoming Game & Fish Comm'n, 989 P.2d 113, 1999 Wyo. LEXIS 166 (Wyo. 1999).

Law reviews. —

For article, “Governmental Immunity from Damage Actions in Wyoming — Part II,” see VII Land & Water L. Rev. 617 (1972).

For article, “Bison, Brucellosis, and Law in the Greater Yellowstone Ecosystem,” see XXVIII Land & Water L. Rev. 1 (1993).

§ 11-19-102. Duty of public to report diseases; list of reportable diseases; failure to comply or obstruction of duty; liability; penalties.

  1. Any person or government entity who knows  or suspects that there is any contagious or infectious reportable  disease among animals owned by or under their jurisdiction or any  veterinarian who knows or suspects any reportable contagious or infectious  disease on any premises or in any animal, shall immediately report  the same to the state veterinarian. The state veterinarian shall establish  and manage a list of reportable diseases for any contagious or infectious  disease deemed by the state veterinarian to be a threat to domestic  animals. During development of this list the state veterinarian shall  consult with the Wyoming game and fish department’s supervisor of  veterinary research services. Information collected in response to  the list of reportable diseases shall be considered confidential proprietary  information. Access to any information collected under the list of  reportable diseases shall be limited to the person who reported the  disease and the state veterinarian, except that the state veterinarian  may at his discretion notify any of the following:
    1. The Wyoming livestock board;
    2. The state veterinary laboratory;
    3. The Wyoming game and fish director only  if the disease threatens wildlife;
    4. Any state or federal inspector, public  health official or peace officer who is actively involved in the investigation  of an outbreak or suspected outbreak of the contagious or infectious  disease;
    5. Owners of possible contact animals;
    6. Adjacent landowners; or
    7. Local area practicing veterinarians.
  2. The state veterinarian when he deems it  to be in the best interests of animal health, or the state public  health officer when he deems it to be in the best interests of human  public health, may release to the public any information collected  under subsection (a) of this section, except the identity of any individual  who reported the disease or whose animals may have contracted the  disease.
  3. A failure to report, or any attempt to  conceal the existence of the disease or to willfully or maliciously  obstruct or resist the veterinarian in the discharge of his duty is  a misdemeanor. Any person who willfully or maliciously falsifies a  report to the state veterinarian is guilty of a misdemeanor. Any person  convicted of any of the above acts or omissions shall be punished  as provided in W.S. 11-1-103 .
  4. Any person who knows that they own  or have in their possession any livestock as defined by W.S.11-20-101(a)(iv) infected with any disease formally declared by the Wyoming  livestock board, through rule and regulation, as being potentially  economically devastating and for which there is a valid diagnostic  test and who transfers ownership or possession of the livestock to  another person, or who knowingly or through his own neglect allows  the livestock to commingle with uninfected livestock, is liable for  the economic damages caused by the spread of the disease to uninfected  livestock. In addition to the conditions for liability and recovery  set in subsection (e) of this section, damages shall be available  under this subsection only to a transferee who accepts the diseased  animal directly from the liable person and to the owner of an animal  that becomes infected as the result of direct contact with the diseased  animal. The burden of proving liability and damages under this section  shall be upon the person claiming damages. Any person who files a  claim for recovery under this subsection alleging facts known to be  false is liable for three (3) times the damages caused by the false  claim and reasonable attorney fees.
  5. No person who has received written  notice that an animal is infected with a disease identified in subsection  (d) of this section prior to acquiring ownership or assuming possession  of the infected animal shall be entitled to the damages provided by  subsection (d) of this section. No livestock sales or auction facility  shall be subject to the liability imposed by subsection (d) of this  section if:
    1. The existence of disease was not reported  to the facility and the facility did not know of the existence of  the disease; or
    2. The facility provided written notice  of the disease to the person claiming damages under subsection (d)  of this section.

History. Laws 1882, ch. 41, § 8; R.S. 1887, § 4206; R.S. 1899, § 153; C.S. 1910, § 198; C.S. 1920, § 209; R.S. 1931, § 109-1110; C.S. 1945, § 56-206; W.S. 1957, § 11-280; W.S. 1977, § 11-22-102 ; Laws 1978, ch. 32, § 1; 1981, ch. 98, § 2; 2005, ch. 16, § 1; 2008, ch. 41, § 1; 2013, ch. 50, § 1.

The 2005 amendment rewrote the section, to require the state veterinarian to compile a list of reportable contagious or infectious diseases, to provide for the confidentiality of information except as provided, and to provide for a penalty for maliciously falsifying a report.

Laws 2005, ch. 16, § 2, makes the act effective immediately upon completion of all acts necessary for a bill to become law as provided by art. 4, § 8, Wyo. Const. Approved February 17, 2005.

The 2008 amendment, added (a)(vii) and made a related change.

Laws 2008, ch. 41, § 2, makes the act effective immediately upon completion of all acts necessary for a bill to become law as provided by art. 4, § 8, of the Wyo. Const. Approved March 5, 2008.

The 2013 amendment, effective July 1, 2013, added (d) and (e).

§ 11-19-103. Quarantine of diseased animals generally; treatment, testing and vaccination thereof; effect of failure to obey order of state veterinarian; appeal; stay of action.

  1. In all cases of infectious and contagious disease among domestic animals in this state, the state veterinarian may order the quarantine of the infected premises. If the disease becomes epizootic in any locality in this state, the state veterinarian shall immediately notify the governor who shall issue his proclamation forbidding transfer of any animal of the kind among which the epizootic disease exists from the locality without permission from the state veterinarian.
  2. Whenever the state veterinarian finds  any infectious or contagious disease among domestic animals in any  section of the state he shall take such steps as will prevent the  spread of the disease. The state veterinarian may inspect and compel  the treatment, testing, vaccination or quarantine of all such animals  in Wyoming found to be infected or exposed to the disease or imported  in violation of W.S. 11-19-111 or any rules promulgated thereunder, under such rules  and regulations as he may adopt. Any order or regulation made by the  state veterinarian is subject to review, modification or annulment  by the board at any subsequent meeting.
  3. and  (d) Repealed by Laws 2011, ch. 96, § 2.
  4. If the owner or persons in charge of animals ordered treated, tested, vaccinated or quarantined after reasonable notice determined by the veterinarian, fail to treat, test, vaccinate or quarantine such animals as ordered, the veterinarian may seize or cause such animals to be seized and treated, tested, vaccinated or quarantined and may hold and sell the animals, or part thereof as necessary to pay all costs of inspection, seizing, caring for, treating, testing, vaccinating or quarantine together with cost of sale. The sale shall be made at the time and place and in the manner prescribed by the veterinarian. Not less than three (3) days nor more than fifteen (15) days notice of the time, place and purpose of the sale shall be given by the veterinarian to the owner or persons in charge of the animals, by personal service within the county in which the animals are being held if possible, and if not possible then such notice may be given either by personal service outside of the county or by advertisement in any paper selected by the veterinarian. The state veterinarian shall only sell the animals after all other remedies have been exhausted.
  5. The owner of animals so seized and held  may at any time prior to sale recover possession of the same by paying  to the state veterinarian the amount of costs incurred by order of  the veterinarian against the animals. Any sum realized from the sale  of the animals over the cost actually incurred against the animals  shall be returned to the owner of the animals if known or can by reasonable  diligence be found. Otherwise the overage shall be placed in the estray  fund and dispensed as provided by law.
  6. Any order or other action under this chapter  may be appealed by the owner, or the agent of the owner, of the animals  affected or by any aggrieved governmental entity to the board as follows:
    1. The appeal shall be requested within thirty  (30) days of the order or action, except that a quarantine may be  appealed at any time during the quarantine;
    2. An informal hearing may initially be requested.  A formal hearing may subsequently be requested and shall be conducted  as a contested case in accordance with the Wyoming Administrative  Procedure Act. The board shall render a final decision in writing  within ten (10) working days of the conclusion of the hearing;
    3. The board may alter, amend, annul or otherwise  modify any order in the event the board finds:
      1. The aggrieved person was injured by the  order or regulation; and
      2. The state veterinarian lacked legal authority  for the order or regulation; or
      3. The order or regulation was not needed  to:
        1. Protect the public health;
        2. Prevent the spread of animal disease;
        3. Preserve the ability to market Wyoming  livestock efficiently; or
        4. Implement a specific requirement of Wyoming  law.
    4. All decisions of the board are subject  to judicial review under the Wyoming Administrative Procedure Act.
  7. In the event of a foreign animal disease  outbreak, an act of animal agro-terrorism or other animal health emergency,  the state veterinarian shall have all of the resources of the livestock  board at his disposal. When such an event occurs, the state veterinarian  shall immediately notify the governor and shall advise him as to any  additional resources which may be needed to address the emergency.
  8. Any person failing to comply with this  section shall be punished as provided in W.S. 11-1-103 .
  9. The owner or producer of animals quarantined for brucellosis containment efforts may submit a claim at any time during the quarantine, or within thirty (30) days after release from quarantine, for reimbursement for actual expenses incurred in mitigating or attempting to mitigate the effects of the quarantine. The Wyoming livestock board, in consultation with the state veterinarian, shall promulgate rules for the processing of claims under this section.

History. Laws 1882, ch. 41, § 3; R.S. 1887, § 4201; R.S. 1899, § 148; Laws 1909, ch. 60, § 10; ch. 164, § 2; C.S. 1910, §§ 193, 2691; Laws 1911, ch. 96, § 1; 1915, ch. 107, § 3; 1917, ch. 80, § 1; C.S. 1920, §§ 204, 3200; Laws 1921, ch. 60, § 1; ch. 71, § 1; 1925, ch. 54, § 1; 1927, ch. 6, § 1; R.S. 1931, §§ 67-1410, 109-1105; C.S. 1945, §§ 56-202, 56-404; W.S. 1957, §§ 11-282, 11-450; W.S. 1977, §§ 11-22-104 , 11-27-103 ; Laws 1978, ch. 32, § 1; 2007, ch. 191, § 1; 2011, ch. 96, §§ 1, 2; 2013, ch. 12, § 1; 2020, ch. 94, § 1.

Cross references. —

Wyoming Administrative Procedure Act, see § 16-3-101(a), (b)(xi).

The 2007 amendment, in (b), inserted the last sentence; and added (g) and (h).

Laws 2007, ch. 191, § 2, makes the act effective immediately upon completion of all acts necessary for a bill to become law as provided by art. 4, § 8, Wyo. Const. Approved March 4, 2007.

The 2011 amendment, in (b), rewrote the second sentence which formerly read: “As a sanitary measure, he may inspect and compel the dipping, spraying, or other treatment of all such animals in Wyoming found to be infected or exposed to the disease, under such rules and regulations as he may adopt”; repealed former (c) and (d), which read: “Notwithstanding the provisions of subsection (b) of this section, no person shall be required to dip ewes with lambs between April 15 and July 1, but all ewes with lambs infected with or exposed to any infectious or contagious disease must be held in quarantine, separate from sound sheep. The owner of ewes with lambs held in quarantine during the above period of exemption is required to spot and hand dress animals showing symptoms of any infectious or contagious disease, and the state veterinarian or his agent may enforce such treatment and recover the cost thereof as provided by law for treatment at any other time of the year. (d) Where sheep must be dipped in the immediate vicinity of the quarantine and the owner fails to provide suitable facilities for dipping, the state veterinarian or his agent may prepare such dipping works at the expense of the owner. If the sheep cannot subsist on range forage until they have been treated, the state veterinarian shall provide feed at the owner's expense”; in (e), rewrote the first sentence which formerly read: “If the owner or persons in charge of animals ordered treated, after reasonable notice determined by the veterinarian, fail to dip, spray or otherwise treat such animals as ordered, the veterinarian may seize or cause such animals to be seized and dipped, sprayed or otherwise treated, and may hold and sell the animals, or part thereof as necessary to pay all costs of inspection, seizing, caring for, dipping, spraying or other treatment together with cost of sale,” and added the present last sentence; and added (j).

The 2013 amendment, effective July 1, 2013, in (a), substituted “epizootic” for “epidemic” and “epizootic disease” for “epidemic”; and substituted “animals” for “livestock” in (e).

The 2020 amendment, effective July 1, 2020, added (k).

Editor's notes. —

There is no subsection (i) in this section as it appears in the printed acts.

Validity of provisions. —

Chapter 164, Laws 1909 (§§ 11-19-103 , 11-19-105 ), was not invalid as an unlawful delegation of power to state veterinarian by conferring certain powers upon him for purpose of stamping out or preventing contagious disease among domestic animals. Arbuckle v. Pflaeging, 20 Wyo. 351, 123 P. 918, 1912 Wyo. LEXIS 40 (Wyo. 1912).

Police regulation. —

Statute providing for inspection of sheep and quarantine of infected animals is essentially a police regulation, and power thereby conferred upon sheep inspectors is not inhibited by constitution. Richter v. State, 16 Wyo. 437, 95 P. 51, 1908 Wyo. LEXIS 33 (Wyo. 1908).

Former provisions requiring compulsory dipping of all sheep within state, whether diseased or not, under inspector's supervision and state board regulation was proper exercise of the police power. State v. Hall, 27 Wyo. 224, 194 P. 476, 1920 Wyo. LEXIS 34 (Wyo. 1920).

§ 11-19-104. Slaughter of diseased animals; authority of veterinarian; slaughtering order; when consent of owner required.

  1. In any case of      epizootic disease where premises have been previously quarantined by the state  veterinarian, he may order the slaughter of any diseased animals upon  the premises and all animals that have been exposed to contagion or  infection under the following restrictions:
    1. The order shall be in writing with a duplicate  for each owner of the animals condemned;
    2. The original of each order shall be filed  by the veterinarian with the governor and a duplicate given to the  owner; and
    3. Before slaughtering any animal that has  been exposed only and does not show disease, the veterinarian shall  have the consent of the owner or person in charge of the animal to  be slaughtered.

History. Laws 1882, ch. 41, § 4; R.S. 1887, § 4202; R.S. 1899, § 149; C.S. 1910, § 194; C.S. 1920, § 205; R.S. 1931, § 109-1106; C.S. 1945, § 56-203; W.S. 1957, § 11-283; W.S. 1977, § 11-22-105 ; Laws 1978, ch. 32, § 1; 2013, ch. 12, § 1.

The 2013 amendment, effective July 1, 2013, substituted “epizootic disease” for “epidemic disease” in (a).

Cross references. —

As to disposing of cattle infected with tuberculosis or Bang's disease, see § 11-19-214 .

Editor's notes. —

There is no subsection (b) in this section as it appears in the printed acts.

Law reviews. —

For article, “Bison, Brucellosis, and Law in the Greater Yellowstone Ecosystem,” see XXVIII Land & Water L. Rev. 1 (1993).

Am. Jur. 2d, ALR and C.J.S. references. —

Constitutionality of statute or ordinance providing for destruction of diseased animal, 56 ALR2d 1024.

Officer's liability for killing or injuring animals, while acting, or professing to act, under a statute in relation to the inspection or destruction of livestock, 2 ALR3d 822.

§ 11-19-105. [Repealed.]

Repealed by Laws 2012, ch. 90, § 2.

Editor's notes. —

This section, which derived from Laws 1882, ch. 41, § 5, related to slaughter of diseased animals, condemnation by veterinarian, burning of carcass and payment of expenses.

Laws 2012, ch. 90, § 3, makes the act effective July 1, 2012.

Validity of provisions. —

Chapter 164, Laws 1909 (§§ 11-19-103 , 11-19-105 ), was not invalid as an unlawful delegation of power to state veterinarian by conferring certain powers upon him for purpose of stamping out or preventing contagious disease among domestic animals. Arbuckle v. Pflaeging, 20 Wyo. 351, 123 P. 918, 1912 Wyo. LEXIS 40 (Wyo. 1912).

§ 11-19-106. Removal of diseased animals; owner's claims.

  1. All claims against the state arising from  the ordered disposal of animals by the state veterinarian for scrapie,  brucellosis and tuberculosis, together with the order of the veterinarian,  shall be submitted to the state auditor who shall examine them without  unnecessary delay. For purposes of this section, “disposal” means  to sell, send to slaughter or destroy the animal. For each claim he  finds to be equitable and entitled to indemnity under this chapter  the auditor shall issue his warrant on the state treasurer for the  sum named in the claim. All claims for indemnity arising under the  provisions of this chapter, before they are presented for payment  to the auditor, shall be submitted to the state veterinarian who shall  fully inform himself of the facts connected with each claim. The state  veterinarian shall endorse on each claim his approval or rejection  and shall express in such endorsement the reasons for his approval  or rejection.
  2. If the state veterinarian rejects a claim  it and the reasons for rejection shall be submitted to a board of  arbitration consisting of three (3) members selected as follows:
    1. The state veterinarian shall select one  (1) stock grower who is a resident of the county where the ordered  disposed animal for which the claim is made ranged;
    2. The claimant shall select one (1) stock  grower who is a resident of the same county; and
    3. These two (2) shall choose the third member  from among the stock growers of the same county.
  3. The indemnity granted under this section shall be the difference between the fair market value of the livestock and the amount received for the sale, less any amount of reimbursement provided for and paid under federal law and regulation. Fair market value shall be determined by using comparable sales data from state markets at the time of removal or by the use of a qualified independent livestock appraiser as designated by the state veterinarian. If no sale is transacted, but an animal is removed for diagnostic purposes or disposal, the reimbursement provided shall be the fair market value minus any other reimbursement. Unless otherwise reimbursed, the cost of shipping or transportation and commission charges shall be added to the amount provided to the producer for livestock indemnification. It shall be paid to the owner upon his application and presentation of proofs prescribed herein within six (6) months of the date of ordered disposal for which payment is claimed. The claim shall be barred if not presented within the time limited.
  4. Payments shall be made by the state treasurer from funds appropriated to the animal reimbursement program account under W.S. 11-19-118 and as provided by W.S. 11-19-109 . The right to indemnity is limited to animals destroyed by reason of existence or suspected existence of some epizootic form of infectious or contagious diseases, generally fatal or incurable.
  5. There is no right to indemnity and payment  in the following cases:
    1. For animals belonging to the United States;
    2. For animals that are brought into the  state contrary to the laws of this state or the governor’s import  proclamation;
    3. For animals found to be diseased upon  arrival or that were exposed to the disease prior to their arrival  in the state under circumstances whereby the Wyoming owner knew or  should have known of such conditions;
    4. When an animal was previously affected  by any other disease which from its nature and development was incurable  and necessarily fatal;
    5. When the owner or person in charge has  knowingly or negligently omitted to comply with W.S. 11-19-104 or 11-19-105 ; or
    6. When the owner or claimant at the time  of coming in possession of the animal knew it to be diseased or received  the notice specified in W.S. 11-19-110 .
  6. The Wyoming livestock board, in consultation  with the state veterinarian, shall promulgate rules and regulations  for the processing of claims under this section.

History. Laws 1882, ch. 41, § 10; 1886, ch. 85, §§ 1, 2; R.S. 1887, § 4208; R.S. 1899, § 155; C.S. 1910, § 200; C.S. 1920, § 211; Laws 1921, ch. 70, § 1; R.S. 1931, § 109-1112; C.S. 1945, § 56-208; W.S. 1957, § 11-285; Laws 1973, ch. 199, § 1; W.S. 1977, § 11-22-107 ; Laws 1978, ch. 32, § 1; 1991, ch. 114, § 1; ch. 174, § 2; 2012, ch. 90, § 1; 2020, ch. 94, §§ 1, 2.

Cross references. —

As to payments to owners for destruction of swine affected with hog cholera, see § 11-19-113 .

As to payments to owners for destruction of cattle infected with tuberculosis or Bang's disease, see § 11-19-214 .

The 2012 amendment, effective July 1, 2012, in (a), substituted “ordered disposal of animals by the state veterinarian for scrapie, brucellosis and tuberculosis” for “slaughter of animals,” and added the present second sentence; substituted “ordered disposed” for “slaughtered” in (b)(i); rewrote (c), which read: “The indemnity granted shall be the fair market value of the livestock as determined by the department of agriculture. It shall be paid to the owner upon his application and presentation of proofs prescribed herein within six (6) months of the date of slaughter for which payment is claimed. The claim shall be barred if not presented within the time limited.”; and added (f) and (g).

The 2020 amendment, effective July 1, 2020, in (c) deleted the first two sentences, which read “Prior to the state veterinarian endorsing any payment be made for the ordered disposal of any livestock under this section, W.S. 11-19-214 or 11-19-406 , the state veterinarian shall ascertain that sufficient funds are available. The state veterinarian shall utilize available federal funds prior to state funds to pay the owner of the livestock” and substituted “indemnity granted under this section shall be” for “indemnity granted shall be”; and in (d) substituted “funds appropriated to the animal reimbursement program account under W.S. 11-19-118 and as provided” for “funds appropriated as provided”; and redesignated (g) as W.S. 11-19-118 (a).

Editor's notes. —

Section 11-19-110 , referred to in subsection (e)(vi), does not contain a notice requirement.

Law reviews. —

For article, “Bison, Brucellosis, and Law in the Greater Yellowstone Ecosystem,” see XXVIII Land & Water L. Rev. 1 (1993).

For case note, “Wildlife — Private Property Damage Law — Once Upon a Time in Wyoming There was Room for Millions of Cattle and Enough Habitat for Every Species of Game to Find a Luxurious Existence. In the Aftermath of Parker, Can We All Still Get Along? Parker Land and Cattle Company v. Wyoming Game and Fish Commission, 845 P.2d 1040, 1993 Wyo. LEXIS 15 (Wyo. 1993),” see XXIX Land & Water L. Rev. 89 (1994).

§ 11-19-107. Auditor to pay claims allowed by board; effect of failure to submit claim to board.

The state auditor shall pay no claim for indemnity which is rejected by the state veterinarian, unless it has been submitted to arbitration and the arbitration board decided it to be legal and just. If any claimant refuses to submit his claim rejected by the veterinarian to a board of arbitration, the refusal is a waiver of all claim for indemnity.

History. Laws 1886, ch. 85, § 4; R.S. 1887, § 4210; R.S. 1899, § 158; C.S. 1910, § 203; C.S. 1920, § 214; R.S. 1931, § 109-1115; C.S. 1945, § 56-210; W.S. 1957, § 11-286; W.S. 1977, § 11-22-108 ; Laws 1978, ch. 32, § 1.

§ 11-19-108. Compensation of board.

Each member of a board of arbitration shall receive one hundred dollars ($100.00) for each day actually engaged and employed in the investigation of any claim, paid by the state veterinarian out of an appropriation for that purpose.

History. Laws 1886, ch. 85, § 3; R.S. 1887, § 4209; R.S. 1899, § 156; C.S. 1910, § 201; C.S. 1920, § 212; R.S. 1931, § 109-1113; C.S. 1945, § 56-209; W.S. 1957, § 11-287; Laws 1974, ch. 16, § 2; W.S. 1977, § 11-22-109 ; Laws 1978, ch. 32, § 1; 2013, ch. 12, § 1.

The 2013 amendment, effective July 1, 2013, substituted “one hundred dollars ($100.00)” for “five dollars ($5.00).”

§ 11-19-109. Limitations on indemnity.

The liability of the state for indemnity for animals destroyed under this act [§§ 11-19-101 through 11-19-117] in any two (2) years, is limited by and shall in no case exceed the amount especially appropriated for that purpose and for that period.

History. Laws 1882, ch. 41, § 12; R.S. 1887, § 4212; R.S. 1899, § 159; C.S. 1910, § 204; C.S. 1920, § 215; R.S. 1931, § 109-1116; C.S. 1945, § 56-211; W.S. 1957, § 11-288; W.S. 1977, § 11-22-110 ; Laws 1978, ch. 32, § 1.

Law reviews. —

For article, “Bison, Brucellosis, and Law in the Greater Yellowstone Ecosystem,” see XXVIII Land & Water L. Rev. 1 (1993).

§ 11-19-110. Quarantine of diseased animals; authority of veterinarian over animals in transit.

  1. The owner or person having in charge any  animal affected with or suspected of any contagious or infectious  disease shall immediately confine the animal in a safe place, isolated  from other animals, and with all necessary restrictions to prevent  dissemination of the disease until the arrival of the state veterinarian.
  2. The state veterinarian or his agent may  examine all animals passing through the state and on detection or  suspicion of disease may take possession of and treat and dispose  of animals in transit in the same manner as animals resident in the  state.

History. Laws 1882, ch. 41, § 9; R.S. 1887, § 4207; R.S. 1899, § 154; C.S. 1910, § 199; C.S. 1920, § 210; R.S. 1931, § 109-1111; C.S. 1945, § 56-207; W.S. 1957, § 11-289; W.S. 1977, § 11-22-111 ; Laws 1978, ch. 32, § 1.

Cross references. —

As to establishment of a food safety system, see § 35-7-123 et seq.

§ 11-19-111. Regulation of importation of animals; prohibited acts; penalties; applicability.

  1. The governor, upon recommendation of the  Wyoming livestock board, may regulate by proclamation the importation  into Wyoming from any other state any       animal, blood, microorganism or biologic  agent capable of causing any disease affecting livestock or other animals, or any      other item suspected of being infected or contaminated with      biologic agents capable of causing animal disease, except under such conditions as he deems proper for the protection  of the livestock, livestock animals as  defined in W.S. 11-29-101(a)(vi) and other domestic animals of Wyoming.  All requirements in the governor’s proclamation shall be enforced  by the Wyoming livestock board.
  2. After a proclamation is issued by the  governor it is unlawful for any person to import into Wyoming or receive  imports within this state from any other state any      animal, blood, microorganism or  biologic agent capable of causing any diseases affecting  livestock or other animals, or any product or      item suspected of  being infected or contaminated with      biologic agents capable of causing  animal disease, except under such conditions as may  be imposed by the proclamation. Any person who violates this section  shall be punished as provided in W.S. 11-1-103 . The violator is civilly liable for all damages and loss  sustained by any person by reason of violation of the proclamation.
  3. The proclamation authorized by this section  shall not prohibit the transportation of animals through Wyoming by  railroad as long as the animals are not unloaded in this state.
  4. The state veterinarian may inspect, treat,  test, vaccinate, quarantine or sell any livestock or other domestic animals imported into  Wyoming in violation of W.S. 11-19-111 or any rules promulgated thereunder. Any order or regulation  made by the state veterinarian is subject to review, modification  or annulment by the governor or the board at any subsequent meeting.
  5. An order of the state veterinarian under  subsection (d) of this section shall be subject to appeal and due  process as provided in W.S. 11-19-103 .

History. Laws 1882, ch. 41, § 7; R.S. 1887, § 4205; R.S. 1899, § 152; C.S. 1910, § 197; Laws 1917, ch. 40, § 1; C.S. 1920, § 208; R.S. 1931, § 109-1109; Laws 1939, ch. 11, § 1; C.S. 1945, § 56-205; W.S. 1957, § 11-290; W.S. 1977, § 11-22-112 ; Laws 1978, ch. 32, § 1; 1981, ch. 98, § 2; 2011, ch. 96, § 1; 2013, ch. 12, § 1.

The 2011 amendment, added (d) and (e).

Laws 2011, ch. 96, § 3, makes the act effective immediately upon completion of all acts necessary for a bill to become law as provided by art. 4, § 8, Wyo. Const. Approved March 2, 2011.

The 2013 amendment, effective July 1, 2013, in (a) and (b), substituted “animal, blood, microorganism or biologic agent capable of causing any diseases” for “livestock, or any virulent blood or live virus of any disease,” “item” for “thing,” and “biologic agents capable of causing animal disease” for “livestock disease germs”; added “or contaminated” in (a) and (b), “livestock animals as defined inW.S. 11-29-101(a)(vi) and other domestic animals” in (a); and “or other domestic animals” in (d).

Governor's proclamation constitutional. —

The governor's proclamation, issued pursuant to this section, did not constitute an unconstitutional delegation of legislative authority to the executive branch and did not burden interstate commerce. Mendicoa v. State, 780 P.2d 1346, 1989 Wyo. LEXIS 206 (Wyo. 1989).

No conviction for transporting cattle through state. —

The defendant's convictions on two counts of “importing” livestock into Wyoming without valid health certificates, in violation of this section and the governor's livestock import proclamation, were reversed, where the evidence showed that the cattle were transported through the state of Wyoming to Kansas or Oklahoma, and were never intended by defendant to be held, used, consumed or enjoyed in Wyoming or incorporated into its general mass of property. Mendicoa v. State, 780 P.2d 1346, 1989 Wyo. LEXIS 206 (Wyo. 1989).

Law reviews. —

For article, “Bison, Brucellosis, and Law in the Greater Yellowstone Ecosystem,” see XXVIII Land & Water L. Rev. 1 (1993).

§ 11-19-112. Cooperation with animal and plant health inspection service.

The state consents to having the animal and plant health inspection service (APHIS) of the United States department of agriculture and its employees come within Wyoming for all purposes connected with the importation and exportation of diseased livestock and for all purposes connected with the eradication, suppression and control of dangerously infectious and contagious diseases of livestock.

History. Laws 1917, ch. 100, § 1; C.S. 1920, § 219; R.S. 1931, § 109-1120; C.S. 1945, § 56-213; W.S. 1957, § 11-292; W.S. 1977, § 11-22-114 ; Laws 1978, ch. 32, § 1; 2013, ch. 12, § 1.

The 2013 amendment, effective July 1, 2013, substituted “animal and plant health inspection service (APHIS)” for “bureau of animal industry.”

Cross references. —

As to appointment of federal veterinary inspectors as deputy state veterinarians, see § 11-18-111 .

§§ 11-19-113 through 11-19-117. [Repealed.]

Repealed by Laws 2013, ch. 12, § 2.

These sections, which derived from Laws 1909, ch. 60, § 9; Laws 1969, ch. 42, § 1-4, related to the destruction of swine to control hog cholera and liability for damages caused by quarantine.

§ 11-19-118. Animal reimbursement program account.

  1. There is created the animal reimbursement program account into which shall be deposited revenues as provided by law. Interest on earnings from funds in the account shall be credited to the account. Deposits into the account shall only be expended pursuant to this section, W.S. 11-19-103 , 11-19-106 , 11-19-214 , 11-19-406 and Wyoming livestock board rules. Notwithstanding W.S. 9-2-1008 or 9-4-207 , unexpended funds shall not revert.
  2. The state veterinarian shall report the balance of the account and the claims endorsed and paid each fiscal year to the joint appropriations committee and the joint agriculture, state and public lands and water resources interim committee.
  3. Before the state veterinarian endorses any payment to be made from this account for the ordered disposal of any livestock under W.S. 11-19-106 , 11-19-214 or 11-19-406 or for brucellosis testing and containment efforts pursuant to Wyoming livestock board rules or under W.S. 11-19-103 , the state veterinarian shall ascertain that sufficient funds are available in the account. The state veterinarian shall use available federal funds before using state funds to make any payment from this account.
  4. Not more than twenty-five thousand dollars ($25,000.00) shall be paid for any single quarantine effort under W.S. 11-19-103(k). The reimbursement limit under this subsection does not include any indemnity payment for livestock disposal under W.S. 11-19-106 , 11-19-214 or 11-19-406 . Payments from this account for quarantine efforts shall cease whenever the unexpended, unobligated account balance equals or is less than one hundred thousand dollars ($100,000.00). Payments from this account for quarantine efforts may resume after the unexpended, unobligated account balance exceeds one hundred thousand dollars ($100,000.00).
  5. The Wyoming livestock board, in consultation with the state veterinarian, shall promulgate rules to carry out the purposes of this section.

History. Laws 1882, ch. 41, § 10; 1886, ch. 85, §§ 1, 2; R.S. 1887, § 4208; R.S. 1899, § 155; C.S. 1910, § 200; C.S. 1920, § 211; Laws 1921, ch. 70, § 1; R.S. 1931, § 109-1112; C.S. 1945, § 56-208; W.S. 1957, § 11-285; Laws 1973, ch. 199, § 1; W.S. 1977, § 11-22-107 ; Laws 1978, ch. 32, § 1; 1991, ch. 114, § 1; ch. 174, § 2; 2012, ch. 90, § 1; Former Wyo. Stat. § 11-19-106 was renumbered to be 11-19-118 , by Laws 2020, ch. 94, § 2, effective July 1, 2020.

Effective date. — Laws 2020, ch. 94, § 2, makes the act effective July 1, 2020.

Article 2. Tuberculin Test of Dairy Cattle

Am. Jur. 2d, ALR and C.J.S. references. —

3 Am. Jur. 2d Agriculture §§ 38 to 48; 35A Am. Jur. 2d Food §§ 23, 36 to 40.

3A C.J.S. Animals §§ 66 to 68, 73 to 98; 36A C.J.S. Food §§ 3 to 49.

§ 11-19-201. Definitions.

  1. As used in this act:
    1. “Dairy      animal” means any  cow, sheep or goat, the  milk or milk products from which is sold or used for human consumption;
    2. “Livestock animal” means as defined  in W.S. 11-29-101(a)(vi);
    3. “This act” means W.S. 11-19-201 through 11-19-215 .

History. Laws 1917, ch. 77, § 7; C.S. 1920, § 3799; Laws 1925, ch. 58, § 1; R.S. 1931, § 45-307; C.S. 1945, § 46-507; W.S. 1957, § 11-293; W.S. 1977, § 11-22-201; Laws 1978, ch. 32, § 1; 2013, ch. 12, § 1.

Cross references. —

As to brucellosis test of cattle, see § 11-19-401 .

As to food safety system, see § 35-7-123 .

The 2013 amendment, effective July 1, 2013, in (a), substituted “Dairy animal” for “Dairy cow” and added “sheep or goat” in (i), and added the definition of “Livestock animal” in (ii), redesignating existing (ii) as (iii).

Editor's notes. —

There is no subsection (b) in this section as it appears in the printed acts.

§§ 11-19-202 through 11-19-207. [Repealed.]

History. Repealed by Repealed by Laws 2013, ch. 12, § 2.

§ 11-19-208. Ear tags; record to be kept of livestock animals tested.

Each livestock animal tested for tuberculosis shall have an official ear tag inserted in its ear. The testing veterinarian shall keep an official record of all livestock animals tested and submit a copy of the record to state and federal animal health officials.

History. Laws 1917, ch. 77, § 6; C.S. 1920, § 3798; R.S. 1931, § 45-306; C.S. 1945, § 46-506; W.S. 1957, § 11-300; W.S. 1977, § 11-22-208; Laws 1978, ch. 32, § 1; 2013, ch. 12, § 1.

The 2013 amendment, effective July 1, 2013, rewrote the section.

§ 11-19-209. Tests of livestock animals.

Whenever the state veterinarian suspects that tuberculosis exists or has been introduced to livestock animals, he shall order the testing of the livestock animals.

History. Laws 1917, ch. 77, § 10; C.S. 1920, § 3802; R.S. 1931, § 45-310; C.S. 1945, § 46-510; W.S. 1957, § 11-301; W.S. 1977, § 11-22-209; Laws 1978, ch. 32, § 1; 2013, ch. 12, § 1.

The 2013 amendment, effective July 1, 2013, substituted “introduced to livestock animals, he shall order the testing of the livestock animals” for “introduced by imported dairy cattle among any dairy cattle in this state, he shall order the retesting of same, regardless of any former tests made.”

§§ 11-19-210 through 11-19-213. [Repealed.]

History. Repealed by Repealed by Laws 2013, ch. 12, § 2.

§ 11-19-214. Disposition of diseased livestock.

All livestock animals in Wyoming found to be affected with or exposed to tuberculosis may be disposed on the origin premises or transported under the direction of the state veterinarian directly to an approved slaughter facility, rendering facility or veterinary diagnostic laboratory in accordance with federal regulations. Producers may be eligible for indemnification as provided in W.S. 11-19-106 for any livestock animal ordered disposed pursuant to this section.

History. Laws 1929, ch. 44, § 1; R.S. 1931, § 67-901; Laws 1939, ch. 27, § 1; C.S. 1945, § 46-515; W.S. 1957, § 11-306; Laws 1974, ch. 16, § 2; W.S. 1977, § 11-22-214; Laws 1978, ch. 32, § 1; 2005, ch. 18, § 2; 2012, ch. 90, § 1; 2013, ch. 12, § 1.

Cross references. —

See, also, § 11-19-406 .

The 2005 amendment rewrote the section, which pertained to cattle affected by either tuberculosis or Bang’s disease.

Laws 2005, ch. 18, § 3, makes the act effective immediately upon completion of all acts necessary for a bill to become law as provided by art. 4, § 8, Wyo. Const. Approved February 17, 2005.

The 2012 amendment, effective July 1, 2012, substituted the present last sentence for the former last sentence, which read: “Prior to directing that any affected livestock be sold under this section, the state veterinarian shall ascertain that sufficient funds are available from either federal or state sources to ensure that the owner of condemned livestock will be paid the difference between the market value at the time of quarantine and the amount received for the sale, less any amount of reimbursement provided for and paid under federal law or regulation, the cost of shipping or transportation and commission charges.”

The 2013 amendment, effective July 1, 2013, twice added “animals” or a variant following “livestock,” deleted “lawfully” following “Wyoming,” added “or exposed to” following “affected with,” substituted “disposed on the origin premises” for “shipped,” substituted “directly” for “in accordance with federal regulations, to livestock markets and there sold for salvage and destroyed or transferred,” added “rendering facility” following “slaughter facility,” and made a related change.

Repealing clauses. —

Section 2, ch. 44, Laws 1929, repealed all laws and parts of laws in conflict with that act.

Law reviews. —

For case note, “Wildlife — Private Property Damage Law — Once Upon a Time in Wyoming There was Room for Millions of Cattle and Enough Habitat for Every Species of Game to Find a Luxurious Existence. In the Aftermath of Parker, Can We All Still Get Along? Parker Land and Cattle Company v. Wyoming Game and Fish Commission, 845 P.2d 1040, 1993 Wyo. LEXIS 15 (Wyo. 1993),” see XXIX Land & Water L. Rev. 89 (1994).

§ 11-19-215. Prohibited acts; penalties.

Any person who intentionally interferes with, refuses to assist in gathering and testing his livestock animals, or hinders the work of the state veterinarian or his employees under this act, or who attempts to defeat the object of the tuberculin test by a previous injection of tuberculin commonly known as “plugging,” or in any way attempts to prevent an accurate and truthful determination of the condition of the livestock animals tested, shall be punished as provided in W.S. 11-1-103 .

History. Laws 1917, ch. 77, § 14; C.S. 1920, § 3806; Laws 1925, ch. 58, § 3; R.S. 1931, § 45-314; C.S. 1945, § 46-514; W.S. 1957, § 11-307; W.S. 1977, § 11-22-215; Laws 1978, ch. 32, § 1; 2013, ch. 12, § 1.

The 2013 amendment , effective July 1, 2013, twice added “animals” or a variant following “livestock,” deleted “lawfully” following “Wyoming,” added “or exposed to” following “affected with,” substituted “disposed on the origin premises” for “shipped,” substituted “directly” for “in accordance with federal regulations, to livestock markets and there sold for salvage and destroyed or transferred,” added “rendering facility” following “slaughter facility,” and made a related change.

Meaning of “this act.” —

For the definition of “this act,” referred to in this section, see § 11-19-201(a)(iii).

Article 3. Tuberculosis Modified Accredited Areas

Cross references. —

As to tuberculin test of dairy cattle generally, see §§ 11-19-201 to 11-19-215 .

As to brucellosis test of cattle, see § 11-19-401 .

Am. Jur. 2d, ALR and C.J.S. references. —

3A C.J.S. Animals §§ 66 to 68, 73 to 98; 36A C.J.S. Food §§ 3 to 49.

§§ 11-19-301 and 11-19-302. [Repealed.]

History. Repealed by Laws 2013, ch. 12 § 2.

§ 11-19-303. Appropriations by counties for control of diseases.

The board of county commissioners may appropriate as much money as it deems necessary for the control and eradication of any infectious, contagious or communicable diseases of livestock. The funds shall be used in cooperation with the state veterinarian or the United States department of agriculture, animal and plant health inspection service (APHIS) in testing animals and disposing of diseased animals disclosed by the tests as provided by law.

History. Laws 1931, ch. 87, § 2; R.S. 1931, § 67-802; C.S. 1945, § 46-602; W.S. 1957, § 11-310; W.S. 1977, § 11-22-303; Laws 1978, ch. 32, § 1; 2013, ch. 12, § 1.

The 2013 amendment, effective July 1, 2013, deleted “veterinary services,” before “United States” and added “animal and plant health inspection service (APHIS).”

§ 11-19-304. Prohibition on importation of cattle or bison; penalties.

Any person bringing cattle or bison into any tuberculosis accredited-free area except in compliance with the rules and regulations made by the state veterinarian shall upon conviction be punished as provided in W.S. 11-1-103 .

History. Laws 1931, ch. 87, § 5; R.S. 1931, § 67-805; C.S. 1945, § 46-605; W.S. 1957, § 11-311; W.S. 1977, § 11-22-304; Laws 1978, ch. 32, § 1; 2004, ch. 130, § 1; 2013, ch. 12, § 1.

The 2004 amendment inserted “for” following “be punished by imprisonment.”

Laws 2004, ch. 130, § 4, makes the act effective immediately upon completion of all acts necessary for a bill to become law as provided by art. 4, § 8, Wyo. Const. Approved March 19, 2004.

The 2013 amendment, effective July 1, 2013, substituted “cattle or bison into any tuberculosis accredited-free area” for “cattle into any ’tuberculosis modified accredited area’” and “as provided in W.S. 11-1-103 ” for “by imprisonment for not more than (1) year, or by a fine of not more than one hundred dollars ($100.00), or both.”

Conflicting legislation. —

Laws 2004, ch. 130, § 3, provides: “Any other act adopted by the Wyoming legislature during the same session in which this act is adopted shall be given precedence and shall prevail over the amendments in this act to the extent that such acts are in conflict with this act.”

§ 11-19-305. Powers of state veterinarian.

The state veterinarian may make and enforce rules and regulations necessary for the enforcement of W.S. 11-19-303 through 11-19-306 .

History. Laws 1931, ch. 87, § 4; R.S. 1931, § 67-804; C.S. 1945, § 46-604; W.S. 1957, § 11-312; W.S. 1977, § 11-22-305; Laws 1978, ch. 32, § 1; 2013, ch. 150, § 1.

The 2013 amendment, effective July 1, 2013, substituted “ W.S. 11-19-303 ” for “ W.S. 11-19-301 .”

§ 11-19-306. Penalties for violation of rules and regulations.

Any person who violates any lawful rule or regulation made by the state veterinarian pursuant to W.S. 11-19-305 is guilty of a misdemeanor and upon conviction, shall be punished as provided in W.S. 11-1-103 .

History. Laws 1931, ch. 87, § 6; R.S. 1931, § 67-806; C.S. 1945, § 46-606; W.S. 1957, § 11-313; W.S. 1977, § 11-22-306; Laws 1978, ch. 32, § 1; 2013, ch. 12, § 1.

The 2013 amendment, effective July 1, 2013, substituted “as provided in W.S. 11-1-103 ” for “by imprisonment for not more than (1) year, or by a fine of not more than one hundred dollars ($100.00), or both.”

Article 4. Brucellosis Test of Cattle

Cross references. —

As to tuberculin tests of dairy cattle, see §§ 11-19-201 to 11-19-215 .

As to sale, etc., of diseased cattle, see § 11-19-214 .

As to tuberculosis modified accredited areas, see §§ 11-19-303 to 11-19-306 .

As to food safety system, see § 35-7-123 .

Appropriations. —

Laws 2004, ch. 122, § 1, appropriates $1,650,605 from the general fund to the livestock board for the compensation of livestock producers related to the testing for brucellosis in the state. The compensation for surveillance testing may be paid at not more than $3.50 per head of cattle actually tested. Payment is to be made monthly directly to accredited veterinarians who perform brucellosis testing as mandated by rule of the Wyoming livestock board or the United States department of agriculture animal plant and health inspection service upon submission of a notarized invoice indicating the number of head tested, ownership of the animals tested and testing location. Up to $150,000 of this appropriation may be expended by the livestock board to purchase necessary brucellosis testing equipment, supplies and postage.

Laws 2004, ch. 122, § 2, makes the act effective immediately upon completion of all acts necessary for a bill to become law as provided by art. 4, § 8, Wyo. Const. Approved March 16, 2004.

Am. Jur. 2d, ALR and C.J.S. references. —

3A C.J.S. Animals §§ 66 to 68, 73 to 98; 36A C.J.S. Food §§ 3 to 49.

§ 11-19-401. Tagging, branding and disposition of cattle reacting to test; penalties for failure to comply.

All livestock animals in Wyoming reacting to a confirmatory test for brucellosis (Bang’s disease) shall be immediately permanently branded with a hot iron letter “B” on the left tailhead by or in the presence of an officially authorized veterinarian. All such reactor livestock animals shall be disposed of for slaughter or diagnostic purposes only, upon and according to written instruction from the Wyoming livestock board. Any person who violates any provision of this section shall be punished as provided in W.S. 11-1-103 . As used in this section, “confirmatory test” means a test for brucellosis that has the specificity and sensitivity to verify the presence or absence of brucella abortus in animal serum or tissues and is used to confirm results from an initial brucellosis test.

History. Laws 1947, ch. 13, § 1; 1957, ch. 42, § 1; W.S. 1957, § 11-314; W.S. 1977, § 11-22-401; Laws 1978, ch. 32, § 1; 1981, ch. 98, § 2; 2013, ch. 12, § 1.

Cross references. —

As to sale of diseased cattle, see § 11-19-214 .

The 2013 amendment, effective July 1, 2013, rewrote the section.

Law reviews. —

For article, “Bison, Brucellosis, and Law in the Greater Yellowstone Ecosystem,” see XXVIII Land & Water L. Rev. 1 (1993).

§ 11-19-402. Breeding cattle and bison entering state to show evidence of negative test or vaccination for brucellosis; exceptions.

All breeding cattle and bison entering Wyoming shall be accompanied by a proper health certificate showing evidence of a negative blood test for brucellosis made within thirty (30) days prior to entry, or evidence of being officially vaccinated by a licensed veterinarian during calfhood against brucellosis. Breeding cattle and bison originating from brucellosis free areas and from certified brucellosis free herds entering Wyoming may be exempt from this section but must be accompanied by a proper health certificate.

History. Laws 1963, ch. 60, § 1; W.S. 1957, § 11-314.1; Laws 1965, ch. 19, § 1; W.S. 1977, § 11-22-402; Laws 1978, ch. 32, § 1; 2013, ch. 12, § 1.

The 2013 amendment, effective July 1, 2013, substituted “bison” for “buffalo” twice and deleted “modified certified brucellosis areas, certified” before “brucellosis free areas.”

Law reviews. —

For article, “Bison, Brucellosis, and Law in the Greater Yellowstone Ecosystem,” see XXVIII Land & Water L. Rev. 1 (1993).

§ 11-19-403. When cattle or bison exempt from provisions.

Breeding cattle and bison entering Wyoming for the purpose of feeding only may be exempt from the requirements of W.S. 11-19-402 if they are placed under quarantine by the rules and regulations promulgated by the Wyoming livestock board.

History. Laws 1963, ch. 60, § 2; W.S. 1957, § 11-314.2; W.S. 1977, § 11-22-403; Laws 1978, ch. 32, § 1; 2013, ch. 12, § 1.

The 2013 amendment, effective July 1, 2013, substituted “bison” for “buffalo.”

§ 11-19-404. Applicability of provisions.

The Wyoming livestock board shall determine which of the requirements set forth in W.S. 11-19-402 through 11-19-404 apply to the various counties or areas within Wyoming.

History. Laws 1963, ch. 60, § 3; W.S. 1957, § 11-314.3; W.S. 1977, § 11-22-404; Laws 1978, ch. 32, § 1.

§ 11-19-405. Control of brucellosis; governor authorized to negotiate with federal agencies.

  1. In order to preserve the brucellosis-free  status of this state, the governor shall enter into negotiations with  any relevant parties including appropriate federal agencies on steps  necessary to ensure brucellosis is not passed from wildlife to livestock.
  2. The governor may direct any state agency  to take any actions needed to ensure brucellosis does not spread from  wildlife to livestock.
  3. In the event of a confirmed outbreak of  brucellosis, the governor may authorize the state veterinarian, with  the approval of the Wyoming livestock board, to require brucellosis  testing of all test eligible bovine or domestic bison at the farm  or ranch of origin or any licensed Wyoming livestock market prior  to a change of ownership for a period of up to eighteen (18) months.  At the end of the required testing period, the state veterinarian  shall review the testing requirement and may reimpose brucellosis  testing for one (1) or more successive periods under this subsection  if there is deemed by the state veterinarian to be a threat to Wyoming’s  brucellosis free status or if the state is designated as brucellosis  class A or lower status.
  4. The state veterinarian may direct any  Wyoming brand inspector to withhold a brand inspection for movement  or change of ownership to any person who has not shown evidence of  any required brucellosis test.
  5. As part of the state brucellosis surveillance  and prevention program, the state veterinarian may require brucellosis  testing of any test eligible bovine or domestic bison at any licensed  Wyoming livestock market at any time. Failure to comply shall result  in a suspension of the livestock market’s license.
  6. Any person who violates any provision  of this section shall be punished as provided by W.S. 11-1-103 .

History. Laws 1996, ch. 96, § 1; 2005, ch. 18, § 2; 2010, ch. 69, § 203.

The 2005 amendment added (c) through (f).

Laws 2005, ch. 18, § 3, makes the act effective immediately upon completion of all acts necessary for a bill to become law as provided by art. 4, § 8, Wyo. Const. Approved February 17, 2005.

The 2010 amendment, effective July 1, 2010, in (a), deleted the former last sentence, which read: “If adequate progress is not made by September 1, 1996, in the negotiations or if the appropriate federal agencies are unwilling to act to control brucellosis or are obstructing necessary efforts to control brucellosis, the governor is authorized to direct the attorney general to bring appropriate legal action.”

Task force. —

Laws 2004, ch. 95, § 322, as amended by Laws 2005, ch. 191, § 4, creates the Wyoming brucellosis task force, appointed by the governor, whose purpose is to propose recommendations for policies, rules and legislation to combat brucellosis. The task force may contract with consultants as necessary to perform its duties. Not later than December 31, 2004 the task force is to report its recommendations to the governor and the legislature. The act appropriates $125,000 from the general fund to the department of agriculture for purposes of the act.

§ 11-19-406. Sale of diseased cattle or domestic bison.

All cattle or domestic bison in Wyoming lawfully found to be affected with brucellosis, including all sexually intact cattle or domestic bison that are part of a herd found to be affected with brucellosis, may be shipped or transported under the direction of the state veterinarian to livestock markets and sold for immediate slaughter or transferred to an approved slaughter facility or veterinary diagnostic laboratory in accordance with federal regulations. Payments under this section shall not be made by the state for any sexually intact female cattle or bison which are over twelve (12) months old and which are not official calfhood vaccinates as provided in board rule and regulation. Producers may be eligible for indemnification in accordance with W.S. 11-19-106 for any livestock ordered disposed pursuant to this section.

History. Laws 2005, ch. 18, § 1; 2012, ch. 90, § 1.

The 2012 amendment, effective July 1, 2012, deleted the former second sentence, which read: “Prior to directing that any cattle or bison that are part of an infected herd be sold under this section, the state veterinarian shall ascertain that sufficient funds are available from either federal or state sources to ensure that the owner of the condemned cattle or domestic bison will be paid the difference between the market value at the time of quarantine and the amount received for the sale, less any amount of reimbursement provided for and paid under federal law or regulation, the cost of shipping or transportation and commission charges,” and added the present last sentence.

Effective dates. —

Laws 2005, ch. 18, § 3, makes the act effective immediately upon passage. Approved February 17, 2005.

§ 11-19-407. Brucellosis testing program.

  1. The livestock board shall develop a brucellosis surveillance program in any designated surveillance area as defined by the livestock board and any area of concern designated by the board and approved by the governor as an area where risk of exposure to documented infected wildlife is of concern. The program may be conducted with the help of veterinary practitioners and livestock auction markets. This program shall provide for the testing of livestock for brucellosis, for spaying heifers and for adult vaccinations only to the extent that may be reasonably necessary to maintain or to regain the brucellosis-free status of the state of Wyoming. Compensation under this program for all purposes except mandatory testing or testing within an area of concern as designated by the board and approved by the governor shall be pursuant to the terms of a livestock herd plan that has been entered into between the livestock producer and the Wyoming state veterinarian.
  2. The compensation for brucellosis surveillance testing, spaying heifers and adult vaccinations shall be paid at not less than one dollar and fifty cents ($1.50) per head and not more than eight dollars ($8.00) per head of cattle actually tested, spayed or adult vaccinated. Compensation for brucellosis testing, spaying or adult vaccinating may include the purchase of brucellosis testing, spaying or adult vaccinating equipment, supplies and postage.
  3. Payments under subsection (b) of this section shall be made monthly directly to accredited veterinarians who perform brucellosis testing, spaying, adult vaccinating and surveillance planning or to livestock auction markets that use their facilities and veterinarians to conduct brucellosis testing, spaying or adult vaccinating as mandated by rule of the Wyoming livestock board or the United States department of agriculture animal plant and health inspection service. The payment shall be made upon submission to the Wyoming livestock board of a notarized invoice indicating the number of head tested, spayed or adult vaccinated, the ownership of the animals tested, spayed or adult vaccinated and the testing, spaying or adult vaccinating location.

History. Laws 2008, ch. 119, § 1; 2009, ch. 17, § 1; 2014, ch. 83, § 1.

The 2009 amendment, in (a), substituted “surveillance” for “testing” and “in the designated surveillance area as defined by the livestock board. The program” for “which,” inserted “or to regain,” inserted all references to “spaying heifers and adult vaccinations” in (a) through (c); and added the last sentence.

Laws 2009, ch. 17, § 2, makes the act effective immediately upon completion of all acts necessary for a bill to become law as provided by Article art. 4, § 8, of the Wyo. Const. Approved February 24, 2009.

The 2014 amendment, in the first sentence of (a), substituted “any” for “the” and inserted “and any area of concern designated by the board and approved by the governor as an area where risk of exposure to documented infected wildlife is of concern” preceding the period, in the middle of the fourth sentence, inserted “or testing within an area of concern as designated by the board and approved by the governor.”

Laws 2014, ch. 83, § 2, makes the act effective immediately upon completion of all acts necessary for a bill to become law as provided by art. 4, § 8 of the Wyoming Constitution. Approved March 10, 2014.

Effective dates. —

Laws 2008, ch. 119, § 3, makes the act effective immediately upon completion of all acts necessary for a bill to become law as provided by art. 4, § 8, Wyo. Const. Approved March 13, 2008.

Article 5. Regulation and Inspection of Sheep

§ 11-19-501. When notice of importation to be made; contents; applicability of rules and regulations of board.

  1. Any person intending to bring or cause  to be brought any sheep from any other state or territory, the District  of Columbia or any foreign country into Wyoming in any manner except  by shipping them through the state by railroad or truck, shall, ten  (10) days before crossing the state line, notify the executive officer  of the board of the proposed action. The notice shall set forth the  number of sheep, the brands or marks thereon, the name of the owner  and the locality from which the sheep came and through which they  have been driven.
  2. Sheep trailed or shipped into the state  from adjoining states for immediate interstate shipment or for show  and exhibition purposes, sheep grazing along and across state lines,  and sheep shipped from any part of this state to feed yards in any  other part of the state when shipment is made by interstate route,  are governed by the rules and regulations of the board.

History. Laws 1909, ch. 60, § 13; C.S. 1910, § 2694; Laws 1913, ch. 122, § 1; C.S. 1920, § 3203; Laws 1931, ch. 66, § 1; R.S. 1931, § 67-1413; C.S. 1945, § 56-407; W.S. 1957, § 11-453; W.S. 1977, § 11-27-106 ; Laws 1978, ch. 32, § 1.

Jurisdiction. —

Justice of the peace has no jurisdiction to impose sentence upon one accused of unlawfully bringing sheep into state without notifying board of sheep commissioners (now livestock board), since fine authorized to be imposed is in excess of his jurisdiction. Houtz v. Board of Comm'rs, 11 Wyo. 152, 70 P. 840, 1902 Wyo. LEXIS 30 (Wyo. 1902).

§ 11-19-502. Unloading sheep in transit prohibited; exception; cost of enforcement.

Any sheep in transit through this state shall not be unloaded for any purpose except for feeding, and shall be held in the feed yards or in grazing grounds and not allowed to leave. All expenses of enforcing this section shall be paid by the owner of the sheep.

History. Laws 1909, ch. 60, § 15; C.S. 1910, § 2696; C.S. 1920, § 3205; R.S. 1931, § 67-1415; C.S. 1945, § 56-409; W.S. 1957, § 11-455; W.S. 1977, § 11-27-108; Laws 1978, ch. 32, § 1.

§ 11-19-503. Bringing infected sheep into state prohibited.

It is unlawful for any person to bring into this state any sheep infected with any infectious or contagious disease, or that have been exposed to such disease.

History. Laws 1909, ch. 60, § 12; C.S. 1910, § 2693; C.S. 1920, § 3202; R.S. 1931, § 67-1412; C.S. 1945, § 56-406; W.S. 1957, § 11-456; W.S. 1977, § 11-27-109; Laws 1978, ch. 32, § 1.

Exercise of police power. —

This section is not a regulation of commerce between the states, but a reasonable exercise of the state's police power. Patrick v. State, 17 Wyo. 260, 98 P. 588, 1908 Wyo. LEXIS 17 (Wyo. 1908).

Jurisdiction of court. —

The district court of a county located in the interior of the state has jurisdiction in a prosecution under this section. Patrick v. State, 17 Wyo. 260, 98 P. 588, 1908 Wyo. LEXIS 17 (Wyo. 1908).

Pleadings. —

In an information charging accused with bringing diseased sheep into the state, and also causing such sheep to be brought into the state, crime was sufficiently charged, allegation that accused caused the sheep to be brought into the state being mere surplusage. Patrick v. State, 17 Wyo. 260, 98 P. 588, 1908 Wyo. LEXIS 17 (Wyo. 1908).

Defect in information charging accused with bringing diseased sheep into state was waived by pleading to the merits. Patrick v. State, 17 Wyo. 260, 98 P. 588, 1908 Wyo. LEXIS 17 (Wyo. 1908).

§ 11-19-504. Refusal to give information deemed misdemeanor.

Any herder or other person in charge of sheep who willfully refuses to give an inspector information as to the condition of sheep in his charge is guilty of a misdemeanor punishable as provided by W.S. 11-19-506 .

History. Laws 1909, ch. 60, § 18; C.S. 1910, § 2699; C.S. 1920, § 3208; R.S. 1931, § 67-1418; C.S. 1945, § 56-412; W.S. 1957, § 11-459; W.S. 1977, § 11-27-112; Laws 1978, ch. 32, § 1.

§ 11-19-505. Owners to be jointly and severally liable; when arrest necessary; service of summons and complaint.

In any action arising under W.S. 11-19-501 through 11-19-505 , all persons owning or having control of the sheep concerning which the action is had, are liable severally and jointly. In criminal actions, no arrest is necessary except in case of nonresident persons, but a summons containing notice of the time and place of trial, together with a copy of the complaint filed in a circuit court, or in the court in which the action is commenced, shall be served in the same manner and for the length of time provided by law for the service of summons in civil cases.

History. Laws 1909, ch. 60, § 18; C.S. 1910, § 2699; C.S. 1920, § 3208; R.S. 1931, § 67-1418; C.S. 1945, § 56-412; W.S. 1957, § 11-459; W.S. 1977, § 11-27-112; Laws 1978, ch. 32, § 1; 2004, ch. 42, § 1.

Cross references. —

For definition of “stock owner,” see § 11-20-101 .

The 2004 amendment substituted “in a circuit court” for “before a justice of the peace.”

Laws 2004, ch. 42, § 3, makes the act effective immediately upon completion of all acts necessary for a bill to become law as provided by art. 4, § 8, Wyo. Const. Approved March 3, 2004.

§ 11-19-506. Penalties.

Any person who violates W.S. 11-19-501 through 11-19-505 shall be fined not more than five thousand dollars ($5,000.00) or imprisoned not more than one (1) year, or both.

History. Laws 1909, ch. 60, §§ 12, 13, 15, 18; C.S. 1910, §§ 2693, 2694, 2696, 2699; Laws 1913, ch. 122, § 1; C.S. 1920, §§ 3202, 3203, 3205, 3208; Laws 1931, ch. 66, § 1; R.S. 1931, §§ 67-1412, 67-1413, 67-1415, 67-1418; C.S. 1945, §§ 56-406, 56-407, 56-409, 56-412; W.S. 1957, §§ 11-453, 11-455, 11-456, 11-459; W.S. 1977, §§ 11-19-506 , 11-27-106 , 11-27-108, 11-27-109, 11-27-112; Laws 1978, ch. 32, § 1.

Jurisdiction. —

Justice of the peace has no jurisdiction to impose sentence upon one accused of unlawfully bringing sheep into state without notifying board of sheep commissioners (now livestock board), since fine authorized to be imposed is in excess of his jurisdiction. Houtz v. Board of Comm'rs, 11 Wyo. 152, 70 P. 840, 1902 Wyo. LEXIS 30 (Wyo. 1902).

The district court of a county located in the interior of the state has jurisdiction in a prosecution under this section. Patrick v. State, 17 Wyo. 260, 98 P. 588, 1908 Wyo. LEXIS 17 (Wyo. 1908).

Article 6. Wildlife/Livestock Disease Research Partnership

§ 11-19-601. Findings; purposes.

  1. The interaction of livestock and wildlife  may lead to mutual or shared diseases. Some of these diseases may  have the potential to adversely affect Wyoming’s livestock producers  and influence the management of Wyoming’s free-ranging wildlife. Research  into these diseases may provide strategies or solutions that benefit  Wyoming’s livestock industries and wildlife resources.
  2. The purpose of the Wyoming wildlife/livestock  disease research partnership is to utilize existing personnel and  facilities of the state, to identify funding sources, to enhance wildlife  and livestock disease research in the state, and to understand, manage,  control and preempt potentially mutual or shared diseases that may  impact wildlife, livestock or humans.

History. Laws 2001, ch. 179, § 1.

§ 11-19-602. Wyoming wildlife/livestock disease research partnership board created; membership; duties; purposes.

  1. There is created the wildlife/livestock  disease research partnership board within the department. The board  shall consist of the following members or their designees:
    1. The director of the department;
    2. The director of the Wyoming game and fish  department;
    3. The vice-president for research at the  University of Wyoming;
    4. The director of the Wyoming state veterinary  laboratory; and
    5. The state veterinarian.
  2. The board shall:
    1. Accept funding from all sources, including  federal, state and local governments and private donations to carry  out the purposes of this article;
    2. Leverage funds received to match other  funds that may be available to the board;
    3. Deposit funds received into the account  created by W.S. 11-19-603 . No funds may be withdrawn or otherwise expended without  the specific consent of at least three (3) members of the board;
    4. Accept, review and prioritize research  proposals submitted to the board;
    5. Seek support for programs and projects  consistent with the purposes of the board;
    6. Allocate funds for research which serve  the goals of understanding, managing, controlling or preempting potentially  mutual or shared diseases that impact wild and domestic animals or  humans in the state.
  3. In approving research requests for funding,  the board shall first consider any requests for funding from the Wyoming  game and fish department, the University of Wyoming, the Wyoming department  of agriculture and the Wyoming livestock board. After consideration  of requests from those state agencies, the board may consider requests  from other entities.
  4. All research projects requesting funding  from the board shall be submitted to the board in a form and manner  specified by the board. The approval of not less than three (3) members  of the board shall be required prior to funding of a project with  funds received under this section.

History. Laws 2001, ch. 179, § 1.

§ 11-19-603. Account created.

There is created a wildlife/livestock disease research partnership account. Funds from this account shall be used only for purposes specified in W.S. 11-19-601 through 11-19-604 . Any interest earned on the account shall remain within the account.

History. Laws 2001, ch. 179, § 1; 2005, ch. 231, § 1; 2015, ch. 141, § 2.

The 2005 amendment, effective July 1, 2005, deleted “within the special revenue fund” at the end of the first sentence.

The 2015 amendment, substituted “W.S. 11-19-601 through 11-19-604 ” for “W.S. 11-19-602 .”

Laws 2015, ch. 141, § 3, makes the act effective immediately upon completion of all acts necessary for a bill to become law as provided by art. 4, § 8, Wyo. Const. Approved March 4, 2015.

Conflicting legislation. —

Laws 2005, ch. 231, § 3, provides:

“The provisions of this act shall supersede the provisions of any other bill enacted into law during the 2005 general session which amends or references accounts or funds to the extent any other enactment is inconsistent with the establishment of the funds and accounts created under this act. The state auditor shall account for any fund or account created in any other legislation enacted in the 2005 general session in accordance with generally accepted accounting principles (GAAP) as promulgated by the governmental accounting standards board (GASB) and in accordance with this act.”

Appropriations. —

Laws 2011, ch. 145, §§ 1, 2, provides:

Section 1. “There is appropriated one hundred twenty-five thousand dollars ($125,000.00) from the general fund to the wildlife/livestock disease research partnership account created by W.S. 11-19-603 . This appropriation shall be for the period beginning with the effective date of this act. This appropriation shall only be expended for the purposes provided in W.S. 11-19-602 for nonbrucellosis related research. Notwithstanding any other provision of law, this appropriation shall not be transferred or expended for any other purpose and any unexpended, unobligated funds remaining from this appropriation shall not revert until further action of the legislature.”

Section 2. “This act is effective July 1, 2011.”

§ 11-19-604. Wyoming bighorn/domestic sheep plan.

  1. The Wyoming bighorn/domestic sheep plan shall be developed and maintained by rule and regulation as provided in this section to address potential conflicts arising out of the interaction between bighorn sheep and domestic sheep within the state. The final report and recommendations from the Wyoming state-wide bighorn/domestic sheep interaction working group dated September 2004 together with appendices A through N as adopted by the group is adopted as the initial Wyoming bighorn/domestic sheep plan under this section and shall continue as revised or amended until repealed or nullified pursuant to law.
  2. Rules and regulations necessary to administer this article shall be promulgated jointly by the game and fish commission, the board of agriculture and the livestock board. The game and fish commission, the board of agriculture and the livestock board may jointly consider recommendations for changes to the plan and may revise or amend the plan through the rulemaking process pursuant to the Wyoming Administrative Procedure Act.
  3. The goal of the Wyoming bighorn/domestic sheep plan shall be to maintain the health of bighorn sheep populations while sustaining an economically viable domestic sheep population.
  4. The most current version of the Wyoming bighorn/domestic sheep plan shall be published on the website of the game and fish commission.
  5. In conformance with the Wyoming bighorn/domestic sheep plan the game and fish department may relocate or remove bighorn sheep to another area of the state if a federal judicial action or agency decision would require elimination of domestic sheep grazing in any area or herd unit designated in the Wyoming bighorn/domestic sheep plan as a nonemphasis herd. The game and fish department shall be reimbursed for the costs of relocation or removal of sheep under this subsection from funds available in the wildlife/livestock disease research partnership account.

History. Laws 2015, ch. 141, § 1.

Effective dates. — Laws 2015, ch. 141, § 1 makes the act effective March 4, 2015.

Chapter 20 Brands

Cross references. —

As to brand inspection in connection with purchases, sales and transportation of hides and carcasses generally, see §§ 11-23-201 to 11-23-207 .

As to misbranding livestock, see § 11-30-104 .

As to agricultural marketing, see ch. 35 of this title.

As to dairy marketing, see ch. 36 of this title.

As to requiring legislature to provide for protection of livestock and stock owners, see art. 19, § 1, Wyo. Const.

As to cooperative marketing associations, see §§ 17-10-101 to 17-10-126.

As to use of brand of dead animal in proof of ownership thereof in connection with failure of owner to remove or bury dead animal, see § 35-10-104 .

Article 1. Branding and Ranging

Am. Jur. 2d, ALR and C.J.S. references. —

4 Am. Jur. 2d Animals §§ 8, 9, 20, 40 to 42, 75, 112.

Liability for injury to vehicle or person riding therein by animal at large in street or highway, 59 ALR2d 1328.

Liability for personal injury or death caused by trespassing or intruding livestock, 88 ALR2d 709, 44 ALR4th 678.

Liability for injury to trespassing stock from poisonous substances on the premises, 12 ALR3d 1103.

3A C.J.S. Animals §§ 4 to 10, 16 to 37, 121, 122, 137 to 169.

§ 11-20-101. Definitions.

  1. As used in this act:
    1. “Agency” means the corporation, if any,  designated by the board as its authorized representative to carry  out the functions to be performed by the board and if there is no  such agency, then it means the board;
    2. “Board” means the Wyoming livestock board;
    3. “Inspectors” means those persons appointed  by the agency to execute the duties prescribed by law, rules, regulations  and orders for the protection of the livestock industry in Wyoming;
    4. “Livestock” means cattle, horses, mules,  asses and sheep. The board acting in conjunction with the game and  fish commission may designate individual bison or identifiable herds  of bison as wildlife;
    5. “Stock drover” means any person driving  livestock through any county in Wyoming;
    6. “Stock owner” means any person who owns  livestock;
    7. “This act” means W.S. 11-19-101 through 11-19-506 , 11-20-101 through 11-24-115 and 11-30-101 through 11-30-115 ;
    8. “Brand” means a brand, mark or other board  approved means of identification including any electronic device used  for livestock identification.

History. Laws 1890, ch. 39, § 3; R.S. 1899, § 1987; C.S. 1910, § 2597; C.S. 1920, § 3090; R.S. 1931, § 67-202; C.S. 1945, § 56-502; W.S. 1957, § 11-319; Laws 1961, ch. 46, § 3; 1973, ch. 61, § 1; W.S. 1977, § 11-23-101 ; Laws 1978, ch. 32, § 1; 1979, ch. 63, § 2; 1994, ch. 96, § 1; 2004, ch. 130, § 1; 2007, ch. 105, § 1; 2010, ch. 61, § 1.

The 2004 amendment, in (a)(vii), substituted “11-30-115” for “11-30-112.”

Laws 2004, ch. 130, § 4, makes the act effective immediately upon completion of all acts necessary for a bill to become law as provided by art. 4, § 8, Wyo. Const. Approved March 19, 2004.

The 2007 amendment, effective July 1, 2007, in (a)(iv) deleted “and” preceding “sheep” and inserted “, goats, llamas and alpacas” following “sheep.”

The 2010 amendment, in (a)(iv), substituted “asses and sheep” for “asses, sheep, goats, llamas and alpacas.”

Laws 2010, ch. 61, § 2, makes the act effective immediately upon completion of all acts necessary for a bill to become law as provided by art. 4, § 8, Wyo. Const. Approved March 8, 2010.

Editor's notes. —

There is no subsection (b) in this section as it appears in the printed acts.

Several sections included in the definition of “[t]his act” have been repealed.

Conflicting legislation. —

Laws 2004, ch. 130, § 3, provides: “Any other act adopted by the Wyoming legislature during the same session in which this act is adopted shall be given precedence and shall prevail over the amendments in this act to the extent that such acts are in conflict with this act.”

Law reviews. —

For article, “Industrial Siting Legislation: The Wyoming Industrial Development Information and Siting Act — Advance or Retreat?” see XI Land & Water L. Rev. 27 (1976).

§ 11-20-102. Stock running at large to be branded.

Every stock owner allowing his livestock over six (6) months old to run at large or mingle with livestock other than his own, shall brand his livestock with his recorded brand.

History. Laws 1890, ch. 39, § 14; R.S. 1899, § 1988; C.S. 1910, § 2598; C.S. 1920, § 3091; R.S. 1931, § 67-203; C.S. 1945, § 56-516; W.S. 1957, § 11-323; W.S. 1977, § 11-23-103 ; Laws 1978, ch. 32, § 1.

§ 11-20-103. Brands; application; contents; recording fees; refund; disposition thereof.

  1. Any person desiring to adopt any brand  to be used to brand livestock in this state, shall before using the  brand make application to the Wyoming livestock board. The application  shall:
    1. Contain a facsimile or a description of  the brand;
    2. State the species of livestock for which  the brand is to be used;
    3. State the place on the animal where the  brand will be applied, and whether it is to be applied with hot iron,  paint, tattoo or other means;
    4. Repealed by Laws 1996, ch. 25, § 2.
  2. The application shall be accompanied by  a recording fee of not less than one hundred fifty dollars ($150.00)  for the first species of livestock and not less than seventy-five  dollars ($75.00) for each additional species of livestock for which  the brand is to be used. In the event a brand is not recorded, twenty-five  percent (25%) of the recording fee shall be retained by the Wyoming  livestock board and the balance of the fee shall be refunded to the  applicant. A certified copy of the recorded brand shall be given to  the owner. All fees collected shall be deposited into the account  created by W.S. 11-20-405 .
  3. Repealed by Laws 2010, ch. 69, § 204.

History. Laws 1909, ch. 44, § 3; C.S. 1910, § 2601; Laws 1913, ch. 126, § 1; C.S. 1920, § 3093; Laws 1921, ch. 13, § 1; R.S. 1931, § 67-205; C.S. 1945, § 56-507; Laws 1953, ch. 39, § 1; 1957, ch. 163, § 2; W.S. 1957, § 11-324; Laws 1961, ch. 46, § 4; 1965, ch. 103, § 1; 1973, ch. 245, § 3; W.S. 1977, §§ 11-23-104 , 11-23-121; Laws 1978, ch. 32, § 1; 1981, ch. 18, § 1; 1994, ch. 96, § 1; 1996, ch. 25, § 2; 2006, ch. 39, § 2; 2007, ch. 105, § 1; 2010, ch. 69, § 204.

The 2006 amendment, inserted the second sentence in (b) and added (c).

Laws 2006 ch. 39, § 5, makes the act effective immediately upon completion of all acts necessary for a bill to become law as provided by art. 4, § 8, Wyo. Const. Approved March 10, 2006.

The 2007 amendment, effective July 1, 2007, in (b) substituted “not less than one hundred fifty dollars ($150.00)” for “one hundred dollars ($100.00)”, substituted “not less than seventy-five dollars ($75.00” for “fifty dollars ($50.00)”, substituted “twenty-five percent (25%)” for “twenty-five dollars ($25.00).”

The 2010 amendment, effective July 1, 2010, repealed former (c), which read: “Brand applications under this section may be charged a surcharge pursuant to W.S. 11-20-405(c).”

Editor's notes. —

Laws 2007, ch. 105, § 3, states as follows: “The brand recording and inspection fees specified in this act shall remain at the levels in effect on July 1, 2007, and shall not be adjusted before December 31, 2007. After December 31, 2007, the board may adjust the fees specified in this act subject to the limitations specified in W.S. 11-20-408(b).”

§ 11-20-104. Brands; recording generally.

Upon receipt of the application and fee the brand shall be recorded in the state brand record. If the brand has been previously recorded the executive officer of the board shall suggest a brand that can be recorded. The executive officer of the board shall not record any brand which in his opinion would conflict with any brand of record.

History. Laws 1909, ch. 44, § 3; C.S. 1910, § 2601; Laws 1913, ch. 126, § 1; C.S. 1920, § 3093; Laws 1921, ch. 13, § 1; R.S. 1931, § 67-205; C.S. 1945, § 56-507; Laws 1953, ch. 39, § 1; 1957, ch. 163, § 2; W.S. 1957, § 11-324; W.S. 1977, § 11-23-104 ; Laws 1978, ch. 32, § 1; 1994, ch. 96, § 1; 1996, ch. 25, § 1.

Cited in

Estate of Harris v. Harris, 218 F.3d 1140, 2000 U.S. App. LEXIS 15704 (10th Cir. 2000).

§ 11-20-105. Brands; extension to other species.

If a recorded brand is used exclusively for the identification of a particular species of livestock, the executive officer of the board may record the identical brand in the name of another person to identify his ownership of a species of livestock other than the species for which the brand is presently recorded.

History. Laws 1909, ch. 44, § 3; C.S. 1910, § 2601; Laws 1913, ch. 126, § 1; C.S. 1920, § 3093; Laws 1921, ch. 13, § 1; R.S. 1931, § 67-205; C.S. 1945, § 56-507; Laws 1957, ch. 163, § 2; W.S. 1957, § 11-324; W.S. 1977, § 11-23-104 ; Laws 1978, ch. 32, § 1.

§ 11-20-106. Brands; sheep; districts created; recording thereof.

To increase the quantity of brands which can be effectively used for the identification of sheep, the executive officer of the board may, with the advice of the executive committee of the Wyoming wool growers association, promulgate and enforce rules and regulations necessary to divide the land area of Wyoming into districts. The districts shall be made a part of such brands and recorded in the state record as further identification of sheep.

History. Laws 1909, ch. 44, § 3; C.S. 1910, § 2601; Laws 1913, ch. 126, § 1; C.S. 1920, § 3093; Laws 1921, ch. 13, § 1; R.S. 1931, § 67-205; C.S. 1945, § 56-507; Laws 1957, ch. 163, § 2; W.S. 1957, § 11-324; W.S. 1977, § 11-23-104 ; Laws 1978, ch. 32, § 1.

§ 11-20-107. Brands; records kept by board; inspection thereof.

The board shall keep an accurate record of all certified livestock brands, the names of the owners and their current contact information including addresses, which shall be open to public inspection.

History. Laws 1899, ch. 21, § 2; R.S. 1899, § 2002; C.S. 1910, § 2610; C.S. 1920, § 3103; R.S. 1931, § 67-215; C.S. 1945, § 56-518; W.S. 1957, § 11-325; W.S. 1977, § 11-23-105 ; Laws 1978, ch. 32, § 1; 2013, ch. 13, § 1.

The 2013 amendment, substituted “current contact information including addresses” for “post office addresses.”

Laws 2013, ch. 13, § 3, makes the act effective immediately upon completion of all acts necessary for a bill to become law as provided by Article 4, Section 8 of the Wyoming Constitution. Approved February 12, 2013.

§ 11-20-108. Recorded brand; certified copy deemed prima facie evidence of ownership.

A certified copy of any brand recorded in the office of the board is prima facie evidence of ownership of animals branded therewith for that species of livestock recorded by the board. The brand shall be received as evidence of ownership in all legal proceedings involving title to the animal.

History. Laws 1913, ch. 126, § 1; C.S. 1920, § 3095; R.S. 1931, § 67-207; C.S. 1945, § 56-509; Laws 1953, ch. 39, § 2; 1957, ch. 163, § 3; W.S. 1957, § 11-326; W.S. 1977, § 11-23-106 ; Laws 1978, ch. 32, § 1; 1994, ch. 96, § 1.

Construction. —

The statute provides only for prima facie evidence of ownership, and such evidence may be rebutted. Estate of Harris v. Harris, 218 F.3d 1140, 2000 U.S. App. LEXIS 15704 (10th Cir. Wyo. 2000).

Evidence of brand ownership is prima facie evidence of animal ownership. —

In prosecution for willfully and maliciously killing a head of neat cattle, evidence that brand, a certified copy of which was introduced in evidence, was owned by certain persons, was prima facie evidence that such persons owned animal bearing such brand, even though such persons, though witnesses, failed to testify directly that they owned the animal bearing such brand. Wiggin v. State, 28 Wyo. 480, 206 P. 373, 1922 Wyo. LEXIS 39 (Wyo. 1922).

Evidence conclusively rebutted the presumption of ownership created by the presence of brands on cattle where the rights and duties of the owner of the brand were only to pasture and feed the cattle in exchange for a share of the calf crop pursuant to a share agreement. Estate of Harris v. Harris, 218 F.3d 1140, 2000 U.S. App. LEXIS 15704 (10th Cir. Wyo. 2000).

Effect of multiple brands. —

The presumption engendered by a newer brand does not trump that engendered by an older brand under all circumstances. Estate of Harris v. Harris, 218 F.3d 1140, 2000 U.S. App. LEXIS 15704 (10th Cir. Wyo. 2000).

Cited in

Megown v. Fuller, 38 Wyo. 211, 266 P. 124, 1928 Wyo. LEXIS 41 (1928).

§ 11-20-109. Recorded brand; considered as property; subject to sale; written instrument required; acknowledgment and recording.

Any brand recorded as required by law is the property of the person in whose name it is recorded, and is subject to sale, assignment, transfer, devise and descent as personal property. Instruments of writing evidencing sale, assignment or transfer shall be acknowledged and recorded in the office of the board. Acknowledgment and recording of such instruments have the same effect as to third parties as the acknowledgment and recording of instruments affecting real estate.

History. Laws 1909, ch. 44, § 6; C.S. 1910, § 2604; Laws 1913, ch. 126, § 1; C.S. 1920, § 3097; R.S. 1931, § 67-209; C.S. 1945, § 56-511; W.S. 1957, § 11-327; W.S. 1977, § 11-23-107 ; Laws 1978, ch. 32, § 1; 1994, ch. 96, § 1; 1996, ch. 25, § 1.

Property interest. —

Pursuant to this section, a livestock brand owner has a property interest in his brand as long as the brand remains properly recorded. Tate v. Wyoming Livestock Bd., 932 P.2d 746, 1997 Wyo. LEXIS 29 (Wyo. 1997).

§ 11-20-110. Recorded brand; bill of sale; when title vests.

Any recorded brand may be conveyed to another by a bill of sale executed by the vendor, properly acknowledged, but the conveyance is not complete nor does title to the brand vest in the vendee until the bill of sale is filed for record and the ownership of the brand is transferred in the office of the board.

History. Laws 1890, ch. 39, § 15; R.S. 1899, § 2000; C.S. 1910, § 2609; Laws 1913, ch. 126, § 1; C.S. 1920, § 3102; R.S. 1931, § 67-214; C.S. 1945, § 56-517; W.S. 1957, § 11-328; W.S. 1977, § 11-23-108 ; Laws 1978, ch. 32, § 1; 1994, ch. 96, § 1; 1996, ch. 25, § 1; 2013, ch. 13, § 1.

The 2013 amendment, added “and the ownership of the brand is transferred.”

Laws 2013, ch. 13, § 3, makes the act effective immediately upon completion of all acts necessary for a bill to become law as provided by Article 4, Section 8 of the Wyoming Constitution. Approved February 12, 2013.

§ 11-20-111. State brand book; contents.

The executive officer of the board shall procure a suitable book, to be known as the state brand book, in which shall be recorded the brand and the definite place of the brand upon the animal, used for the branding of livestock in this state. A suitable book under this section may, at the discretion of the board, include a printed copy, an electronic copy or both.

History. Laws 1909, ch. 44, § 1; C.S. 1910, § 2599; C.S. 1920, § 3092; R.S. 1931, § 67-204; C.S. 1945, § 56-506; W.S. 1957, § 11-329; W.S. 1977, § 11-23-109; Laws 1978, ch. 32, § 1; 2013, ch. 13, § 1.

The 2013 amendment, added the last sentence in the section.

Laws 2013, ch. 13, § 3, makes the act effective immediately upon completion of all acts necessary for a bill to become law as provided by Article 4, Section 8 of the Wyoming Constitution. Approved February 12, 2013.

Editor's notes. —

Section 2, ch. 44, Laws 1909, required the recording in the state brand book as of the brands then in use.

Sameness of brand is jury question. —

Where in an attempted foreclosure of chattel mortgage on cattle, which did not cover the increase, it appeared that animals originally mortgaged had ceased to exist leaving no increase, but that those in possession of mortgagor at time of foreclosure were different to cattle acquired subsequent to the mortgage, the foreclosing mortgagee had no lien on such cattle and question whether the brand, without describing its location on the animal, was same as that on cattle in possession at time of foreclosure, was for the jury. P.J. Black Lumber Co. v. Turk, 50 Wyo. 361, 62 P.2d 519, 1936 Wyo. LEXIS 29 (1936).

Variance as to ownership of cow. —

Where indictment alleged larceny of cow belonging to A.B., and proof showed it to belong to A.B., Jr., there was no fatal variance; the addition of “Jr.” to a name being a mere matter of description. Harris v. State, 23 Wyo. 487, 153 P. 881, 1916 Wyo. LEXIS 1 (Wyo. 1916).

§ 11-20-112. Brand book; publication; form and contents; distribution of copies; monthly lists and biennial supplements; costs; disposition of proceeds.

The board shall publish a brand book containing facsimiles or descriptions of all brands recorded in Wyoming together with the owner’s name and address. The names and brands shall be arranged in the most convenient form for reference. Copies of the brand book and copies of subsequent supplements shall be given to the agency. At the end of each month, the board shall prepare lists of the brands recorded during that month and shall issue biennial supplements to the brand book which shall supersede and cumulate the monthly lists issued during the biennium. The board may publish and sell brand books, lists and supplements. The proceeds from the sales shall be deposited in the account created by W.S. 11-20-405 .

History. Laws 1909, ch. 44, § 7; C.S. 1910, § 2605; Laws 1913, ch. 126, § 1; C.S. 1920, § 3098; R.S. 1931, § 67-210; Laws 1937, ch. 12, § 1; C.S. 1945, § 56-512; W.S. 1957, § 11-330; Laws 1961, ch. 46, § 5; 1973, ch. 245, § 3; W.S. 1977, § 11-23-110; Laws 1978, ch. 32, § 1; 1994, ch. 96, § 1; 1996, ch. 25, § 1.

§ 11-20-113. County clerk prohibited from recording brands.

It is unlawful for any county clerk in this state to record any brand or bill of sale of any brand.

History. Laws 1909, ch. 44, § 5; C.S. 1910, § 2603; Laws 1913, ch. 126, § 1; C.S. 1920, § 3096; R.S. 1931, § 67-208; C.S. 1945, § 56-510; W.S. 1957, § 11-331; W.S. 1977, § 11-23-111; Laws 1978, ch. 32, § 1; 1994, ch. 96, § 1.

§ 11-20-114. Failure to record brand deemed abandonment.

  1. Failure to record a  brand is an abandonment of the same. No person shall claim or use  any abandoned brand until after he has caused the same to be recorded  as required by law.
  2. Any person violating subsection (a) of  this section shall be punished as provided by W.S. 11-1-103 .

History. Laws 1895, ch. 23, § 4; R.S. 1899, § 1997; Laws 1909, ch. 44, § 8; C.S. 1910, § 2606; C.S. 1920, § 3099; R.S. 1931, § 67-211; C.S. 1945, § 56-513; W.S. 1957, § 11-332; W.S. 1977, § 11-23-112; Laws 1978, ch. 32, § 1; 1994, ch. 96, § 1; 2001, ch. 26, § 1; 2013, ch. 13, § 1.

The 2013 amendment, deleted the former first sentence in (a), which read: “No person shall claim or own any brand which has not been recorded in the office of the Wyoming livestock board.”

Laws 2013, ch. 13, § 3, makes the act effective immediately upon completion of all acts necessary for a bill to become law as provided by Article 4, Section 8 of the Wyoming Constitution. Approved February 12, 2013.

Law reviews. —

For article, “Ownership of Livestock Brands and Marks as Affected by Chattel Mortgages,” see 1 Wyo. L.J. 68.

§ 11-20-115. Rerecording; when required; notice; abandonment.

  1. Every owner of a brand shall rerecord the brand according to the applicable time periods established by the board pursuant to subsection (c) of this section, and failure to do so is an abandonment of the brand as provided in this section. At least sixty (60) days preceding the expiration date of the brand, the board shall notify by mail and electronic mail if provided, at the address shown on the brand records, the owner of the brand that the brand must be rerecorded and if the brand has not been rerecorded within sixty (60) days from the expiration date of the brand, the brand will be declared delinquent. The board shall send a second notice by certified mail to the owner of the brand at the address shown on the brand records within thirty (30) days following the expiration date of the brand. A delinquent brand may be rerecorded by the brand owner who shall submit a rerecording application and pay a delinquent fee as established by rule of the board not to exceed one hundred fifty dollars ($150.00). If a delinquent brand is not rerecorded within two (2) years from the expiration date of the brand, the brand will be declared abandoned. Not less than six (6) months before declaring a brand abandoned, the board shall send a notice of proposed brand abandonment to the owner of the brand at the address shown on the brand records. The livestock board is authorized to promulgate rules and regulations necessary to implement this section including rules for issuing abandoned brands to other applicants.
  2. Repealed by Laws 2019, ch. 148, § 3.
  3. The term of the rerecording period shall be in ten (10) year increments, not to exceed one hundred (100) years at the option of the owner of the brand. The renewal schedule and the method of renewal shall be established by the board. Every owner of a brand shall rerecord the brand pursuant to the renewal schedule established by the board and shall pay the renewal fee specified by W.S. 11-20-116 which shall be prorated by the board for any renewal of less than ten (10) years.
  4. As part of a rerecording notice or abandonment notice sent under subsection (a) of this section, the board shall offer the option to the owner of the brand to rerecord all brands owned by the same person upon payment of a prorated fee, whether or not the brand has reached its rerecording date and provided that the rerecording period shall not exceed the term established by subsection (c) of this section. The board shall offer the option to the owner of the brand to extend the rerecording period in ten (10) year increments not to exceed one hundred (100) years upon payment of the appropriate fee as specified in W.S. 11-20-116(a).
  5. The owner of a brand declared delinquent under subsection (a) of this section may provide payment in full of the required recording fee and any delinquency fees at the time of brand inspection.

History. Laws 1895, ch. 23, § 7; R.S. 1899, § 1998; Laws 1909, ch. 44, § 9; C.S. 1910, § 2607; Laws 1913, ch. 126, § 1; C.S. 1920, § 3100; Laws 1923, ch. 41, § 1; 1925, ch. 9, § 1; R.S. 1931, § 67-212; Laws 1935, ch. 31, § 1; C.S. 1945, § 56-514; W.S. 1957, § 11-333; W.S. 1977, § 11-23-113; Laws 1978, ch. 32, § 1; 1994, ch. 96, § 1; 2001, ch. 26, § 1; 2010, ch. 69, § 203; 2013, ch. 13, § 1; 2020, ch. 76, § 1.

The 2010 amendment, effective July 1, 2010, in (b), deleted “Effective January 1, 2005” at the beginning.

The 2013 amendment, rewrote (a).

Laws 2013, ch. 13, § 3, makes the act effective immediately upon completion of all acts necessary for a bill to become law as provided by Article 4, Section 8 of the Wyoming Constitution. Approved February 12, 2013.

The 2019 amendments. —

The 2019 amendments. — The first 2019 amendment, by ch. 148 § 2, effective July 1, 2019, in (a), substituted “provided in W.S. 11-20-126 ” for “provided by subsection (b) of this section,” “by mail and electronic mail if provided” for “by mail,” and “two (2) years” for “two (2) years,” and added the sixth sentence; in (c), substituted “The term of the rerecording period shall not exceed ten (10) years and the method of renewal shall be established by the board. Every owner” for “After the rerecording periods established by the board under subsection (b) of this section, every owner,” and added “which shall be prorated by the board for any renewal of less than ten (10) years” at the end; and added (d) and (e).

The second 2019 amendment, by ch. 148 § 3, effective July 1, 2019, repealed (b), which read: “Every owner of a brand shall rerecord the brand. The term of the rerecording period shall not exceed the term established by this section and the method of renewal shall be established by the board. The renewal fee shall be as established by W.S. 11-20-116 and shall be prorated by the board for any renewal less than ten (10) years. The board shall promulgate rules and regulations necessary to carry out the provisions of this section.”

The third 2019 amendment, by ch. 186, § 4(a), effective July 1, 2019, in (d), substituted “a rerecording notice” for “any rerecording notice.”

The 2020 amendment, in (a) substituted “Every owner of a brand shall rerecord the brand according to the applicable time periods established by the board pursuant to subsection (c) of this section” for “Except as provided in W.S. 11-20-126 , every tenth year after recording a brand, every owner of a brand shall rerecord the brand,” “owner of the brand” for “party owning the brand” throughout; in (c) substituted “shall be in ten (10) year increments, not to exceed one hundred (100) years at the option of the owner of the brand. The renewal schedule” for “shall not exceed ten (10) years” and “brand pursuant to the renewal schedule established by the board” for “brand every ten (10) years”; in (d) substituted “option to the owner of the brand” for “option to a party,” “brands owned by the same person upon payment” for “brands that the party owns upon payment,” and “the term” for “the ten (10) year term,” and added the last sentence; and in (e) substituted “The owner of a brand” for “A party owning a brand.”

Laws 2020, ch. 76, § 3, makes the act effective immediately upon completion of all acts necessary for a bill to become law as provided by art. 4, § 8, Wyo. Const. Approved March 12, 2020.

Change of address. —

Subsection (a) implicitly requires a brand owner to inform the state livestock board of her whereabouts; the brand owner is in the best position to know her current address, and it is a simple matter for her to notify the board of any changes to her address. Tate v. Wyoming Livestock Bd., 932 P.2d 746, 1997 Wyo. LEXIS 29 (Wyo. 1997).

Due process. —

The state livestock board satisfied the due process rights of the owner of a livestock brand by mailing notice of the expiration date of the brand to the owner's prior address; the brand owner had failed to notify the board of her address change, thus making actual notice unfeasible. Tate v. Wyoming Livestock Bd., 932 P.2d 746, 1997 Wyo. LEXIS 29 (Wyo. 1997).

§ 11-20-116. Fees for renewal, transfer of ownership or alteration of brand; recording bill of sale deemed renewal.

  1. For renewing any brand previously recorded and issuing a certificate of renewal, the board shall charge not less than three hundred dollars ($300.00) for each ten (10) year period, provided that if the renewal is for more than fifty (50) years, the fee shall be not less than one hundred dollars ($100.00) for each ten (10) year period beyond fifty (50) years. The fee shall cover any additional species of livestock for which the brand was previously recorded.
  2. For recording a bill of sale or other  instrument transferring ownership of a recorded brand and issuing  a certificate of transfer, not less than one hundred dollars ($100.00)  shall be charged for each recorded brand.
  3. The recording of a bill of sale or other  instrument transferring ownership of a recorded brand during any renewal  period shall not serve as a renewal of the brand. Transfer of ownership  and renewal of a brand are separate transactions, for each of which  the appropriate fee will be collected.
  4. Repealed by Laws 1996, ch. 25, § 2.
  5. The fees collected pursuant to this section  shall be deposited in the account created by W.S. 11-20-405 .
  6. Repealed by Laws 2010, ch. 69, § 204.

History. Laws 1895, ch. 23, § 6; R.S. 1899, § 1999; C.S. 1910, § 2608; Laws 1913, ch. 126, § 1; C.S. 1920, § 3101; Laws 1925, ch. 48, § 1; R.S. 1931, § 67-213; Laws 1935, ch. 11, § 1; C.S. 1945, § 56-515; Laws 1953, ch. 39, § 3; W.S. 1957, § 11-334; Laws 1961, ch. 46, § 6; 1965, ch. 103, § 2; 1971, ch. 83, § 1; 1973, ch. 245, § 3; W.S. 1977, § 11-23-114; Laws 1978, ch. 32, § 1; 1981, ch. 18, § 1; 1994, ch. 96, § 1; 1996, ch. 25, § 2; 2006, ch. 39, § 2; 2007, ch. 105, § 1; 2010, ch. 69, § 204; 2020, ch. 76, § 1.

The 2006 amendment added (f).

Laws 2006 ch. 39, § 5, makes the act effective immediately upon completion of all acts necessary for a bill to become law as provided by art. 4, § 8, Wyo. Const. Approved March 10, 2006.

The 2007 amendment, effective July 1, 2007, in (a) substituted “not less than three hundred dollars ($300.00)” for “eighty dollars ($80.00)”; in (b) substituted “not less than one hundred dollars ($100.00)” for “fifty dollars ($50.00).”

The 2010 amendment, effective July 1, 2010, repealed former (f), which read: “Brand renewal, transfers or alterations under this section may be charged a surcharge pursuant to W.S. 11-20-405 .”

The 2020 amendment, in (a) added “for each ten (10) year period, provided that if the renewal is for more than fifty (50) years, the fee shall be not less than one hundred dollars ($100.00) for each ten (10) year period beyond fifty (50) years” at the end of the first sentence.

Laws 2020, ch. 76, § 3, makes the act effective immediately upon completion of all acts necessary for a bill to become law as provided by art. 4, § 8, Wyo. Const. Approved March 12, 2020.

§ 11-20-117. Use of unrecorded duplicate brands prohibited; penalties.

  1. It is unlawful for any person in Wyoming  to use an unrecorded brand for the purpose  of claiming ownership of or to identify livestock with  a brand not recorded in his name      except as otherwise provided in W.S. 11-20-125 .
  2. Anyone violating subsection (a) of this  section shall be punished as provided in W.S. 11-1-103 .

History. Laws 1939, ch. 49, §§ 1, 2; C.S. 1945, §§ 56-504, 56-505; Laws 1957, ch. 163, § 1; W.S. 1957, §§ 11-335, 11-336; W.S. 1977, §§ 11-23-115, 11-23-116; Laws 1978, ch. 32, § 1; 1981, ch. 98, § 2; 2013, ch. 13, § 1.

The 2013 amendment, rewrote (a).

Laws 2013, ch. 13, § 3, makes the act effective immediately upon completion of all acts necessary for a bill to become law as provided by Article 4, Section 8 of the Wyoming Constitution. Approved February 12, 2013.

§ 11-20-118. Drover's stock; to be kept separate.

Every stock drover shall keep his livestock separate and distinct from other livestock, and if his livestock becomes mixed with other livestock the stock drover shall forthwith separate the same and return any comingled livestock to their lawful owner.

History. Laws 1890, ch. 39, § 19; R.S. 1899, § 2005; C.S. 1910, § 2613; C.S. 1920, § 3106; R.S. 1931, § 67-218; C.S. 1945, § 56-521; W.S. 1957, § 11-338; W.S. 1977, § 11-23-118; Laws 1978, ch. 32, § 1; 2013, ch. 13, § 1.; ch. 13, § 1.

The 2013 amendment, added “and return any comingled livestock to their lawful owner.”

Laws 2013, ch. 13, § 3, makes the act effective immediately upon completion of all acts necessary for a bill to become law as provided by Article 4, Section 8 of the Wyoming Constitution. Approved February 12, 2013.

Cited in

Haskins v. Andrews, 12 Wyo. 458, 76 P. 588, 1904 Wyo. LEXIS 15 (1904).

§ 11-20-119. Drover's stock; liability for injury to property; exceptions.

Every stock drover shall prevent his livestock from trespassing upon the property of another and from damaging any irrigating ditch or public works. No drover or other person who in good faith removes or attempts to remove livestock from any road, highway or right-of-way is liable for any civil damages for acts or omissions in good faith.

History. Laws 1890, ch. 39, § 21; R.S. 1899, § 2005; C.S. 1910, § 2613; C.S. 1920, § 3106; R.S. 1931, § 67-218; C.S. 1945, § 56-523; W.S. 1957, § 11-339; Laws 1973, ch. 36, § 1; W.S. 1977, § 11-23-119; Laws 1978, ch. 32, § 1.

No duty imposed on off-duty police officer. —

There is no common law nor statutory duty which requires an off-duty police officer to corral or warn traffic of stray animals on or near a public roadway. Hill v. Park County, 856 P.2d 456, 1993 Wyo. LEXIS 125 (Wyo. 1993).

Am. Jur. 2d, ALR and C.J.S. references. —

Liability of owner of animal for damage to motor vehicle or injury to person riding therein resulting from collision with domestic animal at large in street or highway, 29 ALR4th 431.

Liability for personal injury or death caused by trespassing or intruding livestock, 49 ALR4th 710.

§ 11-20-120. Driving cattle from home range.

It is unlawful for any person to drive livestock away from its home range without authority from the owner of the livestock.

History. Laws 1890, ch. 39, § 20; R.S. 1899, § 2006; C.S. 1910, § 2614; C.S. 1920, § 3107; R.S. 1931, § 67-219; C.S. 1945, § 56-522; W.S. 1957, § 11-340; W.S. 1977, § 11-23-120; Laws 1978, ch. 32, § 1.

§ 11-20-121. Penalties for failure to comply with certain provisions.

Any person violating or failing to comply with the provisions of W.S. 11-20-102 , 11-20-110 or 11-20-118 through 11-20-120 shall be imprisoned in the county jail not exceeding six (6) months, or fined not less than twenty-five dollars ($25.00) or more than five hundred dollars ($500.00), or both.

History. Laws 1890, ch. 39, § 30; R.S. 1899, § 2015; C.S. 1910, § 2628; C.S. 1920, § 3117; R.S. 1931, § 67-228; C.S. 1945, § 56-529; W.S. 1957, § 11-345; W.S. 1977, § 11-23-125; Laws 1978, ch. 32, § 1; 1981, ch. 98, § 2.

§ 11-20-122. [Repealed.]

Repealed by Laws 1982, ch. 75, § 5; 1983, ch. 171, § 3.

Editor's notes. —

This section, which derived from Laws 1899, ch. 3, §§ 1 and 2, related to obtaining service from a bull.

§ 11-20-123. [Repealed.]

Repealed by Laws 2007, ch. 105, § 2.

Editor's notes. —

This section, which derived from Laws 1913, ch. 5, §§ 1, 2, related to the number of bulls required on open range; qualifications; penalties; obtaining service from a bull.

§ 11-20-124. [Repealed.]

Repealed by Laws 2001, ch 26, § 2.

Editor's notes. —

This section, which derived from Laws 1979, ch. 63, § 1, required owners to brand bison.

§ 11-20-125. Use of a seasonal brand; application for an annual permit to use an out-of-state brand.

  1. A person may apply to the board for permission  to use his out-of-state brand on cattle, horses, asses or mules, provided the brand is legally  registered in the state of origin. If a conflict is found with a registered  Wyoming brand the board, notwithstanding W.S. 11-20-104 and 11-20-117 and as established by rule and regulation, may authorize  use of the brand and require further identification. The permit shall  be valid for a one hundred eighty (180) day period during the calendar  year. The permit is not transferable. The annual fee for the permit  shall be the same as the fee for a new brand as prescribed in W.S. 11-20-103 . The permit may be issued and renewed annually if the  board finds the requirements of this section are met:
    1. The applicant shall agree to restrict  a permitted out-of-state brand on calves born to cattle imported for  grazing purposes, yearling, feeder or stocker cattle imported for  feeding or grazing or cattle consigned to a commercial feedlot. “Calves”  for purposes of this section means calves less than six (6) months  old and running at their mother’s sides;
    2. The applicant shall supply the brand inspector  proof of ownership of the cattle at the time of brand inspection and  shall show proof that the out-of-state brand is currently registered  either by brand card or brand certificate from the state of issue;  and
    3. If the permit is issued, the permittee  shall pay for all necessary brand inspections as prescribed by law.
  2. If there are written complaints to the  board from three (3) or more affected parties, the board shall investigate  the complaints and take appropriate action.
  3. The board may promulgate rules and regulations  necessary to carry out the provisions of this section.

History. Laws 2002, Sp. Sess., ch. 38, § 1; 2013, ch. 13, § 1.

The 2013 amendment, added “horses, asses or mules” in (a).

Laws 2013, ch. 13, § 3, makes the act effective immediately upon completion of all acts necessary for a bill to become law as provided by Article 4, Section 8 of the Wyoming Constitution. Approved February 12, 2013.

§ 11-20-126. Permanently recorded brand. [Repealed]

History. Laws 2019, ch. 148, § 1; Repealed by Laws 2020, ch. 76, § 2.

Article 2. Inspection for Brands and Ownership

Cross references. —

For definitions of terms used in this article, see § 11-20-101 .

Am. Jur. 2d, ALR and C.J.S. references. —

3 C.J.S. Agriculture §§ 3, 15 to 19, 23; 3A C.J.S. Animals §§ 16 to 30.

§ 11-20-201. Designation of contract services to implement brand inspection laws; bond required; bond of inspectors; interstate cooperative agreements.

  1. The board may designate an agency or contract  for services subject to rules and regulations of the board, to exercise  the rights, powers and duties provided by law with respect to inspection  of brands and ownership of the animals mentioned herein.
  2. The agency, or the board may contract for inspectors as the board deems necessary to carry out specified duties. The board may contract for inspectors through an individual at-will contract. The board may contract to provide the inspector salary, mileage, per diem and other necessary reimbursable expenses, membership in the state employees’ and officials’ group insurance plan in accordance with W.S. 9-2-3207(a)(xi)(F)(IV) and 9-3-207 , and the state retirement system in accordance with W.S. 9-2-3207(a)(xi)(F)(IV) and 9-3-412 . The board shall be authorized to establish mileage rates without regard to the limitations provided in W.S. 9-3-103 . During the time that inspectors are acting within the scope of their duties on behalf or in service of the state in their official capacity, inspectors are covered by the provisions of the Wyoming Governmental Claims Act, W.S. 1-39-101 through 1-39-120 , and the state self-insurance program, W.S. 1-41-101 through 1-41-111 . It may assign inspectors inside or outside of this state as it deems appropriate. A blanket bond or individual bonds shall be executed to the state with good and sufficient surety in an amount determined by the board, conditioned for the full and faithful performance and discharge of the inspector’s duties. The bond shall be approved by and filed in the office of the board.
  3. The board may enter into cooperative agreements  wherever economically feasible with the proper authorities of other  states for the enforcement and implementation of the Wyoming brand  laws. Brand inspections performed in accordance with such a cooperative  agreement is a Wyoming brand inspection within the meaning of the  brand inspection laws of this state. For purposes of this subsection,  the brand inspection need not be performed by a Wyoming brand inspector.

History. Laws 1949, ch. 59, § 22; 1953, ch. 70, § 2; W.S. 1957, § 11-371; Laws 1961, ch. 46, § 21; W.S. 1977, § 11-23-240; Laws 1978, ch. 32, § 1; 1979, ch. 21, § 1; 1990, ch. 87, § 2; 1991, ch. 36, § 1; ch. 183, § 1; 1994, ch. 96, § 1; 2000, ch. 29, § 1; 2021, ch. 56, § 3.

Cross references. —

As to authority of inspector or sheriff to seize and kill animals to ascertain mark or brand, see § 11-20-301 .

As to sale of carcass of animal killed to ascertain ownership by sheriff or inspector, see § 11-20-302 .

As to duty of inspectors as to hides and carcasses generally, see §§ 11-23-101 to 11-23-305 .

As to duties of inspectors relative to estrays generally, see §§ 11-24-101 to 11-24-115 .

The 2021 amendment substituted "9-2-3207(a)(xi)(F)(IV)" for "9-2-1022(a)(xi)(F)(IV)" twice in the second sentence of (b).

Laws 2021, ch. 56, § 7, makes the act effective immediately upon completion of all acts necessary for a bill to become law as provided by art. 4, § 8, Wyo. Const. Approved April 1, 2021.

Cited in

Peterson v. Wyoming Game & Fish Comm'n, 989 P.2d 113, 1999 Wyo. LEXIS 166 (Wyo. 1999); Estate of Harris v. Harris, 218 F.3d 1140, 2000 U.S. App. LEXIS 15704 (10th Cir. 2000).

§ 11-20-202. Duties of board; enforcement of provisions.

  1. Inspections for brands and ownership of  livestock, wool, pelts, hides or carcasses shall be made by the board  or its designated agency. The board shall prepare and provide all  forms required for inspections and recording inspections for brands  and ownership, and any substitutes or facsimiles are invalid. The  agency of the board shall keep on file in its office copies of inspection  certificates. The board shall make rules and regulations governing  inspections for brands and ownership as necessary, consistent with  the laws of Wyoming.
  2. The board shall enforce the brand inspection  provisions of this act. No agent of the board exercising ordinary  care and precaution in performing his duties is liable for any damage  or loss that may be incurred thereby. The immunity from liability provided by this section shall include  liability for damages alleged to have been caused by an agent’s efforts  to repair a fence.

History. Laws 1949, ch. 59, § 2; W.S. 1957, § 11-348; Laws 1961, ch. 46, § 7; W.S. 1977, § 11-23-201 ; Laws 1978, ch. 32, § 1; 2013, ch. 76, § 1.

The 2013 amendment, added the last sentence in (b).

Laws 2013, ch. 76, § 2, makes the act effective immediately upon completion of all acts necessary for a bill to become law as provided by art. 4, § 8, Wyo Const. Approved February 27, 2013.

Meaning of “this act.” —

For the definition of “this act,” referred to in this section, see § 11-20-101(a)(vii).

§ 11-20-203. Inspection of brands at time of delivery or removal; certificate required; lack thereof; emergency movement of livestock.

  1. Except as otherwise provided in this section or except as provided in W.S. 11-20-211 , 11-20-224 and 11-20-230 , it is unlawful for any person, firm, partnership, corporation,  or association to sell, change ownership or to remove or cause to  be removed in any way from any county in Wyoming to any other state  or country, any livestock unless each animal has been inspected for  brands and ownership at the time of delivery or removal by an authorized  Wyoming brand inspector and a proper certificate of inspection or  clearance has been issued.
  2. Repealed by Laws 2013, ch. 191, § 2.
  3. Except as otherwise provided in this section or except as provided in W.S. 11-20-211 , 11-20-217 , 11-20-224 and 11-20-230 , it is unlawful for any person, firm, partnership, corporation  or association to remove or cause to be removed in any way from any  county in Wyoming to any other county, any livestock unless each animal  has been inspected for brands and ownership at the time of delivery  or removal by an authorized Wyoming brand inspector and a proper certificate  of inspection or clearance has been issued, except where the board  has established brand inspection zones for each species of livestock.  Brand inspection zones may encompass an area based on multiple contiguous  counties or the entire state, as determined by the board. Brand inspection  zones shall be reviewed and reauthorized annually by the board and  shall be in effect for a calendar year.
  4. Notwithstanding any other provision  of this section, a person, firm, partnership, corporation or association  may move livestock to another county in this state in the case of  an emergency situation declared or recognized by the board or director.  If a livestock animal is moved under this subsection, the person moving  the animal shall notify the board or an agent of the board not later  than forty-eight (48) hours after the movement has occurred. Prior  to moving the livestock back to the original location or to any other  location, the person shall obtain an inspection of brands and ownership  and the board shall not charge a fee for the inspection. If livestock  will be moved across state lines in an emergency situation declared  or recognized by the board or director under this subsection, the  person, firm, partnership, corporation or association shall immediately  contact the board and follow the direction of the board for inspection  of brands and ownership. The board or director may declare an emergency  situation under this subsection at any time it is required for public  safety or the safety of livestock. If livestock is moved prior to  declaration of an emergency situation by the board or director, the  board or director may recognize the situation as an emergency situation  after the fact if it determines that any movement of livestock was  required for public safety or for the safety of livestock.
  5. No inspection for brands and ownership  is required if a change of ownership occurs solely due to:
    1. A legal name change of a person, firm,  partnership, corporation or association if the ownership of the firm,  partnership, corporation or association remains unchanged and the  brand is transferred to the new legal name;
    2. The transfer of a brand from an individual  or the individual and his spouse to a business entity if the individual  or the individual and his spouse are owners of a one hundred percent  (100%) interest in the business entity;
    3. A conversion of a business entity as  provided in W.S. 17-26-101;
    4. Marriage.

History. Laws 1949, ch. 59, §§ 1, 17; W.S. 1957, §§ 11-349, 11-355; Laws 1961, ch. 46, §§ 8, 11; 1967, ch. 97, § 1; W.S. 1977, §§ 11-23-202 , 11-23-205 ; Laws 1978, ch. 32, § 1; 2001, ch. 26, § 1; 2006, ch. 39, § 2; 2007, ch. 105, § 1; 2013, ch. 84, § 1; ch. 107, § 1; ch. 191, § 2.

Cross references. —

As to food safety system, see § 35-7-123 .

The 2006 amendment inserted “11-20-211” and “11-20-230.”

Laws 2006 ch. 39, § 5, makes the act effective immediately upon completion of all acts necessary for a bill to become law as provided by art. 4, § 8, Wyo. Const. Approved March 10, 2006.

The 2007 amendment, effective July 1, 2007, in (a) deleted “county,” preceding “state or country”; and added (c).

The 2013 amendments. — The first 2013 amendment, by ch. 84, § 1, effective July 1, 2013, added (d) ((e) in the reconciled version).

The second 2013 amendment, by ch. 107, § 1, in (a) and (c) substituted “otherwise” for “hereafter” following “Except as,” and added “in this section” following “provided;” in (b) added “Except as otherwise provided in this section” preceding “transporting livestock;” and added (d).

Laws 2013, ch. 107, § 2, makes the act effective immediately upon completion of all acts necessary for a bill to become law as provided by art. 4, § 8, Wyo Const. Approved February 27, 2013.

The third 2013 amendment, by ch. 191, § 2, effective July 1, 2013, repealed former (b), which read: “Transporting livestock across state lines without first having had such inspection and having obtained such certificates is prima facie evidence of intent to avoid inspection and to steal, take and carry away the animals and is punishable as provided in W.S. 6-3-402 .”

None of the amendments gave effect to the other and this section is set out as reconciled by the legislative service office.

Brand inspections and impact on sales. —

Statute and a section of the Wyoming Livestock Board Rules and Regulations do not mandate a conclusion that failure to have a brand inspection performed upon a sale or change of ownership voids the sale, or an A Form is the only or superior proof of title to cattle, and the Wyoming Livestock Board is in fact statutorily authorized to consider other documentation as proof of ownership; plaintiffs' retention of the A Forms for the disputed cattle did not definitively vest ownership in them, and in fact defendants held title to the disputed cattle, and plaintiffs' claims to the contrary failed. Gould v. Ochsner, 2015 WY 101, 354 P.3d 965, 2015 Wyo. LEXIS 117 (Wyo. 2015).

Entry onto land by brand inspector consistent with statutory authority. —

An involuntary bailment was created when the parents took their daughter to live elsewhere but kept her horse, and the parents, as involuntary bailees, had an absolute duty to return the property when the daughter terminated the bailment; consequently, the brand inspector's action in entering the parents' land to retrieve the daughter's horse for transfer to the daughter's agent was consistent with his statutory authority under Wyo. Stat. Ann. §§ 11-20-203(a), 205(a), 214(a), and constituted neither criminal trespass nor larceny. Hoblyn v. Johnson, 2002 WY 152, 55 P.3d 1219, 2002 Wyo. LEXIS 173 (Wyo. 2002), reh'g denied, 2002 Wyo. LEXIS 198 (Wyo. Nov. 5, 2002).

There was no Fourth Amendment violation because Wyoming brand inspection statutes, Wyo. Stat. Ann. §§ 11-20-203 and 11-20-205 , authorize the brand inspector to inspect the cattle where they are to be moved from one county to another and the regulatory seizure, specifically authorized by Wyo. Stat. Ann. §§ 11-24-101 and 11-24-102 , is designed to protect the urgent state interest of preventing trafficking in lost or stolen cattle, such that the brand inspector was not required to obtain a warrant. Stanko v. Mahar, 419 F.3d 1107, 2005 U.S. App. LEXIS 17323 (10th Cir. Wyo. 2005).

Applied in

Mendicoa v. State, 771 P.2d 1240, 1989 Wyo. LEXIS 100 (Wyo. 1989).

Quoted in

Estate of Harris v. Harris, 218 F.3d 1140, 2000 U.S. App. LEXIS 15704 (10th Cir. 2000).

§ 11-20-204. Inspector not to inspect his own livestock; penalty.

It is unlawful for any inspector to issue a certificate of inspection covering livestock owned by him or in which he has any financial interest, and any violation of this provision is punishable as a misdemeanor.

History. Laws 1978, ch. 32, § 1; W.S. 1977, § 11-23-240.

§ 11-20-205. Procedures generally; estrays.

  1. Except as otherwise provided, before selling,  changing ownership or removing any livestock from any county of Wyoming,  the person selling, changing ownership or intending to cause removal  shall notify the inspector of the date of the intended removal and  the time and place when and where the required inspection for brands  and ownership can be made. The inspection shall be made within a reasonable  time prior to shipment. The person in charge of the livestock shall  hold the livestock at the place designated until the livestock have  been inspected and an official certificate of inspection is issued.  The person in charge shall render the inspecting officer such assistance  as is practicable while the required inspection is being made.
  2. Upon being notified of the intention of  any person to sell, change ownership or remove from the county any  livestock when a prior inspection is required by law, the inspector  notified shall go to the place designated at the time agreed upon,  and make an inspection for brands and ownership of the livestock.
  3. The inspection shall only be done under  conditions that allow the inspector, at the sole discretion of the  inspector, to adequately view the livestock for the purpose of determining  brands. The inspector shall list by classes the livestock, showing  number of each class and all brands, together with the names of owners  of the brands, if known. The inspector may require from the person  in charge proof of ownership of the livestock to be removed from the  county, by brand record, bill of sale or the affidavits of at least  two (2) responsible citizens of the county who are not interested  financially in the animals. If ownership of any of the livestock is  not claimed by the person intending to remove them from the county,  then written authorization from the owner for such removal is required.
  4. Estrays, the ownership of which is unknown,  shall not be removed from the county except by order of the inspector  in accordance with W.S. 11-24-102 .
  5. No inspection for brands and ownership  is required if a change of ownership occurs solely due to:
    1. A legal name change of a person, firm,  partnership, corporation or association if the ownership of the person,  firm, partnership, corporation or association remains unchanged;
    2. The transfer of a brand from an individual  or the individual and his spouse to a business entity if the individual  or the individual and his spouse are owners of a one hundred percent  (100%) interest in the business entity;
    3. A conversion of a business entity as  provided in W.S. 17-26-101;
    4. Marriage.

History. Laws 1949, ch. 59, § 15; W.S. 1957, §§ 11-366, 11-373; Laws 1961, ch. 46, § 22; W.S. 1977, §§ 11-23-216, 11-23-241; Laws 1978, ch. 32, § 1; 1994, ch. 96, § 1; 2006, ch. 39, § 2; 2013, ch. 84, § 1.

The 2006 amendment, inserted “selling, changing ownership or” in (a) and (b); substituted “only be done under conditions that allow the inspector, at the sole discretion of the inspector, to adequately view the livestock for the purpose of determining brands” for “be made by daylight in such manner as to enable the inspecting officer to make a thorough and efficient inspection” in (c).

Laws 2006 ch. 39, § 5, makes the act effective immediately upon completion of all acts necessary for a bill to become law as provided by art. 4, § 8, Wyo. Const. Approved March 10, 2006.

The 2013 amendment, effective July 1, 2013, added (e).

Board's Authority. —

Statute and a section of the Wyoming Livestock Board Rules and Regulations do not mandate a conclusion that failure to have a brand inspection performed upon a sale or change of ownership voids the sale, or an A Form is the only or superior proof of title to cattle, and the Wyoming Livestock Board is in fact statutorily authorized to consider other documentation as proof of ownership; plaintiffs' retention of the A Forms for the disputed cattle did not definitively vest ownership in them, and in fact defendants held title to the disputed cattle, and plaintiffs' claims to the contrary failed. Gould v. Ochsner, 2015 WY 101, 354 P.3d 965, 2015 Wyo. LEXIS 117 (Wyo. 2015).

Entry onto land by brand inspector consistent with statutory authority. —

An involuntary bailment was created when the parents took their daughter to live elsewhere but kept her horse, and the parents, as involuntary bailees, had an absolute duty to return the property when the daughter terminated the bailment; consequently, the brand inspector's action in entering the parents' land to retrieve the daughter's horse for transfer to the daughter's agent was consistent with his statutory authority under Wyo. Stat. Ann. §§ 11-20-203(a), 205(a), 214(a), and constituted neither criminal trespass nor larceny. Hoblyn v. Johnson, 2002 WY 152, 55 P.3d 1219, 2002 Wyo. LEXIS 173 (Wyo. 2002), reh'g denied, 2002 Wyo. LEXIS 198 (Wyo. Nov. 5, 2002).

There was no Fourth Amendment violation because Wyoming brand inspection statutes, Wyo. Stat. Ann. §§ 11-20-203 and 11-20-205 , authorize the brand inspector to inspect the cattle where they are to be moved from one county to another and the regulatory seizure, specifically authorized by Wyo. Stat. Ann. §§ 11-24-101 and 11-24-102 , is designed to protect the urgent state interest of preventing trafficking in lost or stolen cattle, such that the brand inspector was not required to obtain a warrant. Stanko v. Mahar, 419 F.3d 1107, 2005 U.S. App. LEXIS 17323 (10th Cir. Wyo. 2005).

Cited in

Estate of Harris v. Harris, 218 F.3d 1140, 2000 U.S. App. LEXIS 15704 (10th Cir. 2000).

§ 11-20-206. Certificate of inspection generally; distribution of copies; failure to exhibit; justification to hold vehicle and livestock.

  1. Any inspector, upon completing an inspection  of livestock for brands and ownership, shall record the inspection  upon a form furnished by the Wyoming livestock board. When completed  and signed by the inspector and the owner of the livestock or the  owner’s designee, the form is a certificate of inspection authorizing  the removal from the county of the livestock listed. The inspector  shall deliver a copy of the certificate to the person in charge of  the livestock. If movement is to be by truck, a copy of the certificate  shall be delivered by the person in charge of the animals to the driver  or person in charge of the truck or trucks, and shall be kept in the  latter’s possession until the livestock are delivered at the final  destination as shown on the certificate of inspection, and shall be  exhibited upon request to any person authorized to enforce the brand  inspection laws of this state.
  2. Failure or refusal by the driver of any  vehicle to exhibit a certificate of inspection or a properly executed  shipper’s certificate and agreement or permit listing the livestock  being transported within the state, is justification for any authorized  person to hold the vehicle and the livestock, at the carrier’s or  the shipper’s expense, until the carrier establishes his right to  transport the livestock. If the carrier cannot establish his right  to transport the livestock within twelve (12) hours, the vehicle and  livestock shall be impounded as provided by W.S. 11-20-228 , pending complete investigation and disposition as provided  by law.

History. Laws 1949, ch. 59, § 16; W.S. 1957, §§ 11-374, 11-380; Laws 1961, ch. 46, § 23; W.S. 1977, §§ 11-23-242, 11-23-244; W.S. 1977, Laws 1978, ch. 32, § 1; 1981, ch. 98, § 2; 2007, ch. 105, § 1.

The 2007 amendment, effective July 1, 2007, in (a) substituted “the inspector and the owner of the livestock or the owner's designee” for “him” and deleted the third sentence.

§ 11-20-207. [Repealed.]

Repealed by Laws 1982, ch. 75, § 5; 1983, ch. 171, § 3.

Editor's notes. —

This section, which derived from Laws 1949, ch. 59, § 26, related to misconduct in office. For present similar provisions, see §§ 6-5-102 , 6-5-103 and 6-5-108 .

§ 11-20-208. Proof of prior ownership; penalties for furnishing false proof.

  1. When the proof of ownership inspection  is used, inspectors shall require proof of ownership of livestock  upon change of ownership as provided by W.S. 11-20-203(a) and an instrument evidencing such ownership shall be  delivered by the shipper to the inspector who shall attach it to the  form and return it to the agency.
  2. The furnishing of false proof of prior  ownership is probable cause for investigation of a felony offense  being committed. All livestock involved shall be remanded to the custody  of the Wyoming livestock board pending the outcome of the investigation  and criminal charges, if any. Costs incurred for maintenance of the  livestock involved shall be paid by the person who furnished false  proof of ownership. Should the investigation show the only offense  involved is furnishing false proof of ownership, the person furnishing  such false proof shall be fined not less than two hundred dollars  ($200.00) or more than seven hundred fifty dollars ($750.00) or imprisoned  for not more than six (6) months, or both.

History. Laws 1957, ch. 76, §§ 1, 2; W.S. 1957, §§ 11-381, 11-382; Laws 1961, ch. 46, § 26; W.S. 1977, §§ 11-23-245, 11-23-246; Laws 1978, ch. 32, § 1; 1981, ch. 98, § 2; 1990, ch. 87, § 2; 2002 Sp. Sess., ch. 9, § 1.

§ 11-20-209. When inspection not required.

No inspection for brands and ownership is required for livestock originating in another state, territory or country and being transported through Wyoming by common carrier or contract carrier in interstate commerce, without leaving the custody of the carrier.

History. Laws 1949, ch. 59, § 3; W.S. 1957, § 11-356; W.S. 1977, § 11-23-206 ; Laws 1978, ch. 32, § 1.

§ 11-20-210. When inspection not required; certain importations; compliance with health and quarantine regulations required.

Subject to conditions set forth in this section, no inspection for brands and ownership is required of livestock being imported into Wyoming if the livestock are transported or driven directly from point of entry into Wyoming to a destination within Wyoming and the person in charge of, or having custody of the livestock has in his possession written authority to transport or drive the livestock from the state, territory or country of origin to a destination in Wyoming and written evidence that all health and quarantine regulations of Wyoming have been complied with. Such written evidence shall be shown upon request to any officer authorized to enforce the brand inspection laws.

History. Laws 1949, ch. 59, § 4; W.S. 1957, § 11-357; W.S. 1977, § 11-23-207 ; Laws 1978, ch. 32, § 1.

§ 11-20-211. When inspection not required; contiguous range.

No inspection for brands and ownership is required for livestock being moved to their accustomed range which is on both sides of but contiguous to any county or state line, for the purpose of pasturing or feeding same. The word “contiguous” means actually touching, bordering or abutting upon, and this section shall not be construed to exempt from inspection livestock whose accustomed range is near or in close proximity but not contiguous to a state or county line.

History. Laws 1949, ch. 59, § 5; 1950, Sp. Sess., ch. 7, § 1; W.S. 1957, § 11-358; W.S. 1977, § 11-23-208; Laws 1978, ch. 32, § 1.

§ 11-20-212. In-state range movement permits.

  1. The board may issue an in-state range  movement permit for the movement of livestock from a location in Wyoming  to a noncontiguous location in another county provided the applicant  and the ranch meet the requirements of this subsection and criteria  established by rules of the board. The movement shall be for the purpose  of pasturing, grazing, feeding the livestock, veterinary care, commercial  lease or use or other board approved movement that is considered necessary  for normal ranch management operating conditions. The movement shall  not be for the purpose of changing ownership. A permit under this  section may be issued only to bona fide owners or Wyoming resident  lessees of qualified ranch lands headquartered within Wyoming or their  authorized employees. As used in this section, a qualified ranch means  a ranch that has been used for a period of time or purpose specified  by the board and which use can be verified by brand inspection records.  A permit may be denied by the board after a finding that the person  applying for a permit has violated a brand inspection or animal health law, including a provision  of this section, a board brand inspection or animal health rule or regulation or a board order.
  2. The fee imposed by W.S. 11-20-402 shall be collected at the time of the issuance of the  permit under this section. If a change of ownership occurs before  the livestock is returned to the county of origin pursuant to a permit  issued under this section, the owner shall notify a brand inspector  for an inspection of the livestock and shall pay all fees imposed  under W.S. 11-6-210 and 11-20-401 .
  3. Repealed by Laws 2010, ch. 69, § 204.
  4. The board shall promulgate rules and regulations  necessary to carry out the provisions of this section.
  5. Repealed by Laws 2013, ch. 13, §  2.

History. Laws 2002, Sp. Sess., ch. 78, § 1; 2007, ch. 105, § 1; 2010, ch. 69, § 204; 2013, ch. 13, §§ 1, 2.

The 2007 amendment, effective July 1, 2007, in (a), deleted the second sentence, which pertained to delivery of inspection certificate if movement is to be by railroad.

The 2010 amendment, effective July 1, 2010, repealed former (c), which read: “Each permit issued under this section shall be good for the calendar year in which it is issued unless sooner revoked for cause by the board. Permits shall be nontransferable. A permit may be suspended or revoked by the board after a finding that the person to whom the permit is granted has violated a brand inspection law, including a provision of this section or a board rule or regulation. If there are written complaints from three (3) or more affected parties to the board concerning the use of the permit, the board shall investigate the complaints and take appropriate action.”

The 2013 amendment, in (a), added “or animal health,” substituted “board brand inspection or animal health rule or regulation or a board order” for “or a board rule or regulation,” and repealed former (e), relating to rules and regulations promulgated prior to July 1, 2005, and made a punctuation change.

Laws 2013, ch. 13, § 3, makes the act effective immediately upon completion of all acts necessary for a bill to become law as provided by Article 4, Section 8 of the Wyoming Constitution. Approved February 12, 2013.

Repeals and recreations. —

Laws 2002, Sp. Sess., ch. 78, § 1, effective July 1, 2002, repealed and recreated former § 11-20-212 , relating to intrastate accustomed range permits for the movement of livestock from an accustomed range or ranch in one county to a noncontiguous accustomed range or ranch in another county, as present § 11-20-212 .

§ 11-20-213. [Repealed.]

Repealed by Laws 2007, ch. 105, § 2.

Editor's notes. —

This section, which derived from Laws 1965, ch. 98, § 2, related to the inspection of sheep to be conducted in state.

§ 11-20-214. Brand inspector may inspect at his discretion; voluntary inspections.

  1. A brand inspector may inspect livestock  being transported, trailed, pastured or confined at his discretion,  to determine ownership, without an inspection fee.
  2. Any person may request an inspection for  brands and ownership of livestock in his possession at any time. The  inspection fee prescribed by W.S. 11-20-401 shall be collected by the brand inspector.

History. Laws 1965, ch. 98, § 2; W.S. 1957, § 11-476.2; W.S. 1977, § 11-27-202; Laws 1978, ch. 32, § 1; 1990, ch. 87, § 2.

Entry onto land by brand inspector consistent with statutory authority. —

An involuntary bailment was created when the parents took their daughter to live elsewhere but kept her horse, and the parents, as involuntary bailees, had an absolute duty to return the property when the daughter terminated the bailment; consequently, the brand inspector's action in entering the parents' land to retrieve the daughter's horse for transfer to the daughter's agent was consistent with his statutory authority under Wyo. Stat. Ann. §§ 11-20-203(a), 205(a), 214(a), and constituted neither criminal trespass nor larceny. Hoblyn v. Johnson, 2002 WY 152, 55 P.3d 1219, 2002 Wyo. LEXIS 173 (Wyo. 2002), reh'g denied, 2002 Wyo. LEXIS 198 (Wyo. Nov. 5, 2002).

§ 11-20-215. [Repealed.]

Repealed by Laws 2007, ch. 105, § 2.

Editor's notes. —

This section, which derived from Laws 1949, ch. 59, § 7, related to the shipment by railroad; written permission of inspector required before moving; issuance; contents; copy to be filed with inspector.

§ 11-20-216. Procurement, form, contents and validity of truck-fleet shipment permit.

When a shipment of livestock is to be made in more than one (1) truck and the entire shipment is listed on one (1) certificate of inspection, or one (1) shipper’s certificate and agreement, or on any single permit required by law, the person in charge of the shipment shall obtain a truck-fleet shipment permit. The board shall prepare the form and contents of the permit. The permit is valid only for the shipment specified and on the date or dates shown.

History. Laws 1949, ch. 59, § 8; W.S. 1957, § 11-361; Laws 1961, ch. 46, § 14; W.S. 1977, § 11-23-211; Laws 1978, ch. 32, § 1.

§ 11-20-217. Certificates and agreements in lieu of inspection; generally; shipper's demand for inspection; penalty.

  1. Subject to conditions set forth in this  section, no prior inspection for brands and ownership is required  of horses, mules, cattle or sheep being or about to be transported  to any open market where Wyoming brand inspection is maintained whether  within or outside Wyoming.
  2. In lieu of an official inspection for  brands and ownership, the person proposing to remove livestock from  any county of Wyoming to any such open market shall fill out and sign  a certificate on a form approved by the board. The form shall include  an agreement providing that the livestock listed on the certificate  will not be diverted en route from the destination shown unless and  until an inspection for brands and ownership has been made by an authorized  Wyoming brand inspector, unless the diversion is to an open market  where Wyoming brand inspection is maintained or where a brand inspection  is made which substantially complies with the brand inspection laws  of this state pursuant to an agreement entered into under W.S. 11-20-201(c). It shall further provide that in case of diversion of  all or any part of the shipment the livestock diverted will be held  at some convenient place, separate and apart from other livestock,  until inspected, and the shipper will pay the necessary expenses incurred  by the inspector and the legal inspection fees. The board shall establish  a fee to be charged for use of the form authorized by this section.  The fee for this form shall not exceed one dollar ($1.00) per head.  The form authorized by this section shall not be issued until all  fees required by W.S. 11-6-210 have been paid in full and may be collected at the time  the form is issued by the issuing party. A blanket bond or individual  bonds shall be executed to the state with good and sufficient surety  in an amount determined by the board, conditioned for the full and  faithful performance of any issuer of the forms and collecting of  fees pursuant to this section.
  3. Except on demand of the shipper, the inspector  is not required to inspect any horses, mules, cattle or sheep, consigned  directly to any open market where Wyoming brand inspection is maintained.  If the shipper demands a prior inspection, the inspection shall be  made and the legal inspection fee charged and collected. Inspection  at point of origin does not exempt the shipment from inspection for  brands and ownership, nor the shipper from payment of inspection fees  at the open market destination.
  4. The form authorized by this section may  be denied, suspended or revoked by the board after proper hearing  as provided by the Wyoming Administrative Procedure Act, and a finding  that the person to whom the permit is granted has violated any of  the brand inspection laws.

History. Laws 1949, ch. 59, § 9; 1951, ch. 14, § 2; W.S. 1957, § 11-362; Laws 1961, ch. 46, § 15; W.S. 1977, § 11-23-212; Laws 1978, ch. 32, § 1; 1990, ch. 87, § 2; 1991, ch. 36, § 1; 1994, ch. 96, § 1; 1995, ch. 165, § 1.

Wyoming Administrative Procedure Act. —

See § 16-3-101(a), (b)(xi).

§ 11-20-218. [Repealed.]

Repealed by Laws 2007, ch. 105, § 2.

Editor's notes. —

This section, which derived from Laws 1949, ch. 59, § 10, related to copies of certificates and agreements furnished by livestock board to railroad agents.

§ 11-20-219. Certificates and agreements in lieu of inspection; filing and distribution of copies.

  1. After a certificate and agreement listing  a shipment of horses, mules, cattle or sheep to be transported by  common or contract carrier has been filled out, signed and witnessed,  a copy shall accompany the shipment.
  2. A copy of the certificate and agreement  listing horses, mules, cattle or sheep to be transported by private  carrier shall be retained by the owner or his agent until the animals  have been delivered at the destination shown and shall then be delivered  by him to the Wyoming brand inspector at the destination.
  3. A copy of the certificate and agreement  listing horses, mules, cattle or sheep being transported shall be  shown upon request, to any person authorized to enforce the brand  inspection laws.

History. Laws 1949, ch. 59, § 11; W.S. 1957, § 11-364; Laws 1961, ch. 46, § 17; W.S. 1977, § 11-23-214; Laws 1978, ch. 32, § 1; 1995, ch. 165, § 1.

§ 11-20-220. Diverted shipments; notice thereof.

Should any shipment or any part of a shipment of horses, mules, cattle or sheep listed on a certificate and agreement consigned to an open market be diverted en route from the destination shown, the railroad, trucking firm, trucker or private carrier transporting the shipment shall notify the Wyoming brand inspector at the original destination and the agency that such diversion has been ordered and made. The notice shall be sent within twenty-four (24) hours after diversion is ordered. If the diversion is ordered and made before the shipment leaves Wyoming, the required inspection for brands and ownership shall be made by any Wyoming brand inspector. If the shipment has left Wyoming, the inspection shall be made by a brand inspector having authority to inspect Wyoming livestock outside the state.

History. Laws 1949, ch. 59, § 12; W.S. 1957, § 11-365; Laws 1961, ch. 46, § 18; W.S. 1977, § 11-23-215; Laws 1978, ch. 32, § 1; 1995, ch. 165, § 1.

§ 11-20-221. Common carriers not to receive livestock for transportation without certificate.

Except as otherwise provided, it is unlawful for any railroad, trucker or other common or contract carrier, or any person to receive for transportation or to transport any horses, mules, cattle or sheep from any county in Wyoming to any other county, state, territory or country, until furnished with an official certificate of inspection, filled out and signed by an authorized inspector, showing the horses, mules, cattle or sheep to be transported have been inspected for brands and ownership.

History. Laws 1949, ch. 59, § 13; W.S. 1957, § 11-367; Laws 1961, ch. 46, § 20; W.S. 1977, § 11-23-217; Laws 1978, ch. 32, § 1; 1995, ch. 165, § 1.

§ 11-20-222. Unbranded calves; inspection at request of stockman; fee.

All calves unbranded or wearing unpealed brands shall be shown to the inspector at the point of origin and at their mother’s side, upon written request of a bona fide Wyoming stockman from the immediate area to the district brand supervisor of that area, made at least five (5) days prior to shipment, or upon request of an authorized brand inspector. When inspection is requested, it shall be made immediately before loading and shipping the calves. The seller or shipper shall report to the inspector the name and address of the owner and shipper at destination of shipment, mode of transportation and the name and address of the consignee. The inspector shall record and file the same with the board or its agency. If shipment is to a market where Wyoming brand inspection is maintained, the usual fee shall be charged for sale ring inspection.

History. Laws 1965, ch. 60, § 2; W.S. 1957, § 11-370.2; W.S. 1977, § 11-23-220; Laws 1978, ch. 32, § 1.

§ 11-20-223. Out-of-state accustomed range permits.

  1. The board may issue an out-of-state accustomed  range permit for the movement of livestock from an accustomed range  or ranch in Wyoming to a noncontiguous accustomed range or ranch in  another state provided the applicant and the accustomed range meet  the requirements of this subsection and criteria established by rules  of the board. The movement shall be for the purpose of pasturing,  grazing, ranging or feeding the livestock or other board approved  movement that is considered necessary for normal ranch management  operating conditions. The movement shall not be for the purpose of  changing ownership. A permit under this section may be issued only  to bona fide owners or Wyoming resident lessees of ranch lands headquartered  within Wyoming or their authorized employees. As used in this section,  an “out-of-state accustomed range or ranch” means a range or ranch  that has been used for a period of time or purpose specified by the  board and which use can be verified by brand inspection records. A  permit may be denied by the board after a finding that the person  applying for a permit has violated a brand inspection law, including  a provision of this section or a board rule or regulation.
  2. No person shall move animals pursuant  to a permit under this section until a brand inspector has inspected  the animals and collected the fee imposed by W.S. 11-20-402 . The owner of livestock moved under the permit shall  attest in writing that it is intended that the livestock shall be  returned to this state prior to a change in ownership. If a change  of ownership occurs before the livestock are returned to this state,  the owner shall notify the brand inspector who performed the inspection  and shall pay all fees imposed under W.S. 11-6-210 and 11-20-401 with credit granted for any fee imposed by W.S. 11-20-402 (a)(viii).
  3. Repealed by Laws 2010, ch. 69, § 204.
  4. The board shall promulgate rules and regulations  necessary to carry out the provisions of this section.
  5. Repealed by Laws 2013, ch. 13 § 2.

History. Laws 2002, Sp. Sess., ch. 25, § 1; 2010, ch. 69, § 204; 2013, ch. 13, § 2.

The 2010 amendment, effective July 1, 2010, repealed former (c), which read: “Each permit issued under this section shall be good for the calendar year in which it is issued unless sooner revoked for cause by the board. Permits shall be nontransferable. A permit may be suspended or revoked by the board after a finding that the person to whom the permit is granted has violated a brand inspection law, including a provision of this section, or a board rule or regulation. If there are written complaints from three (3) or more affected parties to the board concerning the use of the permit, the board shall investigate the complaints and take appropriate action.”

The 2013 amendment repealed former (e), relating to rules and regulations promulgated prior to July 1, 2004.

Laws 2013, ch. 13, § 3, makes the act effective immediately upon completion of all acts necessary for a bill to become law as provided by Article 4, Section 8 of the Wyoming Constitution. Approved February 12, 2013.

Repeals and recreations. —

Laws 2002, Sp. Sess., ch. 25, § 1, effective July 1, 2002, repealed and recreated former § 11-20-223 , relating to rules regarding permits for moving animals to an out-of-state accustomed range, as present § 11-20-223 .

§ 11-20-224. Permanent brand inspection certificate; application; surrender to board.

The owner of livestock used for rodeo, show, racing, pleasure or Wyoming farm or ranch work purposes may obtain a permanent brand inspection certificate authorizing movement of the livestock intrastate or interstate, valid for the life of the livestock or until a change of ownership takes place, upon approval of a proper application in writing by an authorized Wyoming brand inspector. The application shall contain, or be accompanied by, valid proof of ownership of the livestock by the applicant, and shall include a thorough physical description including all brands carried by the livestock and all distinguishing marks or markings. The possession of a valid permanent brand inspection certificate shall constitute prima facie evidence of ownership. Upon any change in ownership the certificate is void.

History. Laws 1949, ch. 59, § 18; 1953, ch. 70, § 1; W.S. 1957, § 11-350; Laws 1961, ch. 46, § 9; 1965, ch. 61, § 1; 1971, ch. 41, § 1; ch. 85, § 1; 1976, ch. 4, § 1; W.S. 1977, § 11-23-203 ; Laws 1978, ch. 32, § 1; 1994, ch. 96, § 1; 2007, ch. 105, § 1.

The 2007 amendment, effective July 1, 2007, substituted “include” for “state” preceding “a thorough physical description”, in the last sentence deleted “, the owner shall transfer in writing the permanent brand inspection certificate to the new owner who shall obtain an inspection within 7 (seven) days of the transfer, or” and deleted “and shall be immediately surrendered to the board.”

Editor's notes. —

Laws 2007, ch. 105, § 3, states as follows: “The brand recording and inspection fees specified in this act shall remain at the levels in effect on July 1, 2007, and shall not be adjusted before December 31, 2007. After December 31, 2007, the board may adjust the fees specified in this act subject to the limitations specified in W.S. 11-20-408(b).”

§ 11-20-225. Annual horse brand inspection certificate; surrender to board; fee.

  1. The owner of a horse or livestock used  for rodeo, show, racing, pleasure or farm or ranch work in Wyoming  which is permanently and individually identified may obtain an annual  brand inspection certificate, authorizing movement from county to  county within Wyoming, valid for one (1) year from date of issuance  unless sooner terminated by a change in ownership of the horse described  therein. Upon any change of ownership the certificate is void and  must be immediately surrendered to the board.
  2. Repealed by Laws 2001, ch. 26, § 2.
  3. For each permit issued under this section  there shall be charged an inspection fee established by W.S. 11-20-402(a)(vi).

History. Laws 1955, ch. 124, § 1; W.S. 1957, § 11-353; Laws 1961, ch. 46, § 10; W.S. 1977, § 11-23-204 ; Laws 1978, ch. 32, § 1; 1983, ch. 43, § 1; 1990, ch. 87, § 2; 1994, ch. 96, § 1; 2001, ch. 26, §§ 1, 2.

Cross references. —

For definition of “board,” see § 11-20-101 .

As to general duties of board in regard to inspection for brands and ownership, see § 11-20-202 .

§ 11-20-226. Certificates to be signed and in possession.

The inspection certificate and movement permit issued pursuant to W.S. 11-20-224 or 11-20-225 is not valid unless signed by an authorized representative of the board and by the permit holder. The certificate shall be in the possession of the person transporting the horse and shall be shown on request to any person authorized to enforce the brand inspection laws.

History. Laws 1955, ch. 124, § 1; W.S. 1957, § 11-353; Laws 1961, ch. 46, § 10; W.S. 1977, § 11-23-204 ; Laws 1978, ch. 32, § 1; 2007, ch. 105, § 1.

The 2007 amendment, effective July 1, 2007, substituted “shall” for “must” twice and deleted the last sentence.

§ 11-20-227. Fraudulent use of inspection certificate and movement permit; penalties.

Fraudulent use of an inspection certificate and movement permit issued pursuant to W.S. 11-20-224 , 11-20-225 or 11-20-230 is punishable by a fine of not more than one hundred dollars ($100.00) or by imprisonment for not more than thirty (30) days, or both. The fraudulent use of an inspection certificate and movement permit issued pursuant to W.S. 11-20-224 , 11-20-225 or 11-20-230 is probable cause to investigate the commission of a felony, and the provisions of W.S. 11-20-228 may be invoked pending the outcome of the investigation and court proceedings, if any.

History. Laws 1949, ch. 59, § 18; 1953, ch. 70, § 1; W.S. 1957, § 11-350; Laws 1961, ch. 46, § 9; 1965, ch. 61, § 1; 1971, ch. 41, § 1; ch. 85, § 1; 1976, ch. 4, § 1; W.S. 1977, § 11-23-203 ; Laws 1978, ch. 32, § 1; 1981, ch. 98, § 2; 2006, ch. 39, § 2.

The 2006 amendment, inserted “or 11-20-230 ” in two places and made related changes.

Laws 2006 ch. 39, § 5, makes the act effective immediately upon completion of all acts necessary for a bill to become law as provided by art. 4, § 8, Wyo. Const. Approved March 10, 2006.

§ 11-20-228. Impounding of vehicles; lien.

Any vehicle used in the transportation of livestock in violation of this act may be impounded pending determination of the violation by a court. Upon conviction of the owner of the vehicle, or the owner of the livestock being transported, any expense incurred by an authorized officer for towing the vehicle or for feed and care of the livestock is a lien upon the vehicle or livestock until the expenses are paid in full.

History. Laws 1949, ch. 59, § 2; W.S. 1957, § 11-348; Laws 1961, ch. 46, § 7; W.S. 1977, § 11-23-201 ; Laws 1978, ch. 32, § 1.

Meaning of “this act.” —

For the definition of “this act,” referred to in this section, see § 11-20-101(a)(vii).

§ 11-20-229. Penalties for violation of certain provisions.

Any violation of the provisions of W.S. 11-20-202 through 11-20-226 and 11-20-230 for which there is no specific penalty prescribed is punishable as provided in W.S. 11-1-103 .

History. Laws 1965, ch. 60, § 3; W.S. 1957, § 11-370.3; W.S. 1977, § 11-23-221; Laws 1978, ch. 32, § 1; 1981, ch. 98, § 2; 1992, ch. 17, § 1; 2006, ch. 39, § 2.

The 2006 amendment, inserted “and 11-20-230 .”

Laws 2006 ch. 39, § 5, makes the act effective immediately upon completion of all acts necessary for a bill to become law as provided by art. 4, § 8, Wyo. Const. Approved March 10, 2006.

§ 11-20-230. Livestock seed stock and exhibitors permit; fees; transfers; reports; enforcement.

  1. Any Wyoming livestock producer who raises  and markets livestock for the purpose of providing breeding seed stock  or exhibition animals, as defined by the board for purposes of this  section, may apply to the board for a livestock seed stock or exhibition  stock permit. The fee shall be fifty dollars ($50.00) per permit.  The permit shall be valid for the calendar year issued and no transactions  or shipments shall be authorized until a permit has been issued.
  2. After receiving a certificate of inspection  from a Wyoming brand inspector, the livestock producer may sell or  change ownership of the livestock provided the livestock are branded  with the livestock producer’s recorded Wyoming brand and the animals  can be individually identified by a board approved method. The livestock  may then be legally shipped or removed from any county in Wyoming  to any other county, state or country, provided they are accompanied  by a board authorized bill of sale and a board issued fleet permit  which references the prior certificate of inspection pursuant to W.S. 11-20-216 .
  3. The permit holder shall report all transactions  and movements and shall pay any applicable fees authorized pursuant  to W.S. 11-6-210 , 11-37-106 and 11-37-107 to the brand inspector who issued the original brand  certificate, or any other designated agent of the board, within three  (3) working days of the transaction.
  4. Failure to comply with this section or  any other applicable law or board rule shall be grounds for the revocation  of the permit and shall be punished pursuant to W.S. 11-1-103 . Providing false proof of ownership shall be grounds  for the revocation of the permit and shall be punished pursuant to W.S. 11-20-208 . All livestock covered under the permit authorized under  this section are subject to reinspection by a board authorized brand  inspector and any applicable fees shall be assessed.

History. Laws 2006, ch. 39, § 1.

Effective dates. —

Laws 2006, ch. 39, § 5, makes the act effective immediately upon completion of all acts necessary for a bill to become law as provided by art. 4, § 8, Wyo. Const. Approved March 10, 2006.

Appropriations. —

Laws 2006, ch. 39, § 4, appropriates from the general fund fifty thousand dollars ($50,000.00), or as much thereof as is necessary, to the Wyoming livestock board for the expenses of the task force created by this act.

Article 3. Killing Animals to Ascertain Ownership

Cross references. —

For definition of the term “inspectors,” see § 11-20-101 .

As to criminal offenses concerning livestock and other animals, see §§ 11-30-104 and 11-30-106 to 11-30-115 .

Am. Jur. 2d, ALR and C.J.S. references. —

4 Am. Jur. 2d Animals § 1 et seq.

3A C.J.S. Animals §§ 10, 16 to 30, 123 to 169, 320 to 323.

§ 11-20-301. When authorized.

If in the opinion of any authorized brand inspector or sheriff a mark or brand upon any livestock has been fraudulently altered, obliterated or defaced so the original mark or brand cannot be determined by external inspection, the brand inspector or sheriff may seize and kill the animal to ascertain the mark or brand altered or defaced.

History. Laws 1931, ch. 18, § 1; R.S. 1931, § 67-301; C.S. 1945, § 56-1001; W.S. 1957, § 11-395; W.S. 1977, § 11-23-401; Laws 1978, ch. 32, § 1.

§ 11-20-302. Sale of carcass.

The carcass of any animal killed except such part as is retained for evidence, shall be promptly sold at public or private sale by the stock inspector or sheriff, and the proceeds paid into the general fund of the county in which the animal was killed.

History. Laws 1931, ch. 18, § 3; R.S. 1931, § 67-303; C.S. 1945, § 56-1003; W.S. 1957, § 11-397; W.S. 1977, § 11-23-403; Laws 1978, ch. 32, § 1.

Cross references. —

As to hides and carcasses, see §§ 11-23-101 to 11-23-305 .

Article 4. Inspection Fees and Taxes

Cross references. —

For definitions of terms used in this article, see § 11-20-101 .

§ 11-20-401. Brand inspection fees generally.

  1. Except as otherwise provided, each livestock  inspector shall at the time of inspecting for brands and ownership  collect inspection fees in an amount established by the livestock  board but not less than:
    1. One dollar and twenty-five cents ($1.25)  per head on all cattle including unbranded animals, and including  the hide or carcass;
    2. Twenty-five cents ($0.25) per head on  all sheep, including any hide or carcass;
    3. Nine dollars ($9.00) per head for the  first ten (10) head of horses, asses or mules inspected, including  any hide or carcass and one dollar and twenty-five cents ($1.25) for  each additional horse, hide or carcass inspected at the same time  and place; and
    4. A six dollar and twenty-five cent ($6.25)  surcharge per inspection by the livestock inspector. The livestock  board shall promulgate rules and regulations to identify conditions  under which this surcharge may be waived.
  2. Repealed by Laws 2010, ch. 69, § 204.
  3. The board may allow the inspection, permitting, payment  and reporting requirements of this chapter to be conducted electronically  as provided by the Uniform Electronic Transactions Act, W.S. 40-21-101 through 40-21-119 , and any applicable federal electronic requirements.

History. Laws 1949, ch. 59, § 18; 1953, ch. 70, § 1; W.S. 1957, § 11-350; Laws 1961, ch. 46, § 9; 1965, ch. 61, § 1; ch. 98, § 3; 1971, ch. 41, § 1; ch. 85, § 1; 1976, ch. 4, § 1; W.S. 1977, § 11-23-203 ; Laws 1978, ch. 32, § 1; 1990, ch. 87, § 2; 1994, ch. 96, § 1; 1996, ch. 25, § 1; 2006, ch. 39, § 2; 2007, ch. 105, § 1; 2010, ch. 61, § 1; ch. 69, § 204; 2013, ch. 13, § 1.

The 2006 amendment, added the proviso at the end of (a)(iv); and added (b).

Laws 2006 ch. 39, § 5, makes the act effective immediately upon completion of all acts necessary for a bill to become law as provided by art. 4, § 8, Wyo. Const. Approved March 10, 2006.

The 2007 amendment, effective July 1, 2007, in (a) substituted “less than” for “to exceed” at the end of the introductory paragraph; in (a)(i) substituted “One dollar and twenty-five cents ($1.25)” for “One dollar ($1.00)”; in (a)(ii) substituted “Twenty-five cents ($0.25)” for “Twenty cents ($0.20)”, inserted “, goats, llamas and alpacas” preceding “including any hide” and deleted “, except unbranded and undocked lambs running with their mothers; and”; in (a)(iii) substituted “Nine dollars ($9.00)” for “Seven dollars ($7.00)”, inserted “, asses or mules” preceding “inspected, including any”, substituted “one dollar and twenty-five cents ($1.25)” for “one dollar ($1.00)”; in (a)(iv) “A six dollar and twenty-five cent ($6.25)” for “Five dollar ($5.00)” and rewrote the second sentence.

The 2010 amendments. —

The first 2010 amendment, by ch 61, § 1, substituted “all sheep, including” for “all sheep, goats, llamas and alpacas, including” in (a)(ii).

The second 2010 amendment, by ch 69, § 204, effective July 1, 2010, repealed former (b), which read: “Inspections under this section may be charged a surcharge pursuant to W.S. 11-20-405(c).”

Laws 2010, ch. 61, § 2, makes the act effective immediately upon completion of all acts necessary for a bill to become law as provided by art. 4, § 8, Wyo. Const. Approved March 8, 2010.

While neither amendment gave effect to the other, both have been given effect in this section as set out above.

The 2013 amendment, added (c).

Laws 2013, ch. 13, § 3, makes the act effective immediately upon completion of all acts necessary for a bill to become law as provided by Article 4, Section 8 of the Wyoming Constitution. Approved February 12, 2013.

Editor's notes. —

Laws 2007, ch. 105, § 3, states as follows: “The brand recording and inspection fees specified in this act shall remain at the levels in effect on July 1, 2007, and shall not be adjusted before December 31, 2007. After December 31, 2007, the board may adjust the fees specified in this act subject to the limitations specified in W.S. 11-20-408(b).”

§ 11-20-402. Miscellaneous inspection fees.

  1. Except as otherwise provided, the board  shall establish and, through its authorized inspectors, shall collect  fees for the following of not less than:
    1. Repealed by Laws 2007, ch. 105, § 2.
    2. Repealed by Laws 1996, ch. 25, § 2.
    3. One dollar and twenty-five cents ($1.25)  for each certificate issued to a hide buyer as required by W.S. 11-23-204 ;
    4. Repealed by Laws 1996, ch. 25, § 2.
    5. Fifteen dollars ($15.00) for each permanent  brand inspection and movement permit issued pursuant to W.S. 11-20-224 ;
    6. Twelve dollars ($12.00) for the first  ten (10) head of livestock inspected and one dollar and fifty cents  ($1.50) for each additional head inspected under the annual brand  inspection and movement permit issued pursuant to W.S. 11-20-225 ;
    7. Repealed by Laws 1990, ch. 87, § 3.
    8. For an accustomed range permit under W.S. 11-20-223 , an amount equal to twenty-five percent (25%) of the  inspection fees as established by the board pursuant to W.S. 11-20-401(a)(i) through (iii);
    9. A six dollar and twenty-five cent ($6.25)  surcharge per inspection by the livestock inspector. The livestock  board shall promulgate rules and regulations to identify conditions  under which this surcharge may be waived;
    10. The fee for an accustomed range permit  under W.S. 11-20-212 , of not less than fifty dollars ($50.00);
    11. Actual hourly cost plus mileage for any  nonmandatory inspections requested by a livestock owner. The hourly  cost shall be as determined by the board and the mileage cost shall  be as provided by W.S. 9-3-103 .
  2. Repealed by Laws 2010, ch. 69, § 204.
  3. The board may establish and, through its  authorized inspectors, collect fees from the livestock owner or other  responsible party not to exceed the actual cost of any additional  necessary reimbursable expenses including transportation, supplies  or equipment rental relating to services required by the board. “Reimbursable  expenses” for the purposes of this subsection shall mean expenses  necessary to provide for the immediate safety of the public and livestock  for which the board has authority. This subsection shall not apply  to those services authorized under W.S. 11-20-401 .

History. Laws 1921, ch. 134, § 3; 1929, ch. 39, § 1; R.S. 1931, §§ 67-618, 67-1703; Laws 1937, ch. 47, § 12; C.S. 1945, §§ 56-912, 56-1101, 56-1203; Laws 1949, ch. 59, § 18; ch. 139, § 4; 1951, ch. 116, § 3; 1953, ch. 49, § 3; ch. 70, § 1; 1957, ch. 175, § 1; W.S. 1957, §§ 11-350, 11-378, 11-415, 11-421, 11-438, 11-446; Laws 1961, ch. 46, §§ 9, 31, 35, 40, 45; 1971, ch. 41, § 1; 1973, ch. 245, § 3; 1976, ch. 4, § 1; W.S. 1977, §§ 11-23-203 , 11-23-243; Laws 1978, ch. 32, § 1; 1990, ch. 87, §§ 2, 3; 1994, ch. 96, § 1; 1995, ch. 152, § 1; 1996, ch. 25, § 2; 2006, ch. 39, § 2; 2007, ch. 105, §§ 1, 2; 2009, ch. 3, § 1; 2010, ch. 69, § 204.

The 2006 amendment, in (a), added the proviso at the end of (ix). added (xi); and added (b).

Laws 2006 ch. 39, § 5, makes the act effective immediately upon completion of all acts necessary for a bill to become law as provided by art. 4, § 8, Wyo. Const. Approved March 10, 2006.

The 2007 amendment, effective July 1, 2007, in (a) inserted “fees for” following “inspectors, shall collect” and substituted “of not less than” for “fees for services rendered but not to exceed”; in (a)(iii), substituted “One dollar twenty-five cents ($1.25)” for “One dollars ($1.00)”; in (a)(v), substituted “Fifteen dollars ($15.00)” for “Twelve dollars ($12.00)”; in (a)(vi) substituted “Twelve dollars” for “Seven dollars ($7.00) per hour,” inserted “of livestock” preceding “inspected and,” substituted “one dollar and fifty cent ($1.50)” for “one dollars ($1.00)” and deleted “horse” preceding “brand inspection”; rewrote (a)(viii); rewrote (a)(ix); in (x) substituted “The fee for” for “For”, deleted “a fee” following “W.S. 11-20-212 ,” substituted “not less than fifty dollars” for “twenty-five dollars ($25.00)” and repealed former (a)(i), which read: “For health inspection of livestock offered for sale through a livestock market the inspection fee shall be fixed by rules of the board.”

The 2009 amendment, effective July 1, 2009, added (c).

The 2010 amendment, effective July 1, 2010, repealed former (b), which read: “Inspections under this section may be charged a surcharge pursuant to W.S. 11-20-405(c).”

Editor's notes. —

Laws 2007, ch. 105, § 3, states as follows: “The brand recording and inspection fees specified in this act shall remain at the levels in effect on July 1, 2007, and shall not be adjusted before December 31, 2007. After December 31, 2007, the board may adjust the fees specified in this act subject to the limitations specified in W.S. 11-20-408(b).”

§ 11-20-403. [Repealed.]

Repealed by Laws 1990, ch. 87, § 3.

Cross references. —

As to brand inspection fees generally, see § 11-20-401 .

Editor's notes. —

This section, which derived from Laws 1943, ch. 23, §§ 1 and 2, related to a special annual tax levied on livestock.

§ 11-20-404. Report of receipts and expenses.

  1. The board shall on or before the first  Monday in August each year present a written report to the director  of the state department of audit, which shall contain:
    1. A statement of funds received from inspection  fees and other fees collected under W.S. 11-20-201 through 11-20-230 , 11-20-401 and 11-20-402 ;
    2. A statement of expenses of inspection,  including salaries and expenses of inspectors, and that part of the  expense of the agency, if any, incurred in administering the brand  inspection laws;
    3. The amount by which inspection expenses  have exceeded the revenues for the fiscal year ending June 30;
    4. An estimate of future expenses for the  forthcoming year, which will become due and payable prior to the receipt  of the amounts provided for herein to pay them.
  2. Repealed by Laws 1990, ch. 87, § 3.

History. Laws 1943, ch. 25, § 2; C.S. 1945, § 56-709; W.S. 1957, § 11-390; Laws 1961, ch. 46, § 27; 1965, ch. 43, § 1; ch. 151, § 1; 1976, ch. 4, § 1; W.S. 1977, § 11-23-308; Laws 1978, ch. 32, § 1; 1990, ch. 87, §§ 2, 3; 1991, ch. 240, § 1; 1994, ch. 61, § 2; 2006, ch. 39, § 2.

The 2006 amendment substituted “August” for “June” in the introductory language of (a); substituted “11-20-230” for “11-20-229” in (a)(i).

Laws 2006 ch. 39, § 5, makes the act effective immediately upon completion of all acts necessary for a bill to become law as provided by art. 4, § 8, Wyo. Const. Approved March 10, 2006.

Law reviews. —

For article, “Administration of the General Property Tax in Wyoming,” see 4 Wyo. L.J. 227.

§ 11-20-405. Collection and disposition.

  1. Any funds appropriated by the legislature and all fees collected pursuant to W.S. 11-20-101 through 11-20-124 , 11-20-201 through 11-20-230 , 11-20-401 and 11-20-402 shall be remitted to the state treasurer for deposit in the inspection account. Interest earned by the account shall be retained in the account. Monies within the account are subject to legislative review and appropriation for use and expenditure by the board. Itemized vouchers shall be submitted to the chief executive officer of the board for approval. Upon approval, a warrant for the payment of each voucher shall be issued by the state auditor for payment from the inspection account. The board shall expend monies from the account created by this section only for the purposes authorized by W.S. 11-20-201 through 11-20-230 and 11-20-101 through 11-20-124 and to pay for investigators of the Wyoming livestock board who are peace officers as defined in W.S. 7-2-101(a)(iv)(E).
  2. After March 1, 2006, all costs of operating  and administering the brand inspection and recording programs shall  be paid from any funds appropriated by the legislature, any applicable  grant funds and the fees collected and deposited into the account  created by subsection (a) of this section.
  3. Repealed by Laws 2010, ch. 69, § 204.

History. Laws 1943, ch. 25, § 4; C.S. 1945, § 56-711; W.S. 1957, § 11-391; Laws 1961, ch. 46, § 28; 1973, ch. 245, § 3; 1976, ch. 4, § 1; W.S. 1977, § 11-23-309; Laws 1978, ch. 32, § 1; 1990, ch. 87, § 2; 1994, ch. 96, § 1; 2005, ch. 231, § 1; 2006, ch. 39, § 2; 2009, ch. 129, § 1; 2010, ch. 69, § 204; 2020, ch. 91, § 1.

The 2005 amendment, effective July 1, 2005, deleted “within the earmarked revenue fund” at the end of the first sentence in (a).

The 2006 amendment, in (a), added “Any funds appropriated by the legislature and,” substituted “11-20-230” for “11-20-229” in two places; in (b), substituted “March 1, 2006” for “July 1, 1996” inserted “any funds appropriated by the legislature, any applicable grant funds and”; added (c) and made related changes.

Laws 2006 ch. 39, § 5, makes the act effective immediately upon completion of all acts necessary for a bill to become law as provided by art. 4, § 8, Wyo. Const. Approved March 10, 2006.

The 2009 amendment, effective July 1, 2009, in (a), deleted “Notwithstanding W.S. 9-2-1022(a)(xi)(E)” from the beginning of the last sentence.

The 2010 amendment, effective July 1, 2010, repealed former (c), which read: “(c) After April 1, 2006, the board may charge a surcharge fee of up to fifty percent (50%) applied equally on all fees collected pursuant to W.S. 11 20 101 through 11 20 124, 11 20 201 through 11 20 230, 11 20 401 and 11 20 402. These fees shall be remitted to the state treasurer for deposit in the inspection account. This subsection is repealed effective June 30, 2007.”

The 2020 amendment, in (a) added “and to pay for investigators of the Wyoming livestock board who are peace officers as defined in W.S. 7-2-101(a)(iv)(E)” at the end and made a related change.

Laws 2020, ch. 91, § 2, makes the act effective immediately upon completion of all acts necessary for a bill to become law as provided by art. 4, § 8, Wyo. Const. Approved March 13, 2020.

Conflicting legislation. —

Laws 2005, ch. 231, § 3, provides: “The provisions of this act shall supersede the provisions of any other bill enacted into law during the 2005 general session which amends or references accounts or funds to the extent any other enactment is inconsistent with the establishment of the funds and accounts created under this act. The state auditor shall account for any fund or account created in any other legislation enacted in the 2005 general session in accordance with generally accepted accounting principles (GAAP) as promulgated by the governmental accounting standards board (GASB) and in accordance with this act.”

§§ 11-20-406 and 11-20-407. [Repealed.]

Repealed by Laws 1990, ch. 87, § 3.

Cross references. —

As to brand inspection fees generally, see § 11-20-401 .

Editor's notes. —

These sections, which derived from Laws 1943, ch. 25, §§ 3 and 5, related to a special annual tax levied on livestock and the annual assessment roll.

§ 11-20-408. Examination of agency records; report.

  1. The director of the state department of  audit or his designee shall examine the records and accounts of any  agency appointed by the board to administer the brand inspection laws,  and report to the governor in the same manner as for the examination  of records and accounts of public officers.
  2. The board shall adopt an annual fiscal  year budget for the brand registration and inspection program. The  budget shall include any deficit amount from the prior year and may  include an operating reserve not to exceed one (1) year for that portion  of the program to be funded by user fees. Based on the budget adopted  under this subsection, the board shall set the user fees for all activities  under the program at no less than the minimum fees provided for in  this chapter. Each fee may be adjusted not more than one (1) time  per fiscal year and  by not more than twenty-five percent (25%) in any one (1) fiscal year. The board shall report annually by November 1 to the joint agriculture, state and public lands and water resources interim committee with respect to the budget adopted and fees set under this subsection.

History. Laws 1931, ch. 135, § 7; R.S. 1931, § 67-707; C.S. 1945, § 56-707; W.S. 1957, § 11-394; W.S. 1977, § 11-23-312; Laws 1978, ch. 32, § 1; 1991, ch. 240, § 1; 2007, ch. 105, § 1; 2010, ch. 69, § 203; 2017, ch. 121, 2017, ch. 121, § 1; ch. 121, § 1.

The 2007 amendment, effective July 1, 2007, added (b).

The 2010 amendment, effective July 1, 2010, in (b), deleted “Beginning November 1, 2008” at the beginning of the last sentence.

The 2017 amendment , effective October 1, 2017, in (b), substituted “twenty-five percent (25%)” for “twenty percent (20%)” in the fourth sentence.

Editor's notes. —

Laws 2007, ch. 105, § 3, states as follows: “The brand recording and inspection fees specified in this act shall remain at the levels in effect on July 1, 2007, and shall not be adjusted before December 31, 2007. After December 31, 2007, the board may adjust the fees specified in this act subject to the limitations specified in W.S. 11-20-408(b).”

§ 11-20-409. Issuance of certificate.

Except as otherwise provided in W.S. 11-20-401 (c), all fees required by W.S. 11-6-210 , 11-20-201 through 11-20-230 , 11-20-401 and 11-20-402 shall be due and payable upon the issuance of a certificate of brand inspection or clearance. No fees required by W.S. 11-6-210 shall be collected on the same livestock more than once in any twelve (12) month period.

History. Laws 1990, ch. 87, § 1; 1991, ch. 129, § 1; 1992, ch. 17, § 1; 2006, ch. 39, § 2; 2013, ch. 13, § 1.

The 2006 amendment, substituted “11-20-230” for “11-20-229.”

Laws 2006 ch. 39, § 5, makes the act effective immediately upon completion of all acts necessary for a bill to become law as provided by art. 4, § 8, Wyo. Const. Approved March 10, 2006.

The 2013 amendment, added “Except as otherwise provided in W.S. 11-20-401(c).”

Laws 2013, ch. 13, § 3, makes the act effective immediately upon completion of all acts necessary for a bill to become law as provided by Article 4, Section 8 of the Wyoming Constitution. Approved February 12, 2013.

Chapter 21 Transporting Animals and Poultry by Vehicle

Cross references. —

As to authority of state veterinarian over animals in transit, see § 11-19-110 .

As to estrays found in transit in shipment of cattle or horses, see § 11-24-109 .

As to when shipping estrays is prohibited, see § 11-24-113 .

As to transportation of meat or poultry unlawfully obtained or killed, and as to seizure and sale of the vehicle and contents, see § 11-30-107 .

As to requiring legislature to provide for the protection of livestock and stock owners, see art. 19, § 1, Wyo. Const.

As to cooperative marketing associations, see §§ 17-10-101 to 17-10-126.

As to food safety system, see § 35-7-123 .

Am. Jur. 2d, ALR and C.J.S. references. —

13 Am. Jur. 2d Carriers §§ 400 to 407.

3A C.J.S. Animals §§ 10, 16 to 30.

§ 11-21-101. [Repealed.]

Repealed by Laws 2007, ch. 105, § 2.

Editor's notes. —

This section, which derived from Laws 1931, ch. 27, § 1, related to the written permission of owner required; contents of permit.

§ 11-21-102. Display of permit to peace officer; written statement in lieu of permit.

Any operator or other person in control of any vehicle transporting livestock, swine or domestic fowls, or the carcasses thereof, upon demand of any peace officer of Wyoming, shall exhibit his permit to carry the animals or domestic fowls, or carcasses thereof.

History. Laws 1931, ch. 27, § 2; R.S. 1931, § 67-2002; C.S. 1945, § 56-802; W.S. 1957, § 11-399; W.S. 1977, § 11-24-102 ; Laws 1978, ch. 32, § 1; 2007, ch. 105, § 1.

The 2007 amendment, effective July 1, 2007, deleted “or in lieu of such permit shall make a written statement containing the same information as is specified in W.S. 11-21-101 .”

§ 11-21-103. Peace officer authorized to stop and inspect carrier; search with or without warrant; seizure of animals unlawfully taken.

  1. Any inspector, game warden or peace officer  of the county or state of Wyoming may stop any vehicle carrying livestock,  poultry, or carcasses thereof, for the purpose of examining the owner’s  permit and the contents of the vehicle.
  2. Any inspector, game warden or other peace  officer of the county or state of Wyoming may detain any vehicle which  he has probable cause to believe may contain stolen animals, poultry  or carcasses thereof, for not to exceed twelve (12) hours or until  a legal search warrant may be obtained. If the person in charge of  the vehicle consents in writing to a search of the conveyance without  a warrant, the search shall be made by the officer in the presence  of the detained person as soon as the consent is obtained.
  3. Any inspector, game warden or peace officer  of the county or state of Wyoming may seize and take into custody  any animals, poultry or carcasses thereof which have been unlawfully  taken, unlawfully transported or which are unlawfully in possession.

History. Laws 1931, ch. 27, § 3; R.S. 1931, § 67-2003; C.S. 1945, § 56-803; W.S. 1957, § 11-400; Laws 1961, ch. 46, § 30; 1973, ch. 43, § 1; W.S. 1977, § 11-24-103 ; Laws 1978, ch. 32, § 1.

§ 11-21-104. Prohibited acts; penalties for violations.

Any person who knowingly exhibits or causes to be exhibited to any peace officer any false or forged permit, or who, upon request of any peace officer of Wyoming, refuses or neglects to exhibit a permit, shall be punished as provided in W.S. 11-1-103 .

History. Laws 1931, ch. 27, § 5; R.S. 1931, § 67-2005; C.S. 1945, § 56-805; W.S. 1957, § 11-402; W.S. 1977, § 11-24-104 ; Laws 1978, ch. 32, § 1; 1981, ch. 98, § 2; 1982, ch. 75, § 2; 2007, ch. 105, § 1, ch. 215, § 2.

Cross references. —

As to forgery generally, see §§ 6-3-602 through 6-3-604 .

The 2007 amendment, effective July 1, 2007, deleted “makes a false statement as specified in W.S. 11-21-101 or 11-21-102 , or who” and deleted variants of “or statement,” throughout the section.

This section is set out as reconciled by the Wyoming legislative service office.

Conflicting legislation. —

Laws 2007, ch. 215, § 4, provides: “Any other act adopted by the Wyoming legislature during the same session in which this act is adopted shall be given precedence and shall prevail over the amendments in this act to the extent that such acts are in conflict with this act.”

Chapter 22 Livestock Markets

Cross references. —

As to sale of diseased cattle, see § 11-19-214 .

As to requiring legislature to provide for protection of livestock and stock owners, see art. 19, § 1, Wyo. Const.

As to cooperative marketing associations, see §§ 17-10-101 to 17-10-126.

Am. Jur. 2d, ALR and C.J.S. references. —

52 Am. Jur. 2d Markets and Marketing §§ 15 to 29.

3 C.J.S. Agriculture § 3; 3A C.J.S. Animals §§ 16 to 30, 66 to 98, 348.

§ 11-22-101. Definitions; exceptions to provisions.

  1. As used in this act:
    1. “Board” means the Wyoming livestock board;
    2. “Livestock” means horses, mules, cattle, swine, sheep and goats. Bison are considered livestock unless otherwise designated by the board and the Wyoming game and fish commission;
    3. “Livestock market” means a place operated for profit as a public market, consisting of pens or enclosures and their appurtenances, in which livestock are received, held for sale, sold or offered for sale at either public auction or private sale, except that this act does not apply to:
      1. Any place used solely for a dispersal sale of the livestock of a farmer, dairyman, livestock breeder or feeder who is discontinuing business;
      2. Repealed by Laws 2006, ch. 27, § 4.
      3. Any place where an association of breeders of livestock assembles, offers for sale and sells under its own management registered livestock or breeding sires, if the association assumes all responsibility of the sale and guarantees title to the livestock and arranges for the proper inspection of all animals sold.
    4. “Livestock dealer” means:
      1. Any person engaged in the business of buying or selling livestock in commerce, either for his own account or as an employee or agent of the seller or buyer; or
      2. Any person who engages in the regular business of buying or selling livestock in commerce on a commission basis as set forth in rules by the Wyoming livestock board.
    5. “Livestock dealer” does not include any person who buys or sells livestock as part of his own bona fide breeding, feeding, showing, dairy, meat or wool production operation; any person who takes a security interest, including liquidation of that interest, in livestock in the ordinary course of his business; or any person who buys occasionally but not as a part of his regular business as set forth in rules promulgated by the Wyoming livestock board;
    6. "This act" means W.S. 11-22-101 through 11-22-119 .

History. Laws 1937, ch. 47, § 2; C.S. 1945, § 56-902; W.S. 1957, § 11-403; W.S. 1977, § 11-25-101 ; Laws 1978, ch. 32, § 1; 1979, ch. 63, § 2; 2006, ch. 27, §§ 2, 4; 2016, ch. 52, § 1.

The 2006 amendment, in (a) inserted (iv) and (v) and renumbered former (iv) as (vi); repealed (iii)(B), which read: “The promises of any butcher, packer or processor who receives animals exclusively for immediate slaughter”; and substituted “11-22-119” for “11-22-118” in present (vi).

Laws 2006 ch. 27, § 5, makes the act effective immediately upon completion of all acts necessary for a bill to become law as provided by art. 4, § 8, Wyo. Const. Approved March 9, 2006.

The 2016 amendment , deleted the last sentence in (a)(iv)(B) and (v).

Laws 2016, ch. 52 § 3, makes the act effective immediately upon completion of all acts necessary for a bill to become law as provided by art. 4, § 8 of the Wyo. Const. Approved March 4, 2016.

Editor's notes. —

There is no subsection (b) in this section as it appears in the printed acts.

Am. Jur. 2d, ALR and C.J.S. references. —

Stockyard operator's liability for injury to or death of stock, 40 ALR2d 988.

§ 11-22-102. Board authorized to adopt and publish rules.

The board shall adopt and publish reasonable rules and regulations necessary for the administration of this act.

History. Laws 1937, ch. 47, § 6; C.S. 1945, § 56-906; W.S. 1957, § 11-404; W.S. 1977, § 11-25-102 ; Laws 1978, ch. 32, § 1.

Meaning of “this act.” —

For the definition of “this act,” referred to in this section, see § 11-22-101(a)(vi).

§ 11-22-103. License; requirements therefor.

Upon making a satisfactory written statement to the board of financial responsibility and ownership or control of adequate facilities for the care, sorting, feeding, loading, unloading and shipment of livestock for the operation of a livestock market, and tendering the fee prescribed, any person may procure a license from the board to establish and operate within Wyoming for one (1) year a livestock market.

History. Laws 1937, ch. 47, § 1; C.S. 1945, § 56-901; W.S. 1957, § 11-405; W.S. 1977, § 11-25-103 ; Laws 1978, ch. 32, § 1.

Cross references. —

As to licenses generally, see §§ 33-1-101 to 33-1-115 .

§ 11-22-104. License; requirement; fees generally; expiration; renewal; effect of refusal of issuance or renewal.

No person shall operate a livestock market within Wyoming without first procuring a license from the board and paying a fee of one hundred dollars ($100.00). Each license issued shall expire on April 30 next after the issuance of the license. If a license is obtained on or after September 1 of any year, the person obtaining same shall pay a fee in proportion to the number of months of the year remaining until April 30. The license may be renewed by eligible applicants prior to May 1 each year upon application and payment of the required fee. An application for a license to operate a livestock market shall be in writing upon a form furnished by the board, and shall be accompanied by the required fee. If the board does not issue a license or renewal, the fee shall be returned to the applicant.

History. Laws 1937, ch. 47, § 3; C.S. 1945, § 56-903; W.S. 1957, § 11-406; W.S. 1977, § 11-25-104 ; Laws 1978, ch. 32, § 1.

§ 11-22-105. License; disposition of fees; payment of expenses.

All license fees collected under this act shall be deposited in the state general fund. Expenses incurred in the administration of this act shall be paid out of a general fund appropriation as provided by law.

History. Laws 1937, ch. 47, § 16; C.S. 1945, § 56-916; W.S. 1957, § 11-407; Laws 1973, ch. 245, § 3; W.S. 1977, § 11-25-105 ; Laws 1978, ch. 32, § 1.

Cross references. —

As to funds arising from administration of livestock laws, see § 11-18-109 .

Meaning of “this act.” —

For the definition of “this act,” referred to in this section, see § 11-22-101(a)(vi).

Severability. —

Section 19, ch. 47, Laws 1937, reads: “If any section or provision of this act shall be adjudged to be invalid, such adjudication shall not affect other sections or provisions thereof, but they shall have the same force and effect as if enacted separately.”

§ 11-22-106. License; cancellation.

  1. The following are grounds for fines, suspension or cancellation of  the license to operate a livestock market if the board finds:
    1. The licensee has violated this act, any  rule or regulation properly adopted hereunder, any law of Wyoming  or official rule or regulation made pursuant thereto governing the  interstate or intrastate movement, shipment or transportation of livestock  or the requirements for brand or health inspection;
    2. The licensee is guilty of fraud or misrepresentation  as to the titles, brands or ownership of livestock;
    3. The licensee is guilty of buying, receiving  or offering for sale any livestock known by him to be diseased or  to have been exposed to infectious or contagious disease;
    4. The licensee has failed or refused to  practice measures of sanitation and inspection required by this act  or by any rule or regulation of the board concerning premises or vehicles  used for stabling, yarding, housing, holding or transporting animals  in the operation of a livestock market;
    5. The licensee has neglected or refused  to keep records required by this act, or rules or regulations of the  board, or fails or refuses to permit inspection of such records by  any authorized agent of the board;
    6. The licensee has failed or refused to  withhold sale proceeds of any livestock designated by the brand inspector  as having questionable title, or the licensee has failed or refused  to transmit promptly to the board, after expiration of sixty (60)  days, the proceeds of livestock to which ownership has not been established,  in accordance with W.S. 11-22-116 ;
    7. The licensee is carrying on the business  of a livestock market without filing and maintaining a valid surety  bond in conformity with W.S. 11-22-107 ;
    8. The licensee is carrying on the business  of a livestock market while his current liabilities exceed his current  assets;
    9. The licensee willfully makes or causes  to be made any false entry or statement of facts in any application,  financial statement or report filed with the board; or
    10. The licensee or operator of any livestock  market has negligently remitted the proceeds of sale of any livestock  subject to brand inspector tally, consigned and delivered to the licensee  for sale, to any person other than the owner of the livestock, without  the prior and express written direction and approval by the owner  of the livestock. If a licensed market licensee or operator has express  notice that any livestock consigned for sale are mortgaged or subject  to other security agreement, all remittances of proceeds of sale shall  be made in the name of the owner and the party holding the mortgage  or security agreement.

History. Laws 1937, ch. 47, § 7; C.S. 1945, § 56-907; W.S. 1957, § 11-408; Laws 1967, ch. 90, § 1; 1969, ch. 130, § 1; W.S. 1977, § 11-25-106 ; Laws 1978, ch. 32, § 1; 2013, ch. 47, § 1.

The 2013 amendment, effective July 1, 2013, added “fines, suspension or” following “grounds for” in the introductory paragraph in (a).

Editor's notes. —

There is no subsection (b) in this section as it appears in the printed acts.

Meaning of “this act.” —

For the definition of “this act,” referred to in this section, see § 11-22-101(a)(vi).

§ 11-22-107. License; bond required; approval; filing; statement in lieu of bond; action on bond; termination of bond; copies of license and bond as evidence.

  1. No license or renewal of license to operate  a livestock market within Wyoming shall be issued until the applicant  has executed to the state of Wyoming a bond in the penal sum of twenty-five  thousand dollars ($25,000.00) upon a form prescribed by the board,  with surety approved by the board, conditioned for the payment of  all money received by the licensee and operator of the livestock market  to the rightful owner of the livestock consigned for sale, or to any  other person entitled to receive the proceeds of the sale, less reasonable  expenses and agreed commissions, forthwith upon the sale of the livestock.  The bond shall also be conditioned for full compliance with all of  the terms and requirements of this act, shall be approved and accepted  by the board and approved as to form by the attorney general of Wyoming.  When so approved, the bond shall be filed with the secretary of state.
  2. In lieu of the bond required by subsection  (a) of this section, the applicant shall file a statement in the form  prescribed by the board evidencing that he is registered and maintaining  a valid and effective bond of or in excess of twenty-five thousand  dollars ($25,000.00) or its equivalent under the provisions of the  Packers and Stockyards Act 1921 (7 U.S.C. § 181 et seq.). The statement shall name the executive officer  of the board as trustee, and shall include a copy of the bond, to  be filed with the secretary of state. Actions at law may be brought  in the name of the state upon any such bond by any aggrieved party,  for the use and benefit of any person who suffers loss or damage from  violations thereof. Each bond filed with the board shall be conditioned  that the bond cannot be terminated except on at least thirty (30)  days prior notice in writing to the board by the party terminating  the bond. Copies of any such license and bond, certified by the executive  officer of the board, may be procured upon payment of a fee of one  dollar ($1.00) each, and shall be received as competent evidence in  any court in Wyoming.

History. Laws 1937, ch. 47, § 4; C.S. 1945, § 56-904; W.S. 1957, § 11-409; Laws 1967, ch. 90, § 2; 1969, ch. 52, § 1; W.S. 1977, § 11-25-107 ; Laws 1978, ch. 32, § 1.

Meaning of “this act.” —

For the definition of “this act,” referred to in this section, see § 11-22-101(a)(vi).

§ 11-22-108. License; certified copy; fee; posting.

A certified copy of a license may be procured by the holder of the original upon payment of one dollar ($1.00), and the original or certified copy of the license shall be posted during sale periods in a conspicuous place on the premises where the livestock market is conducted.

History. Laws 1937, ch. 47, § 5; C.S. 1945, § 56-905; W.S. 1957, § 11-410; W.S. 1977, § 11-25-108 ; Laws 1978, ch. 32, § 1.

§ 11-22-109. Investigations of sales; filing charges; hearing; notice thereof.

The executive officer of the board may make or have an investigation made of the sales and transactions of any livestock market and the conditions under which its business is conducted. If he finds probable cause, he shall file charges against the licensee and operator with the board, and the charges shall be set down for hearing before the board upon ten (10) days notice served upon the licensee.

History. Laws 1937, ch. 47, § 8; C.S. 1945, § 56-908; W.S. 1957, § 11-411; W.S. 1977, § 11-25-109 ; Laws 1978, ch. 32, § 1; 2007, ch. 105, § 1.

The 2007 amendment, effective July 1, 2007, substituted “probable cause” for “it proper” following “If he finds” in the second sentence.

§ 11-22-110. Sanitation; veterinarian supervision required.

Every livestock market shall be maintained in a sanitary condition, and that portion which is used for handling hogs shall be cleaned and disinfected after each day’s sales with disinfectant approved by the board, under the supervision of a veterinarian authorized by the board.

History. Laws 1937, ch. 47, § 9; C.S. 1945, § 56-909; W.S. 1957, § 11-412; W.S. 1977, § 11-25-110 ; Laws 1978, ch. 32, § 1.

§ 11-22-111. Scales; inspection and testing.

All scales used in the operation of a livestock market must be inspected and tested by the state superintendent of weights and measures, who may make reasonable rules and regulations relative to the method of weighing livestock at all livestock markets. All livestock sold by weight must be weighed on scales.

History. Laws 1937, ch. 47, § 10; C.S. 1945, § 56-910; W.S. 1957, § 11-413; W.S. 1977, § 11-25-111 ; Laws 1978, ch. 32, § 1.

Cross references. —

As to weights and measures generally, see §§ 40-10-117 to 40-10-136 .

§ 11-22-112. Records of receipts and sales; availability for inspection.

Operators of all livestock markets shall keep an accurate record of the date on which each consignment of animals was received and sold, the name and address of the buyer and seller, the number and species of the animals received and sold, and the marks and brands on each animal. The records, together with the gross selling prices, commission and other care, handling and sales charges on each consignment shall be available for inspection by the executive officer of the board, his deputy or authorized inspector. A copy shall be supplied to the owner of the livestock. All records of sales during preceding months shall be kept readily accessible for immediate examination.

History. Laws 1937, ch. 47, § 11; C.S. 1945, § 56-911; W.S. 1957, § 11-414; W.S. 1977, § 11-25-112 ; Laws 1978, ch. 32, § 1.

§ 11-22-113. Inspection of livestock; report on unbranded livestock.

  1. All livestock entering a livestock market shall be inspected  for health and all livestock except swine and goats shall be inspected  for brands before being offered for sale. The health inspection shall  be made by a veterinarian approved by the board and appointed by the  executive officer of the board as an authorized veterinarian for livestock  markets. The brand inspection shall be made by a brand inspector.
  2. The Wyoming livestock board shall require a monthly report from brand inspectors  employed at all Wyoming livestock markets of all branded and unbranded livestock inspected prior  to sale. The report shall show for each consignment of livestock the date and place of sale, the county of  origin, the name and address of consignor and the total number inspected and sold.
  3. Repealed by Laws 1990, ch. 87, § 3.

History. Laws 1937, ch. 47, § 12; C.S. 1945, § 56-912; Laws 1951, ch. 116, § 3; 1953, ch. 49, § 3; W.S. 1957, §§ 11-378, 11-415; Laws 1961, ch. 46, § 31; 1973, ch. 245, § 3; W.S. 1977, §§ 11-23-243, 11-25-113 ; Laws 1978, ch. 32, § 1; 1990, ch. 87, § 3; 2013, ch. 47, § 1.

The 2013 amendment, effective July 1, 2013, in (a) deleted “and goats” following “All livestock;” in (b) added “a monthly report” following “shall require,” deleted “a monthly report” following “livestock markets,” added “branded and” following “of all,” substituted “livestock” for “calves of the beef breeds that are not accompanied by their mothers,” substituted “livestock” for “such calves,” added “total” following “consignor and the,” and deleted “of calves” following “total number.”

Cross references. —

As to brand inspection fees generally, see § 11-20-401 .

§ 11-22-114. When removal of livestock from establishment permitted.

It is unlawful for the operator of a livestock market to permit the removal of any livestock from the establishment until it has been treated in accordance with the rules and regulations prescribed by the board. In cases of livestock destined interstate, the health certificate shall show that the livestock has been inspected in accordance with the requirements of the state of destination. All fees for veterinary inspection, treatment and services shall be collected by the operator of the livestock market and paid to the veterinarian in the manner prescribed by the board.

History. Laws 1937, ch. 47, § 13; C.S. 1945, § 56-913; W.S. 1957, § 11-416; Laws 1961, ch. 46, § 32; W.S. 1977, § 11-25-114; Laws 1978, ch. 32, § 1.

§ 11-22-115. Removal of veterinarian.

The executive officer of the board may remove any authorized veterinarian whenever he finds that his work is not performed in conformity with this act and the rules and regulations of the board.

History. Laws 1937, ch. 47, § 14; C.S. 1945, § 56-914; W.S. 1957, § 11-417; Laws 1961, ch. 46, § 33; W.S. 1977, § 11-25-115; Laws 1978, ch. 32, § 1.

Meaning of “this act.” —

For the definition of “this act,” referred to in this section, see § 11-22-101(a)(iv).

§ 11-22-116. Warranty of title; disposition of proceeds from sale; receipt by board.

The operator of each livestock market in this state shall warrant to the purchaser the title of all livestock sold through the market and is liable to the owner for the net proceeds in cash received for the livestock sold. When notified by the brand inspector that there is a question as to whether any designated livestock sold through the ring is lawfully owned by the consignor, the market operator shall hold the proceeds received from the sale of the livestock for a reasonable time, not to exceed sixty (60) days, to permit the consignor to establish ownership. If at the expiration of that time the consignor fails to establish his lawful ownership of the livestock to the satisfaction of the brand inspector, the proceeds shall be transmitted by the operator to the board. The board may dispose of the proceeds in accordance with the law relating to the distribution of estray money, and the board’s receipt shall relieve the operator from further responsibility for the proceeds.

History. Laws 1937, ch. 47, § 15; C.S. 1945, § 56-915; W.S. 1957, § 11-418; Laws 1961, ch. 46, § 34; W.S. 1977, § 11-25-116; Laws 1978, ch. 32, § 1; 1997, ch. 115, § 1.

§ 11-22-117. Dispersal sales.

All dispersal sales made at livestock markets shall meet the requirements prescribed for other livestock passing through such markets.

History. Laws 1937, ch. 47, § 17; C.S. 1945, § 56-917; W.S. 1957, § 11-419; W.S. 1977, § 11-25-117; Laws 1978, ch. 32, § 1.

§ 11-22-118. Registration of livestock dealers; records; repeal.

  1. Livestock dealers shall be registered with the board. Registration shall include the livestock dealer’s address, phone number and premise identification number of their place of business if available.
  2. A livestock dealer shall maintain for a period of two (2) years brand inspection forms, all certificates of veterinary health inspection, all disease test charts and bills of sale showing purchase and sale of all livestock. Information showing purchase or sale prices may be redacted from these records. A livestock dealer shall make the records available to the board as part of any contagious disease outbreak investigation. The board may randomly audit up to ten percent (10%) of the livestock dealers annually to monitor for compliance.
  3. After giving due notice and opportunity for hearing in accordance with the Wyoming Administrative Procedure Act, the board shall have the authority to deny an application for registration or to suspend or cancel the registration of a livestock dealer if:
    1. There is adequate evidence to establish the livestock dealer had intent to violate or circumvent the record keeping requirements of this section or other animal health regulations; or
    2. The livestock dealer has repeatedly demonstrated an unwillingness to keep records as required by subsection (b) of this section.
  4. Records obtained by the board pursuant to subsection (b) of this section are privileged and confidential commercial information for purposes of the Wyoming Public Records Act, W.S. 16-4-201 through 16-4-205 .
  5. Repealed by Laws 2016, ch. 52, §  2.

History. Laws 2006, ch. 27, §§ 1, 3; 2016, ch. 52, § 2.

Cross references. —

Wyoming Administrative Procedure Act, see § 16-3-101(a), (b)(xi).

The 2016 amendment , repealed (e).

Laws 2016, ch. 52 § 3, makes the act effective immediately upon completion of all acts necessary for a bill to become law as provided by art. 4, § 8 of the Wyo. Const. Approved March 4, 2016.

Editor's notes. —

Laws 2006, ch. 27, § 3, effective March 9, 2006, renumbered former § 11-22-118 as § 11-22-119 , effective March 9, 2006.

Effective dates. —

Laws 2006, ch. 27, § 1, makes the act effective March 9, 2006.

§ 11-22-119. Penalty.

Any person who violates W.S. 11-22-101 through 11-22-118 or any rule or regulation adopted by the board pursuant to this act shall be punished as provided in W.S. 11-1-103 .

History. Laws 1937, ch. 47, § 18; C.S. 1945, § 56-918; W.S. 1957, § 11-420; W.S. 1977, § 11-25-118; Laws 1978, ch. 32, § 1; 1981, ch. 98, § 2; W.S. 1977, § 11–22–118; Laws 2006, ch. 27, §§ 1, 3.

Meaning of “this act.” —

For the definition of “this act,” referred to in this section, see § 11-22-101(a)(vi).

The 2006 amendment substituted “11-22-118” for “11-22-117.”

Laws 2006 ch. 27, § 5, makes the act effective immediately upon completion of all acts necessary for a bill to become law as provided by art. 4, § 8, Wyo. Const. Approved March 9, 2006.

Editor's notes. —

Laws 2006, ch. 27, § 3, effective March 9, 2006, renumbered former § 11-22-118 as § 11-22-119 , effective March 9, 2006.

Repealing clauses. —

Section 20, ch. 47, Laws 1937, repealed all laws and parts of laws in conflict with that act.

Chapter 23 Hides and Carcasses

Cross references. —

As to sale of carcass of animal killed to ascertain ownership of brand, see § 11-20-302 .

As to inclusion of animal carcasses or parts thereof in definition of “garbage” in connection with feeding untreated garbage to swine, see § 11-27-101 .

As to removing hides from carcasses without permission, see § 11-30-106 .

As to requiring legislature to provide for protection of livestock and stock owners, see art. 19, § 1, Wyo. Const.

As to cooperative marketing associations, see §§ 17-10-101 to 17-10-126.

As to hides and carcasses of game animals generally, see title 23.

As to food safety system, see § 35-7-123 .

Article 1. Production, Inspection and Stamping

Am. Jur. 2d, ALR and C.J.S. references. —

3 Am. Jur. 2d Agriculture §§ 28, 32, 36-37, 40-44, 46-47, 49-52; 4 Am. Jur. 2d Animals §§ 8, 9, 20.

3 C.J.S. Agriculture § 3; 3A C.J.S. Animals §§ 16 to 30, 117, 118.

§ 11-23-101. Sale of carcass without inspection prohibited; inspection fees; disposition thereof.

It is unlawful for any person to sell, offer for sale or possess for the purpose of sale or disposal the carcass or any part thereof of cattle without having the unmutilated hide inspected by an inspector. The person presenting the hide and carcass or any part thereof shall pay the inspection fee prescribed by law for each hide inspected, the fee shall be remitted to the board.

History. Laws 1929, ch. 39, § 1; R.S. 1931, § 67-618; C.S. 1945, § 56-1101; Laws 1957, ch. 175, § 1; W.S. 1957, § 11-421; Laws 1961, ch. 46, § 35; W.S. 1977, § 11-26-101 ; Laws 1978, ch. 32, § 1; 1996, ch. 25, § 1.

§ 11-23-102. Only inspected livestock to be slaughtered; record of cattle slaughtered.

  1. It is unlawful for any person operating  any slaughterhouse, packing plant or rendering plant in Wyoming to  slaughter or cause to be slaughtered any horses, mules or cattle before  each animal has been inspected for brands and ownership by an authorized  Wyoming brand inspector not more than seven (7) days before slaughter.
  2. Every person engaged in slaughtering cattle  shall keep a record of all cattle slaughtered, naming the person from  whom the cattle were purchased, his place of residence and the age,  sex and brands of the cattle slaughtered. The record shall at all  times be open for inspection by any person.

History. Laws 1890, ch. 39, § 22; R.S. 1899, § 2007; C.S. 1910, § 2615; C.S. 1920, § 3108; R.S. 1931, § 67-220; C.S. 1945, § 56-524; Laws 1949, ch. 59, § 17; W.S. 1957, §§ 11-341, 11-349; Laws 1961, ch. 46, § 8; 1967, ch. 97, § 1; W.S. 1977, §§ 11-23-121, 11-23-202 ; Laws 1978, ch. 32, § 1.

§ 11-23-103. Purchase of unstamped carcass prohibited.

It is unlawful for any person to purchase from any other person the carcass or any part thereof of any cattle unless the carcass or part purchased is stamped as provided by law. The district court of the county wherein the sale or purchase takes place has jurisdiction of the offense.

History. Laws 1929, ch. 39, § 5; R.S. 1931, § 67-622; C.S. 1945, § 56-1105; W.S. 1957, § 11-424; Laws 1961, ch. 46, § 36; W.S. 1977, § 11-26-102; Laws 1978, ch. 32, § 1.

§ 11-23-104. Exhibition, upon demand, of hides or certificate of inspection thereof of cattle killed for beef.

Any person who kills cattle for beef or has in his possession the carcass or any part of such cattle, must on demand of an inspector, sheriff or deputy sheriff show either the hide of the animal killed or the certificate of inspection of the hide. Any person failing to secure a certificate of inspection shall retain the hide, without mutilation of the brand, until the beef is consumed.

History. Laws 1929, ch. 39, § 4; 1931, ch. 21, § 1; R.S. 1931, § 67-621; C.S. 1945, § 56-1104; W.S. 1957, § 11-425; Laws 1961, ch. 46, § 37; W.S. 1977, § 11-26-103; Laws 1978, ch. 32, § 1.

§ 11-23-105. Penalties.

Any person violating any provision of W.S. 11-23-101 through 11-23-104 shall be fined not less than seven hundred seventy-five dollars ($775.00) or more than one thousand five hundred dollars ($1,500.00), or imprisoned for not more than one (1) year, or both.

History. Laws 1929, ch. 39, § 6; R.S. 1931, § 67-623; C.S. 1945, § 56-1106; W.S. 1957, § 11-426; W.S. 1977, § 11-26-104; Laws 1978, ch. 32, § 1; 1981, ch. 98, § 2.

Repealing clauses. —

Section 7, ch. 39, Laws 1929, repealed ch. 27, Laws 1927.

§ 11-23-106. “Cold storage locker plant” defined; stamp on tag; certificate in lieu of stamp; filing and inspection of certificate; penalties.

  1. “Cold storage locker plant” means any  place, premises or establishment where facilities for the cold storage  and preservation of human food in separate and individual compartments  are offered to the public upon a rental or other basis for private  profit.
  2. No operator or employee of any cold storage  locker plant in Wyoming shall accept from any person for processing,  quick freeze or cold storage any beef, mutton, lamb or pork unless  it is properly stamped or tagged showing it to have been lawfully  slaughtered, or in the absence of a proper stamp or tag the person  offering the meat may deposit at the time with the operator or his  employee a signed certificate stating:
    1. The owner of the meat;
    2. The kind of meat;
    3. The weight of the meat; and
    4. The name and address of the person from  whom acquired or if slaughtered by the person offering same, the date  and place of slaughter.
  3. The certificate shall be kept on file  by the operator for one (1) year from its date and be made available  for inspection upon request of any law enforcement officer or authorized  representative of the board.
  4. Any person violating this section or making  any false statement in the certificate shall be punished as provided  in W.S. 11-1-103 .

History. Laws 1953, ch. 42, §§ 1, 2, 4; W.S. 1957, §§ 11-427, 11-428, 11-430; W.S. 1977, §§ 11-26-105, 11-26-106, 11-26-108; Laws 1978, ch. 32, § 1; 1981, ch. 98, § 2.

§ 11-23-107. Killing of horses for meat; unmutilated hide or certificate of inspection to be produced; penalties.

  1. Any person who kills any horse for the  purpose of using, selling or offering for sale the meat or carcass  for tankage, or for the purpose of feeding the same to domestic stock  or to fur bearing animals, must produce on demand of any inspector  or peace officer either the unmutilated hide of the animal killed  or a certificate of inspection of the hide, issued by a livestock  inspector.
  2. Any person violating this section shall  be fined not less than seven hundred seventy-five dollars ($775.00)  or more than one thousand five hundred dollars ($1,500.00), or imprisoned  for not more than one (1) year, or both.

History. Laws 1931, ch. 13, §§ 1, 2; R.S. 1931, §§ 67-1801, 67-1802; C.S. 1945, §§ 56-1107, 56-1108; W.S. 1957, §§ 11-431, 11-432; Laws 1961, ch. 46, § 38; W.S. 1977, §§ 11-26-109, 11-26-110; Laws 1978, ch. 32, § 1; 1981, ch. 98, § 2.

§ 11-23-108. Mutilation of hide from horse; penalties; allegations in prosecutions.

  1. Any person who willfully or maliciously  mutilates, destroys or conceals any hide from any horse, mule, jack,  jennet, bovine animal, goat, hog or sheep with the intent to remove  evidence of ownership of the hide or the animal from which the hide  was removed, shall be fined not less than seven hundred seventy-five  dollars ($775.00) nor more than one thousand five hundred dollars  ($1,500.00), or imprisoned not more than one (1) year, or both.
  2. In any prosecution for the violation of  this section it is not necessary for the state to allege in the complaint  or information the ownership of the hide or the animal from which  the hide was removed, but it is sufficient to allege that the owner  of the hide or the animal from which the hide was removed is unknown  and that the hide or animal is not the property of the defendant.

History. Laws 1931, ch. 22, §§ 1 to 3; R.S. 1931, §§ 67-1001 to 67-1003; C.S. 1945, §§ 56-1109 to 56-1111; W.S. 1957, §§ 11-433 to 11-435; W.S. 1977, §§ 11-26-111 to 11-26-113; Laws 1978, ch. 32, § 1; 1981, ch. 98, § 2.

Repealing clauses. —

Section 4, ch. 22, Laws 1931, repealed all laws and parts of laws in conflict with that act.

Article 2. Purchases, Sales and Transportation; Brand Inspection

Cross references. —

As to brands and brand inspection generally, see chapter 20 of this title.

Am. Jur. 2d, ALR and C.J.S. references. —

3 Am. Jur. 2d Agriculture §§ 28, 32, 36-37, 40-44, 46-47, 49-52; 4 Am. Jur. 2d Animals §§ 8, 9, 20.

3 C.J.S. Agriculture § 3; 3A C.J.S. Animals §§ 16 to 30, 117, 118.

§ 11-23-201. Hide buyer; designation.

Any person engaged in the purchase and sale of hides within this state shall be known and designated as a hide buyer.

History. Laws 1921, ch. 134, § 1; R.S. 1931, § 67-1701; C.S. 1945, § 56-1201; W.S. 1957, § 11-436; W.S. 1977, § 11-26-201; Laws 1978, ch. 32, § 1.

§ 11-23-202. Hide buyer; bill of sale required; contents; copy to seller.

A hide buyer shall require every person from whom he purchases hides or pelts to deliver to him a bill of sale for the hides and pelts, executed in duplicate. One (1) copy shall be retained by the seller and the other copy shall be kept by the hide buyer and exhibited upon demand of any inspector, sheriff or deputy sheriff. The bill of sale shall describe by brand or mark the hides and pelts sold and the date of sale.

History. Laws 1921, ch. 134, § 2; R.S. 1931, § 67-1702; C.S. 1945, § 56-1202; W.S. 1957, § 11-437; Laws 1961, ch. 46, § 39; W.S. 1977, § 11-26-202; Laws 1978, ch. 32, § 1.

§ 11-23-203. Hide buyer; record of purchases to be kept; contents; inspection by sheriff.

Every hide buyer in this state shall keep a true record of all hides and pelts purchased by him, showing the name of the seller of the hides or pelts, the date of purchase and all brands and other identification marks on the hides and pelts. The record shall be open for inspection by the sheriff or his deputy in his county and any livestock inspector.

History. Laws 1921, ch. 134, § 3; R.S. 1931, § 67-1703; C.S. 1945, § 56-1203; W.S. 1957, § 11-438; Laws 1961, ch. 46, § 40; W.S. 1977, § 11-26-203; Laws 1978, ch. 32, § 1.

§ 11-23-204. Hide buyer; inspection for interstate commerce; certificate; fee.

It is unlawful for any hide buyer within this state to ship or haul any hides or pelts out of Wyoming unless the hides or pelts have been inspected by a livestock inspector and a certificate of inspection given therefor. The certificate shall state the date of inspection, the number of hides and pelts and the brands and other identification marks thereon. The hide buyer shall pay to the inspector the fee prescribed by law for each certificate of inspection issued to him.

History. Laws 1921, ch. 134, § 3; R.S. 1931, § 67-1703; C.S. 1945, § 56-1203; W.S. 1957, § 11-438; Laws 1961, ch. 46, § 40; W.S. 1977, § 11-26-203; Laws 1978, ch. 32, § 1.

§ 11-23-205. [Repealed.]

Repealed by Laws 2007, ch. 105, § 2.

Editor's notes. —

This section, which derived from Laws 1921, ch. 134, § 4, related to the railroads prohibited from receiving hides unless inspection made; carriers to receive certificate of inspection.

§ 11-23-206. Stock killed by transportation company.

When any livestock is killed by a transportation company within this state, the company shall cause the hides from all animals killed to be inspected by an inspector, except where the owner or his agent or employee has seen and identified the animals.

History. Laws 1921, ch. 134, § 5; R.S. 1931, § 67-1705; C.S. 1945, § 56-1206; W.S. 1957, § 11-441; Laws 1961, ch. 46, § 42; W.S. 1977, § 11-26-206; Laws 1978, ch. 32, § 1.

Cross references. —

As to prohibiting the removal of hides from carcasses without permission, but making an exception as to railroads, see § 11-30-106 .

As to injury or killing of livestock by railroads, see §§ 37-9-304 to 37-9-308 .

§ 11-23-207. Penalties.

Any person violating any provision of W.S. 11-23-202 through 11-23-206 shall be punished as provided in W.S. 11-1-103 .

History. Laws 1921, ch. 134, § 6; R.S. 1931, § 67-1706; C.S. 1945, § 56-1207; W.S. 1957, § 11-442; W.S. 1977, § 11-26-207; Laws 1978, ch. 32, § 1; 1981, ch. 98, § 2.

Repealing clauses. —

Section 7, ch. 134, Laws 1921, repealed all laws and parts of laws in conflict with that act.

Article 3. Transportation of Carcasses to Rendering Plants

Cross references. —

As to transporting animals and poultry by vehicle, see ch. 21 of this title.

As to transportation of meat or poultry unlawfully obtained or killed, and as to seizure and sale of vehicles, contents, etc., see § 11-30-107 .

§ 11-23-301. Generally; exceptions.

With the consent of the owner, unless removal is contrary to state, county or local sanitary regulations or in the opinion of the state veterinarian might result in spreading contagious or infectious disease or threaten the health of human beings, animals or poultry, carcasses of animals may be transported to any rendering plant legally operating without prior inspection for brands and ownership. The operator of a rendering plant within this state receiving the carcasses is a hide buyer and shall comply with W.S. 11-23-201 through 11-23-207 .

History. Laws 1949, ch. 139, § 1; W.S. 1957, § 11-443; W.S. 1977, § 11-26-301; Laws 1978, ch. 32, § 1; 2001, ch. 3, § 1.

§ 11-23-302. Transportation to another state prohibited without inspection; proof of ownership required.

Without the consent of the owner, or agent, it is unlawful to transport or cause to be transported carcasses of horses, mules, cattle or sheep from Wyoming to any other state without prior inspection for brands and marks and the issuance of a certificate attesting the inspection by an inspector, who shall require proof of ownership by brand record, bill of sale, or both.

History. Laws 1949, ch. 139, § 2; W.S. 1957, § 11-444; Laws 1961, ch. 46, § 43; W.S. 1977, § 11-26-302; Laws 1978, ch. 32, § 1; 2001, ch. 3, § 1.

§ 11-23-303. Hide inspection certificate.

After receiving satisfactory proof of ownership of carcasses of animals to be transported from the state, the inspector shall sign and issue a hide inspection certificate on a form approved by the board, listing the class and number of carcasses inspected, the brands or marks on each, the name of the shipper, name and address of the consignee, place and date of inspection, and make and license number of the truck. If transportation is by other means than truck, that shall be shown. Across the face of the certificate he shall write the words “Dead Animals”. The hide inspection certificate shall be filled out in triplicate, the original delivered to the shipper or his agent and shall clear the carcasses for transportation to the destination shown. One (1) copy shall be mailed by the inspector to the board, and one (1) copy filed in the office of the brand inspection agency.

History. Laws 1949, ch. 139, § 3; W.S. 1957, § 11-445; Laws 1961, ch. 46, § 44; W.S. 1977, § 11-26-303; Laws 1978, ch. 32, § 1.

§ 11-23-304. Inspection fee; disposition thereof.

For making an inspection of carcasses the inspector shall collect the inspection fee prescribed by law for each horse, mule, cattle or sheep carcass. All fees collected shall be transmitted to the board.

History. Laws 1949, ch. 139, § 4; W.S. 1957, § 11-446; Laws 1961, ch. 46, § 45; 1976, ch. 4, § 1; W.S. 1977, § 11-26-304; Laws 1978, ch. 32, § 1.

§ 11-23-305. Penalty.

Violation of any provision of W.S. 11-23-301 through 11-23-304 is a misdemeanor punishable by a fine of not less than twenty-five dollars ($25.00) nor more than one hundred dollars ($100.00).

History. Laws 1949, ch. 139, § 5; W.S. 1957, § 11-447; W.S. 1977, § 11-26-305; Laws 1978, ch. 32, § 1.

Chapter 24 Estrays

Cross references. —

As to requiring stock running at large to be branded, see § 11-20-102 .

As to swine, goats or elk running at large, see § 11-26-101 .

As to requiring legislature to provide for the protection of livestock and stock owners, see art. 19, § 1, Wyo. Const.

As to taking of bull from open range for purpose of obtaining service therefrom, see § 6-3-408 .

As to powers of cities and towns relative to animals running at large, see title 15.

As to livestock roaming at large in Hot Springs state park, see § 36-8-316 .

Am. Jur. 2d, ALR and C.J.S. references. —

4 Am. Jur. 2d Animals §§ 48 to 77.

Contributory negligence as a defense to a cause of action based upon violation of a statute imposing duty upon keeper of animals, 10 ALR2d 853.

Owner's liability, under legislation forbidding domestic animals to run at large on highways, as dependent on negligence, 34 ALR2d 1285.

Constitutionality of statute or ordinance providing for destruction of abandoned animals, 56 ALR2d 1024.

Constitutionality of statute or ordinance providing for destruction of dogs running at large, 56 ALR2d 1024.

Liability for injury to vehicle or person riding therein by animal at large in street or highway, 59 ALR2d 1328.

Injunction to restrain repeated or continuing trespasses by livestock and fowl, 60 ALR2d 310.

Liability of owner or bailor of horse for injury by horse to hirer or bailee thereof, 6 ALR4th 358.

Liability of owner or operator of vehicle for damage to motor vehicle or injury to person riding therein resulting from collision with domestic animal at large in street or highway, 21 ALR4th 159.

Liability for killing or injuring, by motor vehicle, of livestock or fowl on highway, 55 ALR4th 822.

3A C.J.S. Animals §§ 123 to 169.

§ 11-24-101. Definitions.

  1. As used in this act:
    1. “Animal” means any bovine animal, horse,  mule, ass or sheep;
    2. “Estray” means any animal found running  at large upon public or private lands, fenced or unfenced, in Wyoming  whose owner is unknown in the territory where found or the owner of  which cannot with reasonable diligence be found, or that is branded  with two (2) or more brands the ownership of which is disputed, neither  party holding a bill of sale. An estray includes any animal for which  there is no sufficient proof of ownership found upon inspection;
    3. “Range” means all unfenced lands or fenced  allotments in Wyoming of a grazing nature. Range includes all highways  outside of private enclosures and used by the public whether formally  dedicated to the public or not;
    4. “Disposal” means to sell, send to slaughter  or destroy the animal;
    5. "Livestock" means as defined in W.S. 11-20-101(a)(iv);
    6. “This act” means W.S. 11-24-101 through 11-24-115 .

History. Laws 1913, ch. 125, § 1; C.S. 1920, § 3179; R.S. 1931, § 67-401; C.S. 1945, § 56-1801; Laws 1957, ch. 173, § 1; W.S. 1957, §§ 11-498, 11-499; Laws 1961, ch. 46, § 50; W.S. 1977, §§ 11-30-101 , 11-30-102; Laws 1978, ch. 32, § 1; 2010, ch. 80, § 1; 2013, ch. 13, § 1, § 1.

The 2010 amendment, effective July 1, 2010, added present (a)(iv) and (a)(v), and redesignated former (a)(iv) as (a)(vi).

The 2013 amendment, added the language “unless the applications are part of a collection of related applications or appropriations from the same source of supply for the same or similar use where the total use or transfer outside the state exceeds one thousand (1,000) acre-feet per year in aggregate” and added the last sentence in (b).

Laws 2013, ch. 13, § 3, makes the act effective immediately upon completion of all acts necessary for a bill to become law as provided by Article 4, Section 8 of the Wyoming Constitution. Approved February 12, 2013.

Editor's notes. —

There is no subsection (b) in this section as it appears in the printed acts.

Cited in

Stanko v. Mahar, 419 F.3d 1107, 2005 U.S. App. LEXIS 17323 (2005).

§ 11-24-102. Taking up estrays; generally.

  1. No person shall take up and retain possession  of an estray except in the county where he resides and is a freeholder,  nor unless the animal is found on lands owned, leased, or controlled  by him or his duly authorized agents. When any person takes up an  estray he shall immediately notify an inspector who shall inspect  or cause to be inspected the estray for brands and other evidence  of ownership and make a diligent effort to learn or determine ownership  of the animal. The inspector may cause any estray to be held for not  more than ten (10) days after the inspection to enable him to complete  his investigation of ownership. If the estray is claimed by an owner,  the bill for feed and care incurred by the inspector must be paid  by the claimant. If the rightful owner cannot be found, or when found,  refuses or fails to pay the charges for feed and care of the estray,  the inspector shall order the estray be disposed of. Incurred charges  for feed and care by the inspector and reasonable shipping and disposal  expense shall be paid from the proceeds of the disposal. The net proceeds,  if any, received from the disposal of the estray after deduction of  authorized expenses, shall be forwarded to the estray fund of the  board or its agency. The board or agency shall hold the proceeds in  a special fund known as estray fund until paid to the rightful owner  of the estray or otherwise disposed of according to law.
  2. If the proceeds of the disposal of any  estray are insufficient to pay all legitimate expenses, the deficiency  shall be paid by the board or its agency.
  3. The board may enter into agreements with  licensed meat processing plants to process meat from livestock disposed  of by slaughter. The processed meat shall be sold to:
    1. Wyoming state institutions or to nonprofit  organizations for no more than the board’s cost for disposal, processing  and delivery; or
    2. For profit entities at market cost for  the processed meat.

History. Laws 1913, ch. 125, § 2; C.S. 1920, § 3180; R.S. 1931, § 67-402; C.S. 1945, § 56-1802; Laws 1951, ch. 96, § 1; 1953, ch. 40, § 1; W.S. 1957, § 11-500; Laws 1961, ch. 46, § 51; W.S. 1977, § 11-30-103; Laws 1978, ch. 32, § 1; 2010, ch. 80, § 1.

The 2010 amendment, effective July 1, 2010, in (a), deleted “at a total expense of not more than fifty cents ($.50) per day” following “after the inspection,” substituted “be disposed of” for “sent to the most feasible convenient public market designated by the inspector to be sold,” substituted “disposal” for “sales,” and made similar changes; in (b), substituted “proceeds of the disposal” for “proceeds of the sale,” and substituted “deficiency shall be paid” for “deficit shall be paid”; and added (c).

Entry onto land by brand inspector is consistent with statutory authority. —

There was no Fourth Amendment violation because Wyoming brand inspection statutes, Wyo. Stat. Ann. §§ 11-20-203 and 11-20-205 , authorize the brand inspector to inspect the cattle where they are to be moved from one county to another and the regulatory seizure, specifically authorized by Wyo. Stat. Ann. §§ 11-24-101 and 11-24-102 , is designed to protect the urgent state interest of preventing trafficking in lost or stolen cattle, such that the brand inspector was not required to obtain a warrant. Stanko v. Mahar, 419 F.3d 1107, 2005 U.S. App. LEXIS 17323 (10th Cir. Wyo. 2005).

§ 11-24-103. Taking up estrays; penalties.

Any person who takes up or retains possession of any estray without the owner’s knowledge or consent, or who in any manner restrains from liberty for the purpose of using or making use of any estray without the knowledge and consent of the owner shall be punished as provided in W.S. 11-1-103 .

History. Laws 1913, ch. 125, § 3; C.S. 1920, § 3181; R.S. 1931, § 67-403; C.S. 1945, § 56-1803; W.S. 1957, § 11-501; W.S. 1977, § 11-30-104 ; Laws 1978, ch. 32, § 1; 2013, ch. 47, § 1.

The 2013 amendment, effective July 1, 2013 deleted “, is guilty of a misdemeanor and” following “consent of the owner,” and substituted punished as provided in W.S. 11-1-103 for “fined not less than ten dollars ($10.00) nor more than one hundred dollars ($100.00), imprisoned for not exceeding sixty (60) days not more than seven hundred fifty dollars ($750.00), imprisoned for not more than six (6) months, or both.”

Repealing clauses. —

Section 11, ch. 125, Laws 1913, repealed §§ 2670 to 2676, 2678 and 2679, ch. 177, C.S. 1910.

§ 11-24-104. Stallions and jacks generally.

If any horse or ass not gelded, two (2) years old or upwards, is found running at large, it is lawful for any person to take up the horse or ass and give notice to the owner or keeper if known. If the owner or keeper does not appear within six (6) days thereafter and pay expenses incurred for the feed and care of the animal to the person possessing the animal, the person shall advertise the horse or ass and the same proceedings shall be had as provided in the case of estray animals, or the person possessing the animal may after the expiration of thirty (30) days from the time of advertising, geld or have the horse or ass gelded, at the risk and expense of the owner, except when the horse or ass is in the owner’s herd, or in care of the owner’s herder. The owner of the horse or ass shall be liable for any damages caused by the animal to property or other livestock.

History. C.L. 1876, ch. 46, § 11; R.S. 1887, § 4180; R.S. 1899, § 2072; C.S. 1910, § 2680; C.S. 1920, § 3189; R.S. 1931, § 67-411; C.S. 1945, § 56-1811; W.S. 1957, § 11-502; W.S. 1977, § 11-30-105 ; Laws 1978, ch. 32, § 1; 1981, ch. 98, § 2; 2013, ch. 47, § 1.

The 2013 amendment, effective July 1, 2013 substituted “expenses incurred for the feed and care of the animal” for “thirty dollars ($30.00)” following “thereafter and pay,” and added the last sentence.

§ 11-24-105. Unclaimed horses; permit for gathering; disposal.

  1. Any person desiring to gather unclaimed  horses from the ranges within Wyoming shall obtain a permit from the livestock  board, except as provided in subsection (e) of this section. The permit applicant shall submit with the permit  application written permission to access the range whereon the unclaimed  horses are to be gathered from the person who has ownership  or control of the surface rights of that range. The form of the permit  shall be prescribed by the board.
  2. If after an  inspection under subsection (c) or (e) of this section, the rightful  owner cannot be found, or when found, refuses or fails to pay the  charges for feed and care of the estray, the unclaimed  horses shall be disposed of by the board under the laws pertaining to estrays.
  3. The permit and the unclaimed horses  shall be presented to an inspector within the county in which they  were gathered without unnecessary delay for determination of ownership.
  4. The permittee shall be responsible  for all expenses associated with gathering, feed and care of the unclaimed  horses until an inspection has occurred.
  5. A permit is not required for any person  desiring to gather unclaimed horses located on private land on which  the person has ownership or control of the surface rights. A person  who has gathered unclaimed horses on private land on which he has  ownership or control of the surface rights shall present the unclaimed  horses to an inspector within the county in which they were gathered  without unnecessary delay for determination of ownership and shall  be responsible for all expenses associated with the gather and feed  and care of the unclaimed horses until an inspection has occurred.
  6. Any horse claimed by the United States  bureau of land management as belonging to a wild horse management  unit is excluded from this section.

History. Laws 1957, ch. 173, §§ 2, 3; W.S. 1957, §§ 11-503, 11-504; Laws 1961, ch. 46, § 52; W.S. 1977, §§ 11-30-106 , 11-30-107 ; Laws 1978, ch. 32, § 1; 2013, ch. 47, § 1.

The 2013 amendment, effective July 1, 2013, rewrote (a) and (b); and added (c) through (f).

§ 11-24-106. Unclaimed horses; penalties.

Any person, firm or corporation violating any provision of W.S. 11-24-105 shall be punished as provided in W.S. 11-1-103 .

History. Laws 1957, ch. 173, § 4; W.S. 1957, § 11-505; W.S. 1977, § 11-30-108 ; Laws 1978, ch. 32, § 1; 1981, ch. 98, § 2.

§ 11-24-107. Liability for death.

If any estray dies while in the possession of the person taking it up, he is not liable for the loss unless its death was the result of mistreatment or willful neglect.

History. C.L. 1876, ch. 46, § 12; R.S. 1887, § 4181; R.S. 1899, § 2073; C.S. 1910, § 2681; C.S. 1920, § 3190; R.S. 1931, § 67-412; C.S. 1945, § 56-1812; W.S. 1957, § 11-506; W.S. 1977, § 11-30-109 ; Laws 1978, ch. 32, § 1.

§ 11-24-108. Stock at large or picketed on public highways; penalties for violations; impoundment and disposition; fees; proceeds from disposition thereof; removal of dead or injured animals.

  1. No owner or person having custody or charge  of livestock shall permit the livestock to run at large in any fenced  public highways in Wyoming as defined in W.S. 31-1-101 . Livestock shall not be picketed on a public highway  right-of-way from one (1) hour before sundown to one (1) hour after  sunrise. If livestock are picketed on a public highway and escape,  the owner or person having custody or charge of the livestock is deemed  to have permitted the livestock to run at large in violation of this  section. No livestock shall be picketed on an interstate or national  defense highway as defined in W.S. 31-18-801(a)(xvi).
  2. Any person or corporation violating this  section shall be fined not less than two hundred dollars ($200.00) nor more than seven hundred  fifty dollars ($750.00) and in addition shall pay all damage done  by the livestock. The provisions of this section do not apply to livestock  drifting into lanes or fenced roads in going to or returning from  their accustomed ranges.
  3. Any sheriff, deputy sheriff, livestock  brand inspector, or officer or trooper of the Wyoming highway patrol,  after notification to the owner of livestock described in subsection  (a) of this section, if known, shall within four (4) hours remove  the livestock from the public highway, impound the same in the nearest  convenient place where feed and water are available and immediately  notify the owner, if known, of the action. If ownership is not known,  the impounding officer shall report his action to an inspector. The  inspector shall make a diligent effort to ascertain ownership of the  impounded livestock, and for this purpose may hold the livestock not  more than ten (10) days. If unable to determine ownership, the inspector  shall dispose of the impounded livestock. Reasonable transportation  and disposal expenses shall be paid from the proceeds of the disposal,  if any.
  4. A removal fee of not to exceed twenty dollars ($20.00) per head shall  be allowed for the expense incurred in removing livestock from any  public highway and an impounding fee for expenses incurred for the feed and  care of the animal shall be allowed the person responsible  for feed and care of the livestock removed. The inspector is responsible  for collection and payment to the rightful claimants of removal and  impounding fees when impounded livestock is surrendered to the owner.  Upon disposal, the total amount of removal and impounding fees shall  be made known to the selling agency at the market or slaughter plant  by the inspector and shall constitute a first claim on the net proceeds  of the livestock after shipping and disposal expenses have been paid,  and shall be forwarded by the selling agency to the claimant.
  5. Should the proceeds of the disposition  of any impounded animal be insufficient to pay all legitimate shipping  and disposal expenses and the removal and impounding fees approved  by the inspector, the deficiency shall be paid by the board or its  agency.
  6. The net proceeds, if any, from the disposition  of the impounded livestock after deduction of removal, impounding,  trucking and disposal expenses, shall be forwarded to the estray account  of the board. The board shall hold the proceeds until paid to the  rightful owner of the livestock or otherwise disposed of according  to law.
  7. A peace officer may remove, destroy or  otherwise dispose of an animal injured on a state highway after a  reasonable attempt to locate the owner of a salvageable animal or  a game warden in the case of a wild animal. If reasonably possible,  the peace officer shall contact the brand inspector before removing,  destroying or disposing of livestock. The carcass of an animal killed  on a state highway shall be disposed of by highway maintenance crews.  If the owner desires, he may claim the carcass from the maintenance  crew. The crews shall report to the inspector brands, marks, tags  or other identification. The inspector shall endeavor to establish  ownership of the animal and notify the owner in writing or notify  the local game warden as may be appropriate. Notwithstanding W.S. 24-1-112 and as part of their duties, any peace officer, inspector  or other person acting under this section may, but is not obligated  to, attempt to repair any fencing through which an animal has gained  improper access to the area in which the animal is found.

History. Laws 1919, ch. 109, §§ 1, 2; C.S. 1920, § 3119; Laws 1921, ch. 108, § 1; R.S. 1931, § 67-230; C.S. 1945, § 56-1813; Laws 1951, ch. 50, § 1; 1955, ch. 15, § 1; Laws 1957, ch. 71, § 1; W.S. 1957, § 11-507; Laws 1961, ch. 46, § 53; 1975, ch. 68, § 1; W.S. 1977, § 11-30-110 ; Laws 1978, ch. 32, § 1; 1981, ch. 98, § 2; ch. 131, § 1; 1999, ch. 3, § 1; 2004, ch. 130, § 1; 2010, ch. 80, § 1; 2013, ch. 47, § 1; ch. 76, § 1.

Cross references. —

As to other provisions concerning animals on open range or public places, see §§ 11-20-101 to 11-20-125 .

The 2004 amendment, in (a), substituted “W.S. 31-18-801(a)(xvi)” for “W.S. 31-5-1001(a)(xv).”

Laws 2004, ch. 130, § 4, makes the act effective immediately upon completion of all acts necessary for a bill to become law as provided by art. 4, § 8, Wyo. Const. Approved March 19, 2004.

The 2010 amendment, effective July 1, 2010, in (c), substituted “dispose of the impounded livestock” for “ship the impounded livestock to the nearest available market to be sold as estrays,” substituted “disposal expenses” for “sales expenses,” and substituted “of the disposal, if any” for “of the sale”; in (d), substituted “ten dollars ($10.00)” for “five dollars ($5.00),” substituted “Upon disposal” for “Upon shipment to a marked,” inserted “or slaughter plant,” and substituted “disposal expenses” for “sales expenses”; in (e) and (f), substituted “the disposition” for “sale,” and substituted “disposal expenses” for “sales expenses”; and in (e), substituted “deficiency shall be paid” for “deficit shall be paid.”

The 2013 amendments. — The first 2013 amendment, by ch. 47, § 1, effective July 1, 2013, in (a) substituted “two hundred dollars ($200.00)” for “fifty dollars ($50.00)” following “not less than;” in (d) substituted “twenty dollars ($20.00)” for “ten dollars ($10.00)” following “not to exceed,” substituted “for expenses incurred for the feed and care of the animal” for “of not to exceed ten dollars ($10.00) per day per head” following “impounding fee.”

The second 2013 amendment, by ch. 76, § 1, added the last sentence in (g).

While neither amendment gave effect to the other, both have been given effect in this section as set out above.

Laws 2013, ch. 76, § 2, makes the act effective immediately upon completion of all acts necessary for a bill to become law as provided by art. 4, § 8, Wyo Const. Approved February 27, 2013.

Conflicting legislation. —

Laws 2004, ch. 130, § 3, provides: “Any other act adopted by the Wyoming legislature during the same session in which this act is adopted shall be given precedence and shall prevail over the amendments in this act to the extent that such acts are in conflict with this act.”

Law in this state differs from common-law rule. —

It is not the law in this state that the owner of cattle is required to confine them, or to prevent them from straying or wandering upon the uninclosed premises of another or in default thereof to respond in damages for their trespasses upon uninclosed lands. That is the common-law rule, but it is and always has been inconsistent with the conditions and customs existing here. Hinkle v. Siltamaki, 361 P.2d 37, 1961 Wyo. LEXIS 88 (Wyo. 1961).

Summary judgment inappropriate on issue of negligence. —

Genuine issues of material fact existed where car's passenger was killed as result of collision of car with cattle on paved portion of road; jury should determine what type of precautions ranchers, as reasonable persons under all the circumstances, should have taken to keep their cattle off roadway, and jury must be body to determine from conflicting evidence what precautions were actually taken by the ranchers, and whether cattle were drifting from their summer pastures since the record suggested the ranchers may have been using fenced roadway as a catchpen or corral for their cattle. Schwartz Roitz v. Kidman, 913 P.2d 431, 1996 Wyo. LEXIS 41 (Wyo. 1996).

Summary judgment was improperly granted in a negligence case arising from a motor vehicle accident involving a cow roaming on a highway, because there was a genuine issue of material fact as to whether this section was violated when the cow escaped from a fence that was either damaged or unsecured. There was a conflict in the testimony regarding the cause of the opening in the fence holding the cow. Hincks v. Walton Ranch Co., 2007 WY 12, 150 P.3d 669, 2007 Wyo. LEXIS 12 (Wyo. 2007).

Protection of public road users subject to exception as to wandering range cattle. —

While this section was probably inspired mostly for protection of users of the public ways, and it evidences the lawmakers' alertness to give at least some protection against hazards which accompany use of the public's roads, yet, at the same time, special exception from this section was made in favor of range cattle (now any livestock going to or returning from accustomed ranges) drifting into such public lanes or fenced roads. Chicago & N. W. R.R. v. Bishop, 390 P.2d 731, 1964 Wyo. LEXIS 92 (Wyo. 1964).

Proof of knowledge, consent or willfulness necessary for conviction. —

A statute making it unlawful for an owner of livestock “to permit” them to run at large implies knowledge, consent and willfulness on the part of the owner or such negligent conduct as is equivalent thereto, so that the proof of one of these elements is essential either to a conviction or an assessment of damages growing out of a violation. Hinkle v. Siltamaki, 361 P.2d 37, 1961 Wyo. LEXIS 88 (Wyo. 1961).

Horse's mere presence on highway not violation. —

Where the plaintiff truck driver, whose vehicle collided with the defendant's horse on a fenced public highway, failed to present any evidence of the defendant's negligence, the mere presence of the horse on the highway failed to establish a violation of this section. Nylen v. Dayton, 770 P.2d 1112, 1989 Wyo. LEXIS 93 (Wyo. 1989).

Applied in

Neal v. Wailes, 346 P.2d 132 (Wyo. 1959); Hill v. Park County ex rel. Bd. of County Comm'rs, 856 P.2d 456, 1993 Wyo. LEXIS 125 (Wyo. 1993).

Quoted in

Gilliland v. Steinhoefel, 521 P.2d 1350, 1974 Wyo. LEXIS 205 (Wyo. 1974).

Stated in

Ellsworth Bros. v. Crook, 406 P.2d 520, 1965 Wyo. LEXIS 161 (Wyo. 1965).

§ 11-24-109. Record to be kept of estrays found in shipments in transit of cattle or horses.

All inspectors shall keep a record of all estrays found in any shipment of cattle or horses in transit from this state, and shall take a receipt for the estrays from the shipper, or in default of a receipt, shall take the estray from the shipment, giving the shipper a receipt for the estrays on behalf of the livestock board.

History. Laws 1890-91, ch. 33, § 25; R.S. 1899, § 2053; C.S. 1910, § 2661; C.S. 1920, § 3158; R.S. 1931, § 67-506; C.S. 1945, § 56-1814; W.S. 1957, § 11-508; W.S. 1977, § 11-30-111 ; Laws 1978, ch. 32, § 1.

Proof of affidavit. —

Secretary of livestock board may, in his discretion, require proof in corroboration of a claimant's affidavit, in addition to that required by statute for receiving payment of proceeds from sale of estrays. State ex rel. Foote v. Board of Live-Stock Comm'rs, 4 Wyo. 126, 32 P. 114, 1893 Wyo. LEXIS 5 (Wyo. 1893).

§ 11-24-110. Monthly report of inspector; board to keep public record.

The inspector shall make a report every thirty (30) days of all estrays to the livestock board, giving a description of the estrays, stating any brands or other marks by which the estrays may be identified. The board shall keep a record of all estrays reported, which shall at all times be open to the public for inspection.

History. Laws 1890-91, ch. 33, § 25; R.S. 1899, § 2054; C.S. 1910, § 2662; C.S. 1920, § 3159; R.S. 1931, § 67-507; C.S. 1945, § 56-1815; W.S. 1957, § 11-509; W.S. 1977, § 11-30-112 ; Laws 1978, ch. 32, § 1; 2013, ch. 47, § 1.

The 2013 amendment, effective July 1, 2013, deleted “not otherwise reported” following “thirty (30) days of all estrays.”

§ 11-24-111. Disposition of proceeds; remission to board.

All persons shipping estrays shall immediately remit to the livestock board the proceeds received for each and every estray disposed of, a receipt for which was given to an inspector. If any inspector sells an estray from this state, he shall immediately remit the proceeds to the livestock board.

History. Laws 1890-91, ch. 33, § 26; R.S. 1899, § 2039; C.S. 1910, § 2647; C.S. 1920, § 3144; R.S. 1931, § 67-120; C.S. 1945, § 56-1816; W.S. 1957, § 11-510; W.S. 1977, § 11-30-113 ; Laws 1978, ch. 32, § 1; 2010, ch. 80, § 1.

The 2010 amendment, effective July 1, 2010, substituted “every estray disposed of” for “every estray sold.”

§ 11-24-112. Disposition of proceeds; payment to owner on proof of ownership; unclaimed proceeds generally.

If the lawful owner of any estray disposed of is found within one (1) year after the end of the calendar year in which disposal of the estray occurred, the net amount received from the disposal shall be paid to the owner upon his proving ownership to the satisfaction of the board or agency. If at the end of one (1) year after the end of the calendar year in which disposal of the estray occurred, the proceeds from the disposal of any estray remains unclaimed, the proceeds shall be disposed of as provided by law.

History. Laws 1913, ch. 125, § 7; C.S. 1920, § 3185; R.S. 1931, § 67-407; C.S. 1945, § 56-1807; Laws 1951, ch. 96, § 2; W.S. 1957, § 11-512; W.S. 1977, § 11-30-114 ; Laws 1978, ch. 32, § 1; 2010, ch. 80, § 1; 2013, ch. 47, § 1.

Cross references. —

As to disposition of fees and moneys collected by the Wyoming livestock board, see § 11-18-109 .

As to disposition of unclaimed proceeds from sales of estrays to state treasurer to credit of inspection account within the earmarked revenue fund, see § 11-24-115 .

The 2010 amendment, effective July 1, 2010, substituted “any estray disposed of” for “any estray sold,” substituted “the disposal of” for “sale,” and substituted “the disposal” for “the sale less one dollar ($1.00) for each estray, to be retained by the livestock board.”

The 2013 amendment, effective July 1, 2013, added “end of the calendar year in which” following “one (1) year after the,” added “occurred” following “the estray,” and added “after the end of the calendar year in which disposal of the estray occurred,” following “one (1) year.”

Repealing clauses. —

Section 11, ch. 125, Laws 1913, repealed §§ 2670 to 2676, 2678 and 2679, ch. 177, C.S. 1910.

Cited in

Stanko v. Mahar, 419 F.3d 1107, 2005 U.S. App. LEXIS 17323 (2005).

§ 11-24-113. When shipping prohibited.

It is unlawful for any person to drive or ship, or cause to be driven or shipped, or to consign or cause to be consigned, without authority from the owner, any estray from any place within this state, except through or to a point or place where an inspector or inspectors are located by the livestock board.

History. Laws 1890-91, ch. 33, § 34; R.S. 1899, § 2047; C.S. 1910, § 2655; C.S. 1920, § 3152; R.S. 1931, § 67-128; C.S. 1945, § 56-1822; W.S. 1957, § 11-513; W.S. 1977, § 11-30-115 ; Laws 1978, ch. 32, § 1.

§ 11-24-114. Publication of list of unclaimed estrays.

  1. The executive officer of the livestock board shall annually, during  the last week of December, send two (2) lists of unclaimed estrays  for which he has received payments, to the county clerk of each county,  who shall post one (1) copy in a conspicuous place in the courthouse  and place one (1) copy on file in his office. The executive officer  shall also cause to be published in a newspaper of general circulation  in each county from which any estray included in the list was shipped,  a notice to the public that the list of estrays is available for examination.
  2. In addition to the notice under subsection  (a) of this section, not less than once each month the livestock board  shall ensure that if a new estray is taken up notice is posted at  the courthouse in the county in which the estray was taken and at  each livestock market. The notice under this subsection shall include  the location recovered from and the name of the inspector.

History. Laws 1890-91, ch. 33, § 28; R.S. 1899, § 2041; C.S. 1910, § 2649; Laws 1917, ch. 82, § 1; 1919, ch. 66, § 1; C.S. 1920, § 3146; R.S. 1931, § 67-122; C.S. 1945, § 56-1818; Laws 1951, ch. 96, § 3; W.S. 1957, § 11-514; W.S. 1977, § 11-30-116; Laws 1978, ch. 32, § 1; 2013, ch. 47, § 1.

Cross references. —

As to publication of notices required by law, see §§ 1-6-201 to 1-6-204 .

The 2013 amendment, effective July 1, 2013 added (b).

§ 11-24-115. Disposition of unclaimed proceeds to state treasurer to credit of inspection account.

On the first Monday in January of each year, all estray monies remaining unclaimed for more than one (1) year after the publication of the notices of posting of lists of unclaimed estrays, shall be paid to the treasurer of the state, and be placed to the credit of the inspection account.

History. Laws 1890-91, ch. 33, § 30; R.S. 1899, § 2043; C.S. 1910, § 2651; C.S. 1920, § 3148; Laws 1921, ch. 4, § 1; R.S. 1931, § 67-124; C.S. 1945, § 56-1820; Laws 1951, ch. 96, § 4; W.S. 1957, § 11-515; Laws 1961, ch. 46, § 54; 1973, ch. 245, § 3; W.S. 1977, § 11-30-117; Laws 1978, ch. 32, § 1; 2005, ch. 231, § 1.

Cross references. —

As to disposition of proceeds from sales of estrays, see §§ 11-24-111 and 11-24-112 .

The 2005 amendment effective July 1, 2005, deleted “within the earmarked revenue fund” at the end.

Conflicting legislation. —

Laws 2005, ch. 231, § 3, provides: “The provisions of this act shall supersede the provisions of any other bill enacted into law during the 2005 general session which amends or references accounts or funds to the extent any other enactment is inconsistent with the establishment of the funds and accounts created under this act. The state auditor shall account for any fund or account created in any other legislation enacted in the 2005 general session in accordance with generally accepted accounting principles (GAAP) as promulgated by the governmental accounting standards board (GASB) and in accordance with this act.”

Chapter 25 Pari-Mutuel Wagering

Editor's notes. —

Laws 2020, ch. 114, § 1, provides: “(a) Notwithstanding W.S. 6-7-102 , skill based amusement games operating in the state prior to the effective date of this section shall be allowed to continue operation until June 30, 2021 in accordance with the requirements of this section.

“(b) Any skill based amusement game that does not meet the requirements of this section shall be removed from the state by the operator.

“(c) Within sixty (60) days of the effective date of this section a skill based amusement game that meets the requirements of this section shall be approved by the commission to continue operating in the state or it shall be removed from the state by the operator.

“(d) Each operator shall provide for a nationally recognized, independent gaming laboratory approved by the commission to directly submit to the commission a general functional evaluation laboratory report regarding the software installed on each skill based amusement game indicating whether the skill based amusement game is in compliance with this section. Any skill based amusement game that does not meet the requirements of this section as indicated by the laboratory report shall immediately be removed from the state by the operator.

“(e) Skill based amusement games that meet the requirements of this section shall bear a commission issued decal that identifies the operator of the game. No skill based amusement game shall be operational unless it bears a commission issued decal. The commission shall charge a fee of fifty dollars ($50.00) for a decal. Each decal shall include the bucking horse and rider emblem. Fees collected shall be deposited to the commission gaming account, which is hereby created. For the period from the effective date of this section through June 30, 2021, funds within the account are continuously appropriated to the commission to pay for reasonable expenses incurred to administer this section.

“(f) No skill based amusement game shall allow a game play of more than three dollars ($3.00) per play.

“(g) No skill based amusement game shall allow a payout of more than three thousand dollars ($3,000.00) per play.

“(h) No establishment shall have more than four (4) skill based amusement games at any one (1) time. Only an establishment that had a skill based amusement game operating within the establishment as of the effective date of this section may continue to have a skill based amusement game operating pursuant to this section.

“(j) An establishment shall not locate a skill based amusement game in an area of the establishment into which a person under the age of twenty-one (21) years may enter. An establishment shall conspicuously mark each area of the establishment with a skill based amusement game as an ‘age restricted area.’ The establishment shall not allow a person under the age of twenty-one (21) years to play a skill based amusement game.

“(k) An establishment shall pay the commission a fee of two hundred fifty dollars ($250.00) to continue to have skill based amusement games in the establishment until June 30, 2021. Operators of skill based amusement games shall pay the commission a fee of two thousand five hundred dollars ($2,500.00) to operate skill based amusement games until June 30, 2021. Fees paid pursuant to this subsection shall be deposited into the commission gaming account.

“(m) Taxes shall be calculated and paid on a weekly basis based on the net proceeds earned during the prior week on skill based amusement games. On a weekly basis, an operator shall remit to the commission an amount equivalent to twenty percent (20%) of the net proceeds earned during the prior week on the operator's skill based amusement games. The commission shall deposit these monies to the commission gaming account. The commission shall report on amounts received under this subsection to the joint appropriations committee quarterly. Once the commission gaming account reaches one million dollars ($1,000,000.00), on a weekly basis, an operator shall remit to the commission an amount equivalent to twenty percent (20%) of the net proceeds earned during the prior week on the operator's skill based amusement games and of the twenty percent (20%), the commission shall remit these monies to the state treasurer for distribution as follows:

“(i) Forty-five percent (45%) to the county and the city or town in which the skill based amusement game is located, in equal shares, or to the county alone if the skill based amusement game is not located within the boundaries of a city or town;

“(ii) Forty-five percent (45%) to the school foundation program account;

“(iii) Ten percent (10%) to the commission gaming account.

“(n) The commission may promulgate any necessary rules to implement and administer this section.

“(o) This section shall not apply to pari-mutuel wagering on events that have previously occurred.

“(p) As used in this section:

“(i) ‘Commission’ means the commission created under W.S. 11-25-101 ;

“(ii) ‘Establishment’ means a single physical place of business;

“(iii) ‘Net proceeds’ means all revenue less payments to the player;

“(iv) ‘Operator’ means a person that possesses and operates skill based amusement games for profit;

“(v) ‘Skill based amusement game’ means a game played in exchange for consideration of cash, credit or other thing of value on a fixed, commercial electrical gaming device in which the bona fide skill of the player, determined by an individual's level of strategy and skill, rather than any inherent element of chance, is the primary factor in determining the outcome and for which the player may be awarded a prize or other thing of value for a successful outcome.

“(q) Any person who violates any provision of this section is guilty of a misdemeanor and shall be fined not more than ten thousand dollars ($10,000.00), imprisoned for not more than six (6) months, or both. Each violation of this section shall constitute a separate offense.

“(r) This section is repealed effective July 1, 2021.”

Laws 2020, ch. 114, § 3, provides: “(a) The Wyoming pari-mutuel commission is continued as the Wyoming gaming commission, as provided in this act. All positions, personnel, appropriations, property and equipment of the Wyoming pari-mutuel commission shall be under control of the Wyoming gaming commission, as created by this act. The validity of rules, regulations, orders, contracts, agreements or other obligations of the Wyoming pari-mutuel commission shall not be affected by this act.

“(b) Notwithstanding any other provision of this act, members of the Wyoming pari-mutuel commission shall continue their current terms as members of the Wyoming gaming commission.

“(c) The appointment of the newly created eighth and ninth members to the Wyoming gaming commission may be made under this act on or after the effective date of this section.”

Am. Jur. 2d, ALR and C.J.S. references. —

Liability for injury or death of participant in automobile or horse race at public track, 13 ALR4th 623.

Judicial review of administrative ruling affecting conduct or outcome of publicly regulated horse, dog or motor vehicle race, 36 ALR4th 1169.

Validity, construction and application of statute or ordinance prohibiting or regulating use of messenger services to place wagers in pari-mutuel pool, 78 ALR4th 483.

§ 11-25-101. Wyoming [pari-mutuel gaming ] commission created; composition; qualifications. [BRACKETED BOLDED LANGUAGE REINSERTED AND SHOWN AS STRICKEN AS A RESULT OF THE REPEAL OF 2020 WYO. SESS. LAWS CH. 114]

The Wyoming [pari-mutuel gaming ] commission is created to be composed of [seven (7) nine (9) ] persons who have resided in the state for four (4) years and are qualified electors of Wyoming. [BRACKETED BOLDED LANGUAGE REINSERTED AND SHOWN AS STRICKEN AS A RESULT OF THE REPEAL OF 2020 WYO. SESS. LAWS CH. 114]

History. Laws 1967, ch. 245, § 1; W.S. 1957, § 11-497.1; Laws 1969, ch. 64, § 5; 1971, ch. 115, § 1; W.S. 1977, § 11-29-101 ; Laws 1978, ch. 32, § 1; 1986, ch. 117, § 1; 2020, ch. 114, § 2.

Legislative Service Office note. —

Laws 2021, ch. 109 § 6 contained a scrivener’s error that inadvertently repealed Laws 2020, ch. 114 in its entirety. Drafting practices dictate that the repeal should have been limited to the noncodified § 1. The effect of the scrivener's error was to repeal the original legislative enactment of laws codified in the Wyoming Statutes. The text in this section shown in bold and bracketed is text that was affected by the repeal of the original legislative enactment. The bold and bracketed emphasis is included to provide context and clarity to the legislative history of this section.

The 2020 amendment, substituted “Wyoming gaming commission” for “Wyoming pari-mutuel commission” and “nine (9)” for “seven (7).”

Laws 2020, ch. 114, § 6, makes the act effective immediately upon completion of all acts necessary for a bill to become law as provided by art. 4, § 8, Wyo. Const. Approved March 17, 2020.

Cited in

Ballard v. Wyoming Pari-Mutuel Comm'n, 750 P.2d 286, 1988 Wyo. LEXIS 14 (Wyo. 1988).

Law reviews. —

For article, “The Wyoming Criminal Code Revisited: Reflections after Fifteen Years,” see XXXIII Land and Water L. Rev. 523 (1998).

Am. Jur. 2d, ALR and C.J.S. references. —

Liability of owner or operator of horse or dog racing track for injury from racing operations or conditions of premises, 87 ALR2d 1179.

§ 11-25-102. Definitions.

  1. As used in this act:
    1. “Breeder award” means monies collected pursuant to W.S. 11-25-201(j) and distributed by the commission to promote the improved breeding and development of the horse industry in Wyoming. Breeder awards may include purse enhancement of Wyoming bred races;
    2. “Commission” means the Wyoming [pari-mutuel gaming ]  commission; [BRACKETED BOLDED LANGUAGE REINSERTED AND SHOWN AS STRICKEN AS A RESULT OF THE REPEAL OF 2020 WYO. SESS. LAWS CH. 114]
    3. “Drug” means any substance foreign to  a horse’s body as prescribed by the commission;
    4. “Event” means a pari-mutuel event;
    5. “Pari-mutuel event” means the events which are authorized by the commission for the conduct of horse racing (to include quarter horse, thoroughbred or other approved races), harness racing, cutter racing, chariot racing, chuckwagon racing, professional roping and rodeo events and simulcasting of dog racing and the events described in this paragraph as prescribed by the commission. Notwithstanding W.S. 6-7-101(a)(iv) and 11-25-203 , the commission may authorize and promulgate rules providing for pari-mutuel wagering on events that have previously occurred, utilizing an electronic system or device that affords an opportunity for the exercise of skill or judgment where the outcome is not completely controlled by chance alone;
    6. “Pari-mutuel wagering” means wagering  on the outcome of pari-mutuel events in which those who wager purchase  tickets of various denominations on entrants in the events and all  wagers for each event are pooled and held by the permittee for distribution,  and when the outcome of the event has been decided, the permittee  distributes the total wagers comprising the pool, less an amount not  greater than twenty-five and nine-tenths percent (25.90%) for live  racing and in the event of simulcasting an amount not to exceed the  percentage allowed at the host track or thirty-five percent (35%),  whichever is less and less the amount for breakage to holders of tickets  on the winning entries;
    7. “Simulcasting” means the sale of pari-mutuel pools electronically transmitted live or historic on interstate or intrastate pari-mutuel events as prescribed by the commission. The commission shall authorize simulcasting subject to the following conditions:
      1. Simulcasting may be conducted only by  a holder of a permit to simulcast issued under this act. The permit  shall be authorized by the commission for a period not to exceed three  (3) years from the date of issuance. The commissioners shall issue  a simulcast permit only to an applicant authorized under this act  to conduct a pari-mutuel event other than simulcasting;
      2. Simulcasting may be conducted off the  permitted premises only if the board of county commissioners of the  county in which such simulcasting will be conducted grant [grants]  its approval;
      3. No simulcasting may be conducted within  one hundred (100) miles of any premises permitted under this act,  except that the commission may waive the one hundred (100) mile limitation  if the simulcast permit application includes written approval from  the permittee whose permitted premises is within the one hundred (100)  mile limitation;
      4. The commission shall promulgate rules  for conducting simulcasting as are reasonably necessary to protect  the public interest.
    8. “This act” means W.S. 11-25-101 through 11-25-306 ;
    9. “Multiple wagering” means wagers which  consist of a single betting interest on two (2) entries;
    10. “Exotic wagering” means wagers which consist  of a single betting interest on three (3) or more entries;
    11. “Advance deposit pari-mutuel wager” means  a wager in which a person who has opened an account in advance with  a licensee can place wagers from this account in person, by telephone  or other electronic means;
    12. “Horsemen’s association” means the association  that represents the majority of the owners and trainers licensed by  the commission to race horses at an event;
    13. “Out-of-state simulcast facility” means  a track or other facility, located within a jurisdiction other than  Wyoming, at which pari-mutuel wagers are placed, accepted or distributed,  either in person or electronically, on simulcast races pursuant to  proper authorization under the laws of that jurisdiction;
    14. “Source market fee” means a license fee, assessed by the commission pursuant to W.S. 11-25-201(m), payable by out-of-state simulcast facilities that conduct pari-mutuel wagering on simulcast races and that accept wagers from Wyoming residents by telephone or other electronic means at those facilities; [ (xv) “Net proceeds” means all revenue less the payment to the player; ] [BRACKETED BOLDED LANGUAGE SHOWN AS STRICKEN AS A RESULT OF THE REPEAL OF 2020 WYO. SESS. LAWS CH. 114]
    15. “Establishment” means a single physical place of business;
    16. “Operator” means a person who possesses and operates an establishment where skill based amusement games may be played for profit;
    17. “Skill” means a player’s knowledge, dexterity or any other ability or expertise relevant to game play;
    18. “Skill based amusement game” means a game played in exchange for consideration of cash, credit or other thing of value on a fixed, commercial electrical gaming device in which the bona fide skill of the player, determined by an individual’s level of strategy and skill, rather than any inherent element of chance, is the primary factor in determining the outcome and for which the player may be awarded a prize or other thing of value for a successful outcome. “Skill based amusement game” shall not include any game played for prizes of nominal value as provided by rule of the commission;
    19. “Vendor” means a person who owns and distributes a skill based amusement game to an operator for profit.

History. Laws 1967, ch. 245, § 1; W.S. 1957, § 11-497.1; Laws 1969, ch. 64, § 5; 1971, ch. 115, § 1; W.S. 1977, § 11-29-101 ; Laws 1978, ch. 32, § 1; 1986, ch. 117, § 1; 1987, ch. 28, § 1; 1991, ch. 145, § 1; ch. 148, § 1; 2001, ch. 117, § 1; 2003, ch. 199, § 1; 2006, ch. 26, § 1; 2010, ch. 17, § 1; 2011, ch. 6, § 1; 2012, ch. 4, § 1; 2013, ch. 75, § 1; 2020, ch. 114, § 2; ch. 133, § 1; 2021, ch. 109, § 2.

Legislative Service Office note. —

Laws 2021, ch. 109 § 6 contained a scrivener’s error that inadvertently repealed Laws 2020, ch. 114 in its entirety. Drafting practices dictate that the repeal should have been limited to the noncodified § 1. The effect of the scrivener's error was to repeal the original legislative enactment of laws codified in the Wyoming Statutes. The text in this section shown in bold and bracketed is text that was affected by the repeal of the original legislative enactment. The bold and bracketed emphasis is included to provide context and clarity to the legislative history of this section.

The 2006 amendment, effective July 1, 2006, inserted “for live racing and in the event of simulcasting an amount not to exceed the percentage allowed at the host track or thirty-five percent (35%), whichever is less” in (a)(vi).

The 2010 amendment, effective January 1, 2011, added (a)(xii).

The 2011 amendment, effective July 1, 2011, added (a)(xiii) and (a)(xiv).

The 2012 amendment, effective July 1, 2012, in (a)(vii)(A), deleted “annually” following “authorized,” and substituted “period not to exceed three (3) years from the date of issuance” for “specified number of days.”

The 2013 amendment, effective July 1, 2013, added the last sentence in (a)(v); and added “electronically transmitted live or historic,” and deleted “televised” in (a)(vii).

The 2020 amendments. — The first 2020 amendment, by ch. 114, § 2, in (a)(ii) substituted “Wyoming gaming commission” for “Wyoming pari-mutuel commission”; and added (a)(xv).

Laws 2020, ch. 114, § 6, makes the act effective immediately upon completion of all acts necessary for a bill to become law as provided by art. 4, § 8, Wyo. Const. Approved March 17, 2020.

The second 2020 amendment, by ch. 133, § 1, effective July 1, 2020, substituted “professional roping and rodeo events” for “professional roping events.”

While neither amendment gave effect to the other, both have been given effect in this section as set out above.

The 2021 amendment, substituted "11-25-201(j)" for "11-25-105(j)" in (a)(i); substituted "11-25-203" for "11-25-107" in (a)(v); substituted "11-25-306" for "11-25-113" in (a)(viii); substituted "11-25-201(m)" for "11-25-105(m)" in (a)(xiv); and added (a)(xvi) through (a)(xx).

Laws 2021, ch. 109, § 7, makes the act effective immediately upon completion of all acts necessary for a bill to become law as provided by art. 4, § 8, Wyo. Const. Approved April 5, 2021.

Editor's notes. —

There is no subsection (b) in this section as it appears in the printed acts.

Simulcasting. —

Definition of “simulcasting” set out in Wyo. Stat. Ann. § 11-25-102(a)(vii)(C) suggests that pari-mutuel races are generally live events. Wyoming Downs Rodeo Events v. Company V., 2006 WY 55, 134 P.3d 1223, 2006 Wyo. LEXIS 65 (Wyo. 2006).

Am. Jur. 2d, ALR and C.J.S. references. —

Contracts for breeding horses, 34 ALR5th 651.

§ 11-25-103. [Pari-mutuel Gaming ] commission; appointment, terms of office and political affiliation of members; vacancies; appointment districts. [BRACKETED BOLDED LANGUAGE REINSERTED AND SHOWN AS STRICKEN AS A RESULT OF THE REPEAL OF 2020 WYO. SESS. LAWS CH. 114]

The governor with the consent of the senate shall appoint the [seven (7) nine (9) ] members of the commission in accordance with W.S. 28-12-101 through 28-12-103 . [One (1) member Seven (7) of the nine (9) members ] shall be appointed from each appointment district under W.S. 9-1-218 . [ One (1) of the remaining members shall be, at the time of appointment and during the term of appointment, an active county or municipal law enforcement officer certified under title 9, chapter 1, article 7 of the Wyoming statutes. One (1) of the remaining members shall be an enrolled member of the Northern Arapaho or Eastern Shoshone Indian tribe with not less than five (5) years of regulatory gaming experience. Members shall be appointed for terms of four (4) years and until their successor is appointed and qualified. Any vacancy shall be filled by appointment by the governor as provided in W.S. 28-12-101 . A member of the commission may succeed himself for one (1) full four (4) year term. The governor may remove any member as provided in W.S. 9-1-202 . Additionally, one (1) senator appointed by the president of the senate, one (1) representative appointed by the speaker of the house and one (1) gubernatorial representative shall serve as liaisons to the commission. Legislative liaisons shall be paid salary, per diem and mileage as provided in W.S. 28-5-101 when attending meetings of the commission. ] [BRACKETED BOLDED LANGUAGE REINSERTED AND SHOWN AS STRICKEN AS A RESULT OF THE REPEAL OF 2020 WYO. SESS. LAWS CH. 114]

History. Laws 1967, ch. 245, § 2; W.S. 1957, § 11-497.2; W.S. 1977, § 11-29-102 ; Laws 1978, ch. 32, § 1; 1979, ch. 17, § 2; 1986, ch. 117, § 1; 1987, ch. 28, § 1; ch. 175, § 1; 2016, ch. 119, § 1; 2020, ch. 114, § 2.

Legislative Service Office note. —

Laws 2021, ch. 109 § 6 contained a scrivener’s error that inadvertently repealed Laws 2020, ch. 114 in its entirety. Drafting practices dictate that the repeal should have been limited to the noncodified § 1. The effect of the scrivener's error was to repeal the original legislative enactment of laws codified in the Wyoming Statutes. The text in this section shown in bold and bracketed is text that was affected by the repeal of the original legislative enactment. The bold and bracketed emphasis is included to provide context and clarity to the legislative history of this section.

The 2016 amendment , effective July 1, 2016, deleted the former second sentence, which read, “No more than four (4) members shall be registered in the same political party.”

The 2020 amendment, substituted “nine (9)” for “seven (7)” and “Seven (7) of the nine (9) members” for “One (1) member” and added the third and fourth sentences and the last two sentences.

Laws 2020, ch. 114, § 6, makes the act effective immediately upon completion of all acts necessary for a bill to become law as provided by art. 4, § 8, Wyo Const. Approved March 17, 2020.

Editor's notes. —

Laws 2016, ch. 119 § 3, provides: “Nothing in this act shall be deemed to affect the current term of any member of any authority, board, commission, committee or council. The governor shall make appointments in accordance with this act for any vacancy occurring on or after the effective date of this act.”

§ 11-25-104. [Pari-mutuel Gaming ] commission; officers; director; meetings; quorum; records; licenses generally; effect of financial interest in events. [BRACKETED BOLDED LANGUAGE REINSERTED AND SHOWN AS STRICKEN AS A RESULT OF THE REPEAL OF 2020 WYO. SESS. LAWS CH. 114]

  1. The commission shall annually elect from its membership a president and vice-president, and may employ a director who has a working knowledge of pari-mutuel betting[ and]  horse racing [and other forms of gaming regulated by the commission ]  or an executive secretary, or both. The director may be retained on a yearly basis or for the racing season only as determined by the commission. Salary for the director or executive secretary shall be determined by the commission with the consent of the personnel division. The commission may also employ other personnel required to carry out this act. [BRACKETED BOLDED LANGUAGE REINSERTED AND SHOWN AS STRICKEN AS A RESULT OF THE REPEAL OF 2020 WYO. SESS. LAWS CH. 114]
  2. The commission shall hold an annual fall meeting in Wyoming and shall hold special meetings at such times and places within Wyoming as the majority of the members determine. A majority of the commission constitutes a quorum and a majority vote of a quorum may act for the commission. The secretary of the commission shall keep a record of the proceedings of the commission which is open at all times for public inspection. Legislative liaisons shall be considered members of the governing body of the commission for purposes of attending executive sessions held pursuant to W.S. 16-4-405(a) only.
  3. Any member of the commission who has a personal or private interest in any matter proposed or pending before the commission shall publicly disclose this fact to the commission and shall not vote on the matter.
  4. Any member of the commission who owns or has any interest, or whose spouse or member of his immediate family has any interest, in any activity regulated by the commission or in an animal participating in a pari-mutuel event shall disclose that interest and shall not participate in any commission decision involving a protest regarding that activity or occurring at that pari-mutuel event.
  5. The commission [shall may ]  authorize by [permits license or permit ]  and supervise all the conduct of all events provided for and regulated by this act[, and shall. The commission may ]  make reasonable rules [and regulations]  for the control, supervision and direction of applicants[]  permittees[, including regulations providing and licensees. The rules shall include procedures ]  for resolving scheduling conflicts and settling disputes between permittees[and for ]  the supervising, disciplining, suspending, fining and barring from pari-mutuel events of all persons required to be licensed [or permitted ]  by this act, and for the holding, conducting and operating of all pari-mutuel events [conducted]  pursuant to this act. The commission may require that license applicants be fingerprinted for identification purposes as a condition of licensing. The commission shall announce the place, time and duration of pari-mutuel events for which license or permit fees shall be required and establish reasonable fees for all licenses and permits provided for by this act. The fees shall be established to ensure that the costs of administering this act are recovered through the total revenues received under this act. The commission shall establish security access safeguards for licensees to use for advance deposit pari-mutuel wagering. The commission shall prohibit advance deposit pari-mutuel advertising that it determines to be deceptive to the public. [BRACKETED BOLDED LANGUAGE REINSERTED AND SHOWN AS STRICKEN AS A RESULT OF THE REPEAL OF 2020 WYO. SESS. LAWS CH. 114]
  6. Each permittee, participant and employee of a permittee or participant who is directly involved in the horse racing or pari-mutuel wagering activities of the permittee or participant, as defined in commission rule and regulation, shall be licensed by the commission and shall comply with all rules and regulations and all orders issued by the commission. No person shall hold any event with pari-mutuel wagering without obtaining a permit.
  7. The commission may delegate authority to enforce rules of the commission and this act to three (3) stewards at each pari-mutuel event, at least one (1) of whom shall be an employee of and selected by the commission. The commission shall require at least one (1) steward to supervise each simulcast location that is approved by the commission. Stewards shall exercise such reasonable and necessary authority as is designated by rules of the commission including the following:
    1. Enforce rules of the commission and this act;
    2. Rule on the outcome of events;
    3. Levy fines not to exceed one thousand dollars ($1,000.00) for violations of rules of the commission. Violations shall be reported daily and fines paid to the commission within forty-eight (48) hours of imposition and notice;
    4. Suspend licenses not to exceed thirty (30) calendar days for violations of rules of the commission. Suspensions shall be reported to the commission daily;
    5. Recommend the commission impose fines or suspensions greater than permitted by paragraphs (iii) and (iv) of this subsection.
  8. Only a licensed steward of the permitted event may impose fines or license suspensions except that a starter may impose fines when horses arrive at the gate until off time in an amount not exceeding two hundred dollars ($200.00).
  9. Any fine or license suspension imposed by a steward or fine imposed by a starter may be appealed in writing to the commission within five (5) days after its imposition. The commission may affirm or reverse the decision of a steward or starter or may increase or decrease any fine or suspension. A fine imposed by the commission shall not exceed ten thousand dollars ($10,000.00). Suspensions of a license may be for any period of time, but shall be commensurate with the seriousness of the offense.
  10. The commission shall access criminal history record information for all operators and vendors under chapter 3 of this article and all licensees, permittees and employees of the commission under W.S. 9-1-627(d) for the purposes of this act. Every applicant for a permit or license under this act shall provide the commission fingerprints and other information necessary for a criminal history record background check as provided under W.S. 7-19-201 .
  11. The commission shall establish the number of actual live horse racing or pari-mutuel event days required to qualify for a simulcasting permit. The commission shall adopt rules governing establishment of live horse racing or pari-mutuel event days required for a simulcasting permit in a manner that ensures fair and equitable involvement of all affected parties, including consideration of the economic viability of those days to permit applicants. [ (n) Commencing July 1, 2020, any person conducting an activity as specified by W.S. 6-7-101 (a)(iii)(D) or (F) shall first obtain a license from the commission. Under this subsection, the commission shall not charge license applicants any fee and shall not require any fee for any license issued. Any person required to be licensed under this subsection shall file an annual report with the commission as specified by rule. ] [BRACKETED BOLDED LANGUAGE SHOWN AS STRICKEN AS A RESULT OF THE REPEAL OF 2020 WYO. SESS. LAWS CH. 114] [ (o) In addition to all other duties, the commission, in the reasonable exercise of its discretion, shall: ]
    1. E[nforce W.S. 6-7-101 through 6-7-104 ; ]
    2. Regulate online sports wagering and sports wagering operators and vendors under W.S. 9-24-101 through 9-24-106 . [BRACKETED BOLDED LANGUAGE SHOWN AS STRICKEN AS A RESULT OF THE REPEAL OF 2020 WYO. SESS. LAWS CH. 114]

History. Laws 1967, ch. 245, § 3; W.S. 1957, § 11-497.3; W.S. 1977, § 11-29-103 ; Laws 1978, ch. 32, § 1; 1986, ch. 117, § 1; 1987, ch. 28, § 1; 1991, ch. 148, § 1; 2003, ch. 199, § 1; 2006, ch. 26, § 1; 2010, ch. 17, § 1; 2011, ch. 33, § 1; 2020, ch. 114, § 2; 2021, ch. 100, § 2; ch. 109, § 2.

Legislative Service Office note. —

Laws 2021, ch. 109 § 6 contained a scrivener’s error that inadvertently repealed Laws 2020, ch. 114 in its entirety. Drafting practices dictate that the repeal should have been limited to the noncodified § 1. The effect of the scrivener's error was to repeal the original legislative enactment of laws codified in the Wyoming Statutes. The text in this section shown in bold and bracketed is text that was affected by the repeal of the original legislative enactment. The bold and bracketed emphasis is included to provide context and clarity to the legislative history of this section.

The 2006 amendment, effective July 1, 2006, deleted the last sentence in (j), which read: “The commission is authorized to access criminal history record information for all licensees, permittees and employees of the commission under W.S. 9-1-627(d) for the purposes of this act” and added (k).

The 2010 amendment, effective January 1, 2011, added (m).

The 2011 amendment, effective July 1, 2011, in (f), inserted “of a permittee or participant who is directly involved in the horse racing or pari-mutuel wagering activities of the permittee or participant, as defined in commission rule and regulation”; and in (g)(iii), substituted “one thousand dollars ($1,000.00)” for “two hundred dollars ($200.00).”

The 2020 amendment, in (a) added “and other forms of gaming regulated by the commission” following “horse racing” and made a related change; in (e) substituted “may authorize by license or permit” for “shall authorize by permits,” “this act. The commission may make” for “this act, and shall make,” “rules” for “rules and regulations,” “applicants, permittees and licensees. The rules shall include procedures for resolving” for “applicants permittees, including regulations providing for resolving,” “between permittees, for the supervising” for “between permittees and the supervising,” “to be licensed or permitted” for “to be licensed,” and “pari-mutuel events pursuant” for “pari-mutuel events conducted pursuant”; and added (n) and (o).

Laws 2020, ch. 114, § 6, makes the act effective immediately upon completion of all acts necessary for a bill to become law as provided by art. 4, § 8, Wyo. Const. Approved March 17, 2020.

The 2021 amendments. —

The first 2021 amendment, by ch. 100, § 2, effective September 1, 2021, in (d), added "any activity regulated by the commission or in" and "regarding that activity or"; added the (o)(i) designation; added (o)(ii); and made related changes.

The second 2021 amendment, by ch. 109, § 2, added the last sentence in (b); in the first sentence of (k), substituted "shall" for "is authorized to" and added "operators and vendors under chapter 3 of this article and all."

Laws 2021, ch. 109, § 7, makes the act effective immediately upon completion of all acts necessary for a bill to become law as provided by art. 4, § 8, Wyo. Const. Approved April 5, 2021.

Editor's notes. —

There is no subsection (i) or (l) in this section as it appears in the printed acts.

Meaning of “this act.” —

For the definition of “this act,” referred to in this section, see § 11-25-102(a)(viii).

Cited in

Wyoming Downs Rodeo Events v. Company V., 2006 WY 55, 134 P.3d 1223, 2006 Wyo. LEXIS 65 (Wyo. May 4, 2006).

Quoted in

Ballard v. Wyoming Pari-Mutuel Comm'n, 750 P.2d 286, 1988 Wyo. LEXIS 14 (Wyo. 1988).

§ 11-25-105. Pari-mutuel permits; fees and reports; disposition of funds; enforcement of provisions. [Renumbered]

History. Laws 1967, ch. 245, § 4; W.S. 1957, § 11-497.4; Laws 1969, ch. 64, §§ 1 to 3; 1971, ch. 115, §§ 2, 3; 1973, ch. 27, § 1; ch. 215, § 1; ch. 245, § 3; 1974, ch. 16, § 2; 1975, ch. 55, § 1; W.S. 1977, § 11-29-104 ; Laws 1978, ch. 32, § 1; 1986, ch. 117, § 1; 1987, ch. 28, § 1; 1991, ch. 145, § 1; ch. 240, § 1; 1995, ch. 199, § 1; 1998, ch. 74, § 1; 2003, ch. 199, § 1; 2005, ch. 157, § 2; ch. 231, § 1; 2011, ch. 6, § 1; 2012, ch. 4, § 1; 2013, ch. 75, § 1; 2014, ch. 69, § 2; 2015, ch. 12, § 1; 2019, ch. 163, § 1; ch. 203, § 1; was renumbered to be § 11-25-201 , by Laws 2021, ch. 109, § 5, effective April 5, 2021.

§ 11-25-106. Qualifications as to horses; preference to Wyoming bred horses. [Renumbered]

History. Laws 1967, ch. 245, § 5; W.S. 1957, § 11-497.5; W.S. 1977, § 11-29-105 ; Laws 1978, ch. 32, § 1; 1987, ch. 28, § 1; was renumbered to be § 11-25-202 , by Laws 2021, ch. 109, § 5, effective April 5, 2021.

§ 11-25-107. Horses to race under true name; substitution of horses, concealment of identification, prohibited. [Renumbered]

History. Laws 1967, ch. 245, § 6; W.S. 1957, § 11-497.6; W.S. 1977, § 11-29-106 ; Laws 1978, ch. 32, § 1; 1987, ch. 28, § 1; was renumbered to be § 11-25-203 , by Laws 2021, ch. 109, § 5, effective April 5, 2021.

§ 11-25-108. Stimulation or retardation of animals prohibited; tests. [Renumbered]

History. Laws 1967, ch. 245, § 7; W.S. 1957, § 11-497.7; W.S. 1977, § 11-29-107 ; Laws 1978, ch. 32, § 1; 1986, ch. 117, § 1; 1987, ch. 28, § 1; was renumbered to be § 11-25-204 , by Laws 2021, ch. 109, § 5, effective April 5, 2021.

§ 11-25-109. Bribery, touting and betting by minors prohibited. [Renumbered]

History. Laws 1967, ch. 245, §§ 8, 9, 11; W.S. 1957, §§ 11-497.8, 11-497.9, 11-497.11; Laws 1973, ch. 213, § 2; W.S. 1977, §§ 11-29-108 , 11-29-109 , 11-29-111 ; Laws 1978, ch. 32, § 1; 1986, ch. 117, § 1; 1993, ch. 1, § 1; was renumbered to be § 11-25-205 , by Laws 2021, ch. 109, § 5, effective April 5, 2021.

§ 11-25-110. County elections as to pari-mutuel events. [Renumbered]

History. Laws 1967, ch. 245, § 12; W.S. 1957, § 11-497.12; W.S. 1977, § 11-29-112 ; Laws 1978, ch. 32, § 1; 1986, ch. 117, § 1; was renumbered to be § 11-25-206 , by Laws 2021, ch. 109, § 5, effective April 5, 2021.

§ 11-25-111. Bond of permittees; required; conditions; prosecution of actions. [Renumbered]

History. Laws 1967, ch. 245, §§ 13, 14; W.S. 1957, §§ 11-497.13, 11-497.14; W.S. 1977, §§ 11-29-113 , 11-29-114 ; Laws 1978, ch. 32, § 1; 1981 Sp. Sess., ch. 22, § 1; 1986, ch. 117, § 1; 1987, ch. 28, § 1; was renumbered to be § 11-25-207 , by Laws 2021, ch. 109, § 5, effective April 5, 2021.

§ 11-25-112. Penalties. [Renumbered]

History. Laws 1967, ch. 245, § 15; W.S. 1957, § 11-497.15; Laws 1969, ch. 64, § 4; W.S. 1977, § 11-29-115 ; Laws 1978, ch. 32, § 1; 1986, ch. 117, § 1; 1987, ch. 28, § 1; 2020, ch. 114, § 2; was renumbered to be § 11-25-208 , by Laws 2021, ch. 109, § 5, effective April 5, 2021.

§ 11-25-113. Removal of livestock from quarters at county or state fairs. [Renumbered]

History. Laws 1967, ch. 245, § 16; W.S. 1957, § 11-497.16; W.S. 1977, § 11-29-116; Laws 1978, ch. 32, § 1; 1986, ch. 117, § 1; was renumbered to be § 11-25-209 , by Laws 2021, ch. 109, § 5, effective April 5, 2021.

§ 11-25-201. Pari-mutuel permits; fees and reports; disposition of funds; enforcement of provisions.

  1. The commission may issue pari-mutuel permits for a specified period not to exceed three (3) years from the date of issuance to any Wyoming county, city, incorporated town, county fair board or any corporation or association which has been approved by the board of county commissioners and provides a bond acceptable to the commission. No permit shall be granted to any city, town, county, county fair board or any corporation or association except upon the express condition that it shall not, by any lease, contract, understanding or arrangement of whatever kind or nature, grant, assign or turn over to any person, corporation or association the operation or management of the pari-mutuel event permitted under this act or of the pari-mutuel system of wagering or in any manner permit any person, corporation or association to retain any of the money received for admission to the race meeting or from the operations of the pari-mutuel system. The commission shall revoke the permit of any permittee for any violation of the foregoing condition and such acts are a violation of this act. The permit is effective only for the times and at the places for which issued. In addition to all other fees and charges, there shall be charged before issuance of a permit a daily fee established by the commission to defray expenses of enforcing this act.
  2. Every Wednesday following any pari-mutuel event, the permittee shall:
    1. File a report with the commission showing the total amount of money wagered during the period;
    2. Pay an amount equal to one-quarter percent (1/4%) of the total amount wagered attributable to historic pari-mutuel events and one and one-half percent (1 1/2%) of the total amount wagered attributable to live pari-mutuel events, shown by the report to the commission, to be credited by the state treasurer to a separate account, in the manner indicated in subsection (d) of this section;
    3. Pay an amount equal to one percent (1%) of the total amount wagered attributable to historic pari-mutuel events, shown by the report to the commission, to be transferred by the commission to the county and the city or town in which the permittee is located, in equal shares, or to the county alone if the permittee is not located within the boundaries of a city or town. The county, city or town receiving an amount under this paragraph may credit that amount to the state fair account upon a majority vote of the county’s, city’s or town’s governing body; and
    4. Pay an amount equal to one-quarter percent (1/4%) of the total amount wagered attributable to historic pari-mutuel events, shown by the report to the commission, to be credited to the legislative stabilization reserve account.
  3. The permittee may retain an amount equal to nineteen and four-tenths percent (19.40%) of the total amount wagered shown by the report and may retain up to an additional five percent (5%) of the amount wagered on multiple or exotic wagers. The permittee shall retain the breakage on not more than ten cents ($.10) and retain unclaimed tickets not claimed within one (1) year following the event for the expenses of the race meet and purses and for the promotion of the racing industry.
  4. All sums paid to the commission under this act except contributions from permittees to the breeder award fund, amounts paid under paragraphs (b)(iii) and (iv) of this section, fines and penalties shall be credited to the pari-mutuel account which shall be used by the commission for the payment of all expenses incurred in enforcing this act. On a quarterly basis, the commission shall transfer amounts within the account in excess of one million five hundred thousand dollars ($1,500,000.00) to the state treasurer for credit to the legislative stabilization reserve account. All fines and penalties collected under this act shall be paid to the state treasurer and credited as provided in W.S. 8-1-109 . The state treasurer shall pay out of the account all warrants drawn by the state auditor, upon vouchers issued and signed by the president, vice-president or executive secretary of the commission. The commission shall keep an accurate and true account of all funds received and all vouchers issued by the commission. All funds received and all vouchers issued by the commission shall be audited at least biennially by the director of the state department of audit or his designee and a copy of the audit shall be delivered within thirty (30) days after completion to the governor and the commission. The costs of the audit shall be borne by the commission. The members of the commission shall receive per diem and mileage as provided in W.S. 33-1-302(a)(vii), and compensation of fifty dollars ($50.00) for each day during which they are actually engaged in the discharge of their duties. The total expenses incurred by the commission shall not exceed the total amount in the pari-mutuel account.
  5. Applications for permits shall be made to the commission and shall fully identify the applicant, include a proper financial statement showing the financial responsibility of the applicant, show the purpose and use of the permit and describe the events to be conducted and the arrangements therefor, the manner of wagering and the names and identification of those to supervise the manner of wagering and the controls and supervision by the permittee.
  6. The commission may issue, amend or refuse to issue permits in its discretion.
  7. The rules of racing set forth by the commission shall be made available to all participants of each event, and violations shall be misdemeanors punishable as provided herein.
  8. The commission shall observe and supervise the conduct of pari-mutuel wagering under permits issued by the commission and shall appoint one (1) of its members or employ one (1) or more persons to represent the commission in the administration and enforcement of this act and in the supervision of the conduct of pari-mutuel wagering and the events in connection therewith under each permit issued. Representatives of the commission shall have access to the events and to the pari-mutuel booths and records and shall be paid an amount determined by the commission plus expenses and mileage as fixed by law for state officers, payment therefor to be made by the state auditor.
  9. As a condition of receiving a pari-mutuel permit, the permittee shall agree to and shall contribute to the breeder award fund administered by the commission an amount equal to four-tenths of one percent (0.40%) of the total handle wagered during the pari-mutuel event and an additional sum equal to twenty percent (20%) of the additional amount retained pursuant to subsection (c) of this section on multiple or exotic wagers. The contribution shall be derived from the net proceeds of the race meet revenues, other than the permittee’s share of the pari-mutuel wagering handle. Contributions shall be used only for breeder awards.
  10. The commission may authorize advance deposit pari-mutuel wagering at any premise where a pari-mutuel event is authorized, provided that the licensee shall:
    1. Only accept an advance deposit pari-mutuel wager made by the person owning the account;
    2. Ensure the identification of the account owner by using methods and technologies approved by the commission;
    3. Provide a full accounting and verification of the sources of wagers at the request of, and in the form provided by, the commission;
    4. Allow the commission and agents of the commission access to its premises to determine that the rules and regulations are being followed;
    5. Not allow minors to open, own or have access to advance deposit pari-mutuel wagering accounts;
    6. Include a statement in all forms of advertising for advance deposit pari-mutuel wagering accounts that “minors are not allowed to open or have access to advance deposit pari-mutuel wagering accounts.”
  11. The commission may license, regulate and charge a source market fee to persons outside of Wyoming who conduct pari-mutuel wagering on simulcast races and who accept wagers from Wyoming residents at out-of-state simulcast facilities, and shall require out-of-state simulcast facilities licensed under this section to be maintained and operated in accordance with the laws of this state and rules of the commission. Source market fees imposed on persons licensed under this subsection shall not exceed ten percent (10%) of the gross receipts of all pari-mutuel wagering by Wyoming residents conducted by such persons at out-of-state simulcast facilities. Source market fees collected annually under this subsection shall be distributed as follows:
    1. Seventy-five percent (75%) to the live flat track permittees in this state on a number of live days basis, to be used to enhance purses at those tracks;
    2. Ten percent (10%) to in-state Wyoming simulcast permittees, weighted by the annual simulcast handle other than the advanced deposit wagering handle;
    3. Ten percent (10%) to the breeder award fund created under subsection (j) of this section; and
    4. Five percent (5%) to the commission for administrative expenses.

History. Laws 1967, ch. 245, § 4; W.S. 1957, § 11-497.4; Laws 1969, ch. 64, §§ 1 to 3; 1971, ch. 115, §§ 2, 3; 1973, ch. 27, § 1; ch. 215, § 1; ch. 245, § 3; 1974, ch. 16, § 2; 1975, ch. 55, § 1; W.S. 1977, § 11-29-104 ; Laws 1978, ch. 32, § 1; 1986, ch. 117, § 1; 1987, ch. 28, § 1; 1991, ch. 145, § 1; ch. 240, § 1; 1995, ch. 199, § 1; 1998, ch. 74, § 1; 2003, ch. 199, § 1; 2005, ch. 157, § 2; ch. 231, § 1; 2011, ch. 6, § 1; 2012, ch. 4, § 1; 2013, ch. 75, § 1; 2014, ch. 69, § 2; 2015, ch. 12, § 1; 2019, ch. 163, § 1; ch. 203, § 1; Former Wyo. Stat. § 11-25-105 was renumbered to be § 11-25-201 , by Laws 2021, ch. 109, § 5, effective April 5, 2021.

The 2005 amendments. —

The first 2005 amendment, by ch. 157, § 2, in the second sentence in (d) substituted “collected” for “assessed” and substituted “paid to the state treasurer and credited as provided in W.S. 8-1-109 ” for “credited to the county public school fund.”

Laws 2005, ch. 157, § 3, makes the act effective immediately upon completion of all acts necessary for a bill to become law as provided by art. 4, § 8, Wyo. Const. Approved February 26, 2005.

The second 2005 amendment, by ch. 231, § 1, effective July 1, 2005, substituted “a separate account” for “the account within the earmarked revenue fund” in (b)(ii); and deleted “within the earmarked revenue fund” after “pari-mutel account” in the first sentence in (d).

See the conflicting legislation note. This section is set out as directed by the legislative service office, incorporating the amendments by both 2005 acts.

The 2011 amendment, effective July 1, 2011, added (m).

The 2012 amendment, effective July 1, 2012, substituted “three (3) years from the date of issuance” for “one (1) year” in (a).

The 2013 amendment, effective July 1, 2013, in (b)(ii) added “one-half percent (1/2%) of the total amount wagered attributable to historic pari-mutuel events and” following “amount equal to,” added “attributable to live pari-mutuel events” following “amount wagered;” added (b)(iii); and in (d) added “amounts paid under paragraph (b)(iii) of this section” following “breeder award fund.”

The 2014 amendment, in (d), substituted “shall receive per diem and mileage as provided in W.S. 33-1-302(a)(vii)” for “shall receive statutory per diem expenses and mileage as allowed state employees” in the seventh sentence.

The 2015 amendment, effective July 1, 2015, substituted “auditor” for “treasurer” at the end of the section.

The 2019 amendments. —

The first 2019 amendment, by ch. 163, § 1, effective July 1, 2019, in (b)(iii), added the last sentence.

The second 2019 amendment, by ch. 203, § 1, effective July 1, 2019, in (b)(ii), substituted “one-quarter percent (1/4%)” for “one-half percent (1/2%),” added (b)(iv), and made related changes; and in (d), substituted “under paragraphs (b)(iii) and (iv)” for “under paragraph (b)(iii),” and added the second sentence.

Editor's notes.—

There is no subsection (i) or (l) in this section as it appears in the printed acts.

Meaning of “this act.” —

For the definition of “this act,” referred to in this section, see § 11-25-102(a)(viii).

Conflicting legislation. —

Laws 2005, ch. 231, § 3, provides: “The provisions of this act shall supersede the provisions of any other bill enacted into law during the 2005 general session which amends or references accounts or funds to the extent any other enactment is inconsistent with the establishment of the funds and accounts created under this act. The state auditor shall account for any fund or account created in any other legislation enacted in the 2005 general session in accordance with generally accepted accounting principles (GAAP) as promulgated by the governmental accounting standards board (GASB) and in accordance with this act.”

§ 11-25-202. Qualifications as to horses; preference to Wyoming bred horses.

  1. Every horse entered in any race authorized by a permit issued under this act shall be a thoroughbred horse which means any horse (including mare, gelding, colt and filly) that meets the requirements of and is registered by the Jockey Club of New York, including racing permits issued to foreign thoroughbred horses, or registered as an American quarter horse in the official stud book and registry of the American Quarter Horse Association, or registered as one (1) of another breed which maintains a recognized national stud book and registry.
  2. Every permittee conducting a pari-mutuel event shall provide each day for the running of at least one (1) race preferred to Wyoming bred horses if Wyoming bred horses are available.

History. Laws 1967, ch. 245, § 5; W.S. 1957, § 11-497.5; W.S. 1977, § 11-29-105 ; Laws 1978, ch. 32, § 1; 1987, ch. 28, § 1; Former Wyo. Stat. § 11-25-106 was renumbered to be § 11-25-202 , by Laws 2021, ch. 109, § 5, effective April 5, 2021.

Meaning of “this act.” —

For the definition of “this act,” referred to in this section, see § 11-25-102(a)(viii).

§ 11-25-203. Horses to race under true name; substitution of horses, concealment of identification, prohibited.

Every horse participating in any event authorized by a permit issued under this act shall participate under its true and registered name, shall be fully and truly identified and shall not participate under any other name or identification. There shall be no substitution of horses nor shall any device whatsoever be used to conceal or confuse the name and identification of any horse.

History. Laws 1967, ch. 245, § 6; W.S. 1957, § 11-497.6; W.S. 1977, § 11-29-106 ; Laws 1978, ch. 32, § 1; 1987, ch. 28, § 1; Former Wyo. Stat. § 11-25-107 was renumbered to be § 11-25-203 , by Laws 2021, ch. 109, § 5, effective April 5, 2021.

Meaning of “this act.” —

For the definition of “this act,” referred to in the first sentence, see § 11-25-102(a)(viii).

Cited in

Wyoming Downs Rodeo Events v. Company V., 2006 WY 55, 134 P.3d 1223, 2006 Wyo. LEXIS 65 (Wyo. May 4, 2006).

§ 11-25-204. Stimulation or retardation of animals prohibited; tests.

It is unlawful for any person to use or permit to be used any mechanical or electrical device, or drug of any kind, to stimulate or retard any animal in any event authorized by this act except as prescribed by the commission. A commission member, a roping judge or race steward may cause such tests to be made as they deem proper to determine whether any animal has been stimulated or retarded. Tests performed in furtherance of this section shall be conducted by or under the supervision of a qualified Wyoming veterinarian.

History. Laws 1967, ch. 245, § 7; W.S. 1957, § 11-497.7; W.S. 1977, § 11-29-107 ; Laws 1978, ch. 32, § 1; 1986, ch. 117, § 1; 1987, ch. 28, § 1; Former Wyo. Stat. § 11-25-108 was renumbered to be § 11-25-204 , by Laws 2021, ch. 109, § 5, effective April 5, 2021.

Meaning of “this act.” —

For the definition of “this act,” referred to in this section, see § 11-25-102(a)(viii).

§ 11-25-205. Bribery, touting and betting by minors prohibited.

  1. It is unlawful for any person to give or promise to give or attempt to give or for any person to receive or agree to receive or attempt to receive, any money, bribe or thing of value with intent to influence any person to dishonestly umpire, manage, direct, judge, preside, officiate at or participate in any event conducted under this act with the intention or purpose that the result of the event will be affected or influenced thereby. Violation of this subsection is a felony punishable by imprisonment for not more than five (5) years, a fine of not more than five thousand dollars ($5,000.00), or both.
  2. Any person who knowingly and designedly persuades, procures or causes, or attempts to persuade, procure or cause another person to wager on an animal or roper in any event authorized by this act and asks or demands compensation as a reward for information or purported information given in such case is guilty of unlawful touting. The representative of the commission may exclude from attendance at or near any event authorized by this act any person who has been convicted of touting and any person who refuses to leave when ordered to do so by the representative is guilty of a misdemeanor.
  3. No person under the age of eighteen (18) years shall place or be allowed to place a bet.
  4. Any person who has been convicted of bookmaking, bribery, touting or drugging animals may be evicted from a pari-mutuel event by a steward or roping judge.

History. Laws 1967, ch. 245, §§ 8, 9, 11; W.S. 1957, §§ 11-497.8, 11-497.9, 11-497.11; Laws 1973, ch. 213, § 2; W.S. 1977, §§ 11-29-108 , 11-29-109 , 11-29-111 ; Laws 1978, ch. 32, § 1; 1986, ch. 117, § 1; 1993, ch. 1, § 1; Former Wyo. Stat. § 11-25-109 was renumbered to be § 11-25-205 , by Laws 2021, ch. 109, § 5, effective April 5, 2021.

Meaning of “this act.” —

For the definition of “this act,” referred to in this section, see § 11-25-102(a)(viii).

Am. Jur. 2d, ALR and C.J.S. references. —

Propriety of exclusion of persons from horseracing tracks for reasons other than color or race, 90 ALR3d 1361; 64 ALR5th 769.

§ 11-25-206. County elections as to pari-mutuel events.

No pari-mutuel event shall be held in any county until the question has been put to the people of the county to accept or reject pari-mutuel wagering. If the election fails no other election shall be held for two (2) years.

History. Laws 1967, ch. 245, § 12; W.S. 1957, § 11-497.12; W.S. 1977, § 11-29-112 ; Laws 1978, ch. 32, § 1; 1986, ch. 117, § 1; Former Wyo. Stat. § 11-25-110 was renumbered to be § 11-25-206 , by Laws 2021, ch. 109, § 5, effective April 5, 2021.

§ 11-25-207. Bond of permittees; required; conditions; prosecution of actions.

  1. The commission may require any permittee other than a political subdivision licensed to conduct an event to provide and deliver to the commission a bond signed by a surety company authorized to do business in this state in such form and amount as specified by the commission, or certificate of deposit, or irrevocable letter of credit, but not less than five thousand dollars ($5,000.00), conditioned that the permittee will pay to the state of Wyoming all monies due it under this act and will perform such other obligations as may be imposed by the commission.
  2. The county attorney of the county in which an event is held shall prosecute all action on the bonds on behalf of the state against any permittee for any reason whatever except a cause of action covered by public liability insurance.

History. Laws 1967, ch. 245, §§ 13, 14; W.S. 1957, §§ 11-497.13, 11-497.14; W.S. 1977, §§ 11-29-113 , 11-29-114 ; Laws 1978, ch. 32, § 1; 1981 Sp. Sess., ch. 22, § 1; 1986, ch. 117, § 1; 1987, ch. 28, § 1; Former Wyo. Stat. § 11-25-111 was renumbered to be § 11-25-207 , by Laws 2021, ch. 109, § 5, effective April 5, 2021.

Meaning of “this act.” —

For the definition of “this act,” referred to in this section, see § 11-25-102(a)(viii).

§ 11-25-208. Penalties.

[ (a) ] Any person [, corporation or association] holding or conducting any pari-mutuel event in connection with the pari-mutuel system of wagering without a permit issued in accordance with this act, or any person [, corporation or association] who violates any other provision of this act is guilty of a misdemeanor and shall be fined not more than ten thousand dollars ($10,000.00), imprisoned for not more than six (6) months, or both. [BRACKETED BOLDED LANGUAGE SHOWN AS REINSERTED AS A RESULT OF THE REPEAL OF 2020 WYO. SESS. LAWS CH. 114]

[ (b) The attorney general may, at the request of the commission, act on behalf of the commission to prosecute criminal actions under this chapter or title 6, chapter 7, article 1 of the Wyoming statutes if after a thorough investigation the action is deemed advisable by the attorney general. ] [BRACKETED BOLDED LANGUAGE SHOWN AS STRICKEN AS A RESULT OF THE REPEAL OF 2020 WYO. SESS. LAWS CH. 114]

History. Laws 1967, ch. 245, § 15; W.S. 1957, § 11-497.15; Laws 1969, ch. 64, § 4; W.S. 1977, § 11-29-115 ; Laws 1978, ch. 32, § 1; 1986, ch. 117, § 1; 1987, ch. 28, § 1; 2020, ch. 114, § 2; Former Wyo. Stat. § 11-25-112 was renumbered to be § 11-25-208 , by Laws 2021, ch. 109, § 5, effective April 5, 2021.

Legislative Service Office note. —

Laws 2021, ch. 109 § 6 contained a scrivener’s error that inadvertently repealed Laws 2020, ch. 114 in its entirety. Drafting practices dictate that the repeal should have been limited to the noncodified § 1. The effect of the scrivener's error was to repeal the original legislative enactment of laws codified in the Wyoming Statutes. The text in this section shown in bold and bracketed is text that was affected by the repeal of the original legislative enactment. The bold and bracketed emphasis is included to provide context and clarity to the legislative history of this section.

The 2020 amendment, designated the undesignated paragraph as (a) and deleted “corporation or association” following “person” twice; and added (b).

Laws 2020, ch. 114, § 6, makes the act effective immediately upon completion of all acts necessary for a bill to become law as provided by art. 4, § 8, Wyo. Const. Approved March 17, 2020.

Meaning of “this act.” —

For the definition of “this act,” referred to in this section, see § 11-25-102(a)(viii).

§ 11-25-209. Removal of livestock from quarters at county or state fairs.

At no time and under no conditions shall any livestock at any county or state fair that are there to be shown be removed from quarters provided for them in order to place pari-mutuel horses in the stalls or quarters. Removal shall be cause for rescinding the permit for the pari-mutuel event.

History. Laws 1967, ch. 245, § 16; W.S. 1957, § 11-497.16; W.S. 1977, § 11-29-116; Laws 1978, ch. 32, § 1; 1986, ch. 117, § 1; Former Wyo. Stat. 11-25-113 was renumbered to be § 11-25-209 , by Laws 2021, ch. 109, § 5, effective April 5, 2021.

Article 3 Skill Based Amusement Games

History. Laws 2021, ch. 109, § 1.

Effective date. —

Laws 2021, ch. 109, § 7, makes the act effective immediately upon completion of all acts necessary for a bill to become law as provided by art. 4, § 8, Wyo. Const. Approved April 5, 2021.

§ 11-25-301. Skill based amusement games authorization; commission authority; applicability.

  1. Skill based amusement games operating in the state in accordance with the provisions of 2020 Wyoming Session Laws, Chapter 114 shall be allowed to continue operation in accordance with the requirements of this article and rules of the commission.
  2. A skill based amusement game that meets the requirements of this article shall be approved by the commission to operate in the state or it shall be removed from the state by the vendor.
  3. The commission shall promulgate any necessary rules to administer and enforce this article. The rules may include provisions for the control, supervision, direction, discipline, suspension or fining of any person for violation of this article or rules adopted in accordance with this article.

History. Laws 2021, ch. 109, § 1.

Effective date. —

Laws 2021, ch. 109, § 7, makes the act effective immediately upon completion of all acts necessary for a bill to become law as provided by art. 4, § 8, Wyo. Const. Approved April 5, 2021.

§ 11-25-302. Laboratory report required.

  1. Each vendor shall provide for a nationally recognized, independent gaming laboratory approved by the commission to submit to the commission a general functional evaluation laboratory report regarding the software installed on each skill based amusement game indicating whether the skill based amusement game is in compliance with this article. Any skill based amusement game that does not meet the requirements of this article shall immediately be removed from the state by the vendor.
  2. Any alterations, modifications or updates to the software or hardware of any skill based amusement game shall require the vendor to submit to the commission a new laboratory report as required under subsection (a) of this section before the game may be used for play at an establishment.

History. Laws 2021, ch. 109, § 1.

Effective date. —

Laws 2021, ch. 109, § 7, makes the act effective immediately upon completion of all acts necessary for a bill to become law as provided by art. 4, § 8, Wyo. Const. Approved April 5, 2021.

§ 11-25-303. Restrictions on operation of skill based amusement games.

  1. No skill based amusement game shall allow a game play of more than three dollars ($3.00) per play.
  2. No skill based amusement game shall allow a payout of more than three thousand dollars ($3,000.00) per play.
  3. No establishment shall have more than four (4) skill based amusement games operating for play at any one (1) time.
  4. An operator shall not locate a skill based amusement game in an area of the establishment into which a person under the age of twenty-one (21) years may enter. An operator shall conspicuously mark each area of the establishment containing a skill based amusement game as an age restricted area. The operator shall not allow a person under the age of twenty-one (21) years to play a skill based amusement game.

History. Laws 2021, ch. 109, § 1.

Effective date. —

Laws 2021, ch. 109, § 7, makes the act effective immediately upon completion of all acts necessary for a bill to become law as provided by art. 4, § 8, Wyo. Const. Approved April 5, 2021.

§ 11-25-304. Required permits and licenses; applicable fees; tax imposition; taxation rate; distribution.

  1. Any person seeking to obtain or renew any license, permit or decal as required under this section shall submit an application to the commission on a form prescribed by the commission. Upon approval of an application by the commission:
    1. An operator shall be issued a permit and required to pay an annual fee of two hundred fifty dollars ($250.00) to have skill based amusement games operating for play in the operator’s establishment;
    2. A vendor shall be issued a license and required to pay an annual fee of two thousand five hundred dollars ($2,500.00) to possess and distribute skill based amusement games.
  2. Skill based amusement games that meet the requirements of this article shall bear a commission issued decal that identifies the vendor of the game. Each decal shall be valid for one (1) year. No skill based amusement game shall be operational unless it bears a current commission issued decal. The commission shall charge the vendor a fee of fifty dollars ($50.00) for a decal. Each decal shall include the bucking horse and rider emblem.
  3. The fees required under subsections (a) and (b) of this section shall be paid on or before July 1 of each year and shall be deposited in the commission gaming account created under 2020 Wyoming Session Laws, Chapter 114 and hereby continued under this subsection. Funds within the account are continuously appropriated to the commission to pay for reasonable expenses incurred to administer this article.
  4. Taxes shall be calculated and paid on a weekly basis based on the net proceeds earned during the prior week on skill based amusement games. On a weekly basis, the vendor shall remit to the commission an amount equivalent to twenty percent (20%) of the net proceeds earned during the prior week on the vendor’s skill based amusement games. The taxes imposed under this subsection may be prepaid as provided by rule of the commission. The commission shall remit these monies to the state treasurer for deposit in the commission gaming account and for distribution of the tax as follows:
    1. Forty-five percent (45%) to the county and the city or town in which the skill based amusement game is located, in equal shares, or to the county alone if the skill based amusement game is not located within the boundaries of a city or town;
    2. Forty-five percent (45%) to the school foundation program account;
    3. Ten percent (10%) to the commission gaming account.

History. Laws 2021, ch. 109, § 1.

Effective date. —

Laws 2021, ch. 109, § 7, makes the act effective immediately upon completion of all acts necessary for a bill to become law as provided by art. 4, § 8, Wyo. Const. Approved April 5, 2021.

§ 11-25-305. Operator permit, vendor license and skill based amusement game decal approval; criteria; review.

  1. The commission shall, not more than sixty (60) days after the date of receipt of an application or application for renewal for an operator permit, vendor license or skill based amusement game decal under W.S. 11-25-304 either:
    1. Issue the permit, license or decal; or
    2. Deny the application based on the grounds that the applicant failed to qualify as provided by subsection (b) of this section.
  2. The commission shall deny any application under this article upon finding any of the following:
    1. The applicant has been convicted of, forfeited bail on or pleaded guilty within ten (10) years before the date of filing the application to:
      1. A crime involving theft, dishonesty or fraud;
      2. Bribery or unlawfully influencing a public official;
      3. A felony involving physical harm to an individual; or
      4. Any other crime identified by commission rules that negatively impacts the applicant’s credibility or the security, integrity or fairness of play of skill based amusement games operated by the applicant.
    2. The applicant tampered with submitted documentation or concealed, failed to disclose or otherwise attempted to mislead the commission with respect to any material fact contained in the application or contained in any other information required of or submitted by an applicant to the commission;
    3. The applicant failed or refused to cooperate in the investigation of a crime relating to gambling, corruption of a public official or any organized criminal activity;
    4. The applicant failed to otherwise meet the requirements imposed under this article.
  3. Operators shall have a continuing duty to disclose in writing any material change in the information provided in the application to the commission, including:
    1. Changes to names and contact information;
    2. Arrests, convictions, guilty pleas, disciplinary actions or license denials in Wyoming and any other jurisdiction;
    3. Any civil action brought against the operator or establishment; and
    4. Any other information required by commission rules.
  4. If the commission denies an application or intends to revoke or suspend a license or permit issued under this article, it shall notify the applicant, licensee or permittee in writing, stating the grounds for denial, revocation or suspension and informing the person of a right to submit, before not more than thirty (30) days, any additional documentation relating to the grounds of denial, revocation or suspension. Upon receiving any additional documentation, the commission shall reconsider its decision and inform the applicant before not more than twenty (20) days of the result of the reconsideration. A denial of an application under this article shall be subject to the contested case procedures of the Wyoming Administrative Procedure Act.

History. Laws 2021, ch. 109, § 1.

Effective date. —

Laws 2021, ch. 109, § 7, makes the act effective immediately upon completion of all acts necessary for a bill to become law as provided by art. 4, § 8, Wyo. Const. Approved April 5, 2021.

11-25-306. Penalties.

Any person who violates any provision of this article is guilty of a misdemeanor and shall be fined not more than ten thousand dollars ($10,000.00), imprisoned for not more than six (6) months, or both. Each violation of this section shall constitute a separate offense.

History. Laws 2021, ch. 109, § 1.

Effective date. —

Laws 2021, ch. 109, § 7, makes the act effective immediately upon completion of all acts necessary for a bill to become law as provided by art. 4, § 8, Wyo. Const. Approved April 5, 2021.

Chapter 26 Swine, Goats or Elk Running at Large

Cross references. —

As to owner's claims for diseased animals slaughtered by state veterinarian with reference to foot and mouth disease among sheep and swine, see § 11-19-106 .

As to estrays generally, see §§ 11-24-101 to 11-24-115 .

As to feeding untreated garbage to swine, see §§ 11-27-101 to 11-27-107 .

As to requiring legislature to provide for the protection of livestock and stock owners, see art. 19, § 1, Wyo. Const.

As to powers of cities and towns relative to animals running at large, see title 15.

As to livestock roaming at large in Hot Springs state park, see § 36-8-316 .

Am. Jur. 2d, ALR and C.J.S. references. —

4 Am. Jur. 2d Animals §§ 48 to 70.

Contributory negligence as a defense to a cause of action based upon violation of statute imposing duty upon keeper of animals, 10 ALR2d 853.

Constitutionality of statute or ordinance providing for destruction of abandoned animals, 56 ALR2d 1024.

Constitutionality of statute permitting the destruction of hogs running at large on or near public levees, 56 ALR2d 1024.

Liability for injury to vehicle or person riding therein by animal at large in street or highway, 59 ALR2d 1328.

Injunction to restrain repeated or continuing trespasses by livestock and fowls, 60 ALR2d 310.

Liability for killing or injuring, by motor vehicle, of livestock or fowl on highway, 55 ALR4th 822.

3A C.J.S. Animals §§ 137 to 169.

§ 11-26-101. Prohibited generally; liability of owner; penalty.

  1. It is unlawful for the owner of any swine,  goats, domestic elk or exotic livestock to allow such animals  to run at large within Wyoming. As used  in this section, “exotic livestock” means any nontraditional livestock  animal including, without limitation, llama, alpaca and other camelids,  ostrich and other ratites, bison hybrids and yaks. Any  owner who permits or causes such animals to run at large within Wyoming,  is liable for damages incurred by any person by reason thereof in  a civil action.
  2. Any person violating subsection (a) of  this section, after twenty-four (24) hours written notice by a proper  officer, shall be punished  as provided in W.S. 11-1-103 .

History. Laws 1877, p. 127, §§ 1, 2; R.S. 1887, §§ 4160, 4161; R.S. 1899, §§ 2055, 2056; C.S. 1910, §§ 2663, 2664; Laws 1915, ch. 58, §§ 1, 2; C.S. 1920, §§ 3173, 3174; R.S. 1931, §§ 67-1601, 67-1602; Laws 1935, ch. 95, § 1; C.S. 1945, §§ 56-1901, 56-1902; W.S. 1957, §§ 11-517, 11-518; W.S. 1977, §§ 11-31-101 , 11-31-102 ; Laws 1978, ch. 32, § 1; 1981, ch. 98, § 2; 2013, ch. 47, § 1.

The 2013 amendment, effective July 1, 2013, substituted the comma for “or” following “swine, goats”, added “or exotic livestock” after “domestic elk”, and added the second sentence in (a); and substituted “punished as provided in W.S. 11-1-103 ” for “ fined not less than ten dollars ($10.00) or more than two hundred fifty dollars ($250.00) for each offense” in (b).

Section in no way authorizes ownership of domestic elk but instead merely provides a penalty for any owner who allows them to run at large. State ex rel. Wyo. Game & Fish Comm'n v. Fordyce, 503 P.2d 1198, 1972 Wyo. LEXIS 288 (Wyo. 1972).

Chapter 27 Feeding of Untreated Garbage to Swine

Cross references. —

As to owner's claim for diseased animals slaughtered by state veterinarian with reference to foot and mouth disease among sheep and swine, see § 11-19-106 .

As to swine running at large, see § 11-26-101 .

As to livestock feedlot operation, see ch. 39 of this title.

As to requiring legislature to provide for the protection of livestock and stock owners, see art. 19, § 1, Wyo. Const.

As to food safety system, see § 35-7-123 .

Am. Jur. 2d, ALR and C.J.S. references. —

3 Am. Jur. 2d Agriculture §§ 28, 32, 36-41, 43, 46, 51; 4 Am. Jur. 2d Animals §§ 20 to 22; 39 Am. Jur. 2d Health § 1 et seq.

3 C.J.S. Agriculture § 3; 3A C.J.S. Animals § 318; 39A C.J.S. Health and Environment § 2 et seq.

§ 11-27-101. Definitions.

  1. As used in this act:
    1. “Board” means the Wyoming livestock board;
    2. “Garbage” means putrescible animal and  vegetable wastes resulting from the handling, preparation, cooking  and consumption of foods including animal carcasses or parts thereof;
    3. “This act” means W.S. 11-27-101 through 11-27-107 .

History. Laws 1953, ch. 31, § 1; W.S. 1957, § 11-523; W.S. 1977, § 11-32-101 ; Laws 1978, ch. 32, § 1.

Editor's notes. —

There is no subsection (b) in this section as it appears in the printed acts.

§ 11-27-102. Authority of livestock board generally.

  1. Any authorized representative of the board  may enter at reasonable times upon any private or public property  to inspect or investigate conditions relating to the treating of garbage  to be fed to swine.
  2. Any authorized representative of the board  may examine any records or memoranda pertaining to the feeding of  garbage to swine. The board may require maintenance of records relating  to the operation of equipment for and procedure of treating garbage  to be fed to swine. Copies of the records shall be submitted to the  board on request.
  3. The board is charged with administration  and enforcement of this act.

History. Laws 1953, ch. 31, §§ 6, 7; W.S. 1957, §§ 11-524, 11-525; W.S. 1977, §§ 11-32-102 , 11-32-103 ; Laws 1978, ch. 32, § 1.

Meaning of “this act.” —

For the definition of “this act,” referred to in this section, see § 11-27-101(a)(iii).

§ 11-27-103. Feeding permit; application.

Any person desiring to obtain a permit to feed garbage to swine shall make written application to the board in accordance with the requirements of the board.

History. Laws 1953, ch. 31, § 3; W.S. 1957, § 11-526; W.S. 1977, § 11-32-104 ; Laws 1978, ch. 32, § 1.

§ 11-27-104. Feeding permit; requirement; renewal; annual fee; exception.

  1. No person shall feed garbage to swine,  without first securing a permit from the board. Permits shall be renewed  on April 1 each year. The board shall charge one dollar ($1.00) for  each annual permit.
  2. This act does not apply to any person  who feeds his own swine the garbage obtained only from his own household.

History. Laws 1953, ch. 31, § 2; W.S. 1957, § 11-527; W.S. 1977, § 11-32-105; Laws 1978, ch. 32, § 1.

Meaning of “this act.” —

For the definition of “this act,” referred to in this section, see § 11-27-101(a)(iii).

§ 11-27-105. Feeding permit; revocation and refusal to issue.

Upon determination that any person having a permit issued under this act, or who has applied for a permit, has violated or failed to comply with any of the provisions of this act or any of the rules or regulations promulgated thereunder, the board may revoke the permit or refuse to issue a permit to an applicant.

History. Laws 1953, ch. 31, § 4; W.S. 1957, § 11-528; W.S. 1977, § 11-32-106; Laws 1978, ch. 32, § 1.

Meaning of “this act.” —

For the definition of “this act,” referred to in this section, see § 11-27-101(a)(iii).

§ 11-27-106. Treatment of garbage before feeding.

All garbage, regardless of previous processing, before being fed to swine shall be thoroughly heated to the boiling point for at least thirty (30) minutes, unless treated in some other manner approved in writing by the board as being equally effective for the protection of public health.

History. Laws 1953, ch. 31, § 5; W.S. 1957, § 11-529; W.S. 1977, § 11-32-107; Laws 1978, ch. 32, § 1.

§ 11-27-107. Penalties; injunctions; indemnity prohibited.

Any person who violates or who fails to perform any duty imposed by this act, or who violates any rule or regulation promulgated under this act shall be fined not less than twenty-five dollars ($25.00) or more than two hundred fifty dollars ($250.00), or imprisoned for not more than six (6) months, or both. In addition, the person may be enjoined from continuing the violation. Each day upon which the violation occurs constitutes a separate violation. No indemnity shall be paid by the state to any person feeding garbage to swine in violation of this act.

History. Laws 1953, ch. 31, § 8; W.S. 1957, § 11-530; W.S. 1977, § 11-32-108; Laws 1978, ch. 32, § 1; 1981, ch. 98, § 2.

Meaning of “this act.” —

For the definition of “this act,” referred to in this section, see § 11-27-101(a)(iii).

Chapter 28 Fences and Cattle Guards

Cross references. —

As to estrays generally, see §§ 11-24-101 to 11-24-115 .

As to swine, goats or elk running at large, see § 11-26-101 .

As to enclosure of livestock district by lawful fence, and as to cattle guards, etc., in connection with livestock district, see § 11-33-105 .

As to requiring legislature to provide for the protection of livestock and stock owners, see art. 19, § 1, Wyo. Const.

As to placing handbills, on buildings and fences, see § 6-3-202 .

As to construction and repair of fences by highway department, see § 24-1-112 .

As to removal of fences on right-of-way whenever a public road is ordered to be established or altered, see § 24-3-124 .

As to livestock roaming at large in Hot Springs state park, see § 36-8-316 .

As to fireguards and fences in connection with railroads generally, see §§ 37-9-301 to 37-9-310 .

Am. Jur. 2d, ALR and C.J.S. references. —

3 Am. Jur. 2d Agriculture §§ 28, 32, 36-41, 43, 46; 4 Am. Jur. 2d Animals §§ 48 to 77, 123 to 133; 35A Am. Jur. 2d Fences § 1 et seq; 65 Am. Jur. 2d Railroads §§ 92 to 101.

Fence as nuisance, 80 ALR3d 962.

Liability of person, other than owner of animal or owner or operator of motor vehicle, for damage to motor vehicle or injury to person riding therein resulting from collision with domestic animal at large in street or highway, 21 ALR4th 132.

Liability for killing or injuring, by motor vehicle, livestock or fowl on highway, 55 ALR4th 822.

Encroachment of trees, shrubbery or other vegetation across boundary line, 65 ALR4th 603.

3A C.J.S. Animals §§ 48 to 53, 139, 140, 142, 149, 241 to 245, 251, 265 to 268, 274, 329; 36A C.J.S. Fences §§ 1 to 23.

§ 11-28-101. Who considered owner.

Any person occupying, using, enjoying, maintaining or having the charge of any enclosure shall be considered the owner thereof, in any action commenced under the provisions of W.S. 11-28-101 through 11-28-108 .

History. Laws 1888, ch. 33, § 6; R.S. 1899, § 1974; C.S. 1910, § 2579; C.S. 1920, § 3072; R.S. 1931, § 42-102; C.S. 1945, § 66-506; W.S. 1957, § 11-531; W.S. 1977, § 11-33-101 ; Laws 1978, ch. 32, § 1.

Effect of fence law. —

Though at common law the owner of cattle is required to take care of them, and if they trespass, the owner is responsible, even if there be no fence, this rule in many cases was not held applicable in sparsely settled sections where legislation defining lawful fences has been enacted. Hecht v. Harrison, 5 Wyo. 279, 40 P. 306, 1895 Wyo. LEXIS 22 (Wyo. 1895).

Applied in

Brunner v. Bunn, 487 P.2d 319, 1971 Wyo. LEXIS 235 (Wyo. 1971).

§ 11-28-102. Lawful fences generally.

  1. The following are lawful fences in this  state:
    1. A fence made of steel, concrete or sound  wooden posts and three (3) spans of barbed wire not more than fifteen  (15) inches or less than ten (10) inches apart, or two (2) spans of  barbed wire with a wooden rail on top. Wooden posts shall be at least  four (4) inches in diameter. Posts shall be set firmly in the ground  at least twenty (20) inches deep, at no greater distance apart than  twenty-two (22) feet between the posts or thirty-three (33) feet with  at least two (2) iron or wooden stays between the posts. Stays shall  be placed equal distance apart from themselves and the post on either  side;
    2. A post and board fence made of sound posts  not less than four (4) inches in diameter set substantially in the  ground not more than ten (10) feet apart, with three (3) boards sold  as one (1) inch lumber eight (8) inches wide, and not more than ten  (10) inches apart, or four (4) boards sold as one (1) inch lumber  six (6) inches wide, not more than eight (8) inches apart, securely  fastened with nails or otherwise;
    3. A four (4) pole fence with round poles  not less than two (2) inches in diameter at the small end, with either  upright or leaning posts not more than sixteen (16) feet apart, and  securely fastened with nails, wires or otherwise.
  2. All other fences made and constructed  of boards, rails, poles, stones, hedge plants or other material which  upon evidence is declared to be as strong and well calculated to protect  enclosures, and is as effective for resisting breaching stock as those  described in subsection (a) of this section, shall be considered a  lawful fence.
  3. Any fence enclosing any hay corral situated  outside of any field or pasture enclosed by a lawful fence, shall  be at least six (6) feet high, constructed of boards, poles or wire.  The posts shall not be more than eight (8) feet apart and set twenty-four  (24) inches in the ground. If the fence is constructed of barbed wire  there shall be at least seven (7) spans of wire, and all wires shall  be kept properly stretched. Any fence better than the above described  fence is a lawful fence.

History. Laws 1882, ch. 46, § 1; R.S. 1887, § 4192; Laws 1888, ch. 33, § 1; R.S. 1899, § 1973; C.S. 1910, § 2578; Laws 1917, ch. 78, § 1; C.S. 1920, § 3071; R.S. 1931, § 42-101; C.S. 1945, § 66-501; Laws 1953, ch. 103, § 1; W.S. 1957, § 11-532; W.S. 1977, § 11-33-102 ; Laws 1978, ch. 32, § 1.

Cross references. —

As to duty of railroad to fence right-of-way, see §§ 37-9-304 and 37-9-305 .

While section defines lawful fence, it does not define unlawful fence. Stilwell v. Nation, 363 P.2d 916, 1961 Wyo. LEXIS 107 (Wyo. 1961).

And does not prohibit fences other than those prescribed. —

Bearing in mind that Wyoming has always been an open-range state in the sense that the owner of cattle or horses is not required to confine them or to prevent them from straying or wandering upon the unenclosed premises of another, it is clear that the object of this section was merely to prescribe such a fence as would enable landowners to enforce certain remedies against the owners of trespassing animals and not to prohibit other kinds of fences. Stilwell v. Nation, 363 P.2d 916, 1961 Wyo. LEXIS 107 (Wyo. 1961).

If unlawful fence becomes lawful, individual maintaining fence may be entitled to reimbursement under § 11-28-106 for the period beginning when the fence became lawful. Thus, neither res judicata nor collateral estoppel would prevent an owner of a fence from attempting to prove the fence became legal after a first suit under subsection (b) of this section was dismissed, because it was “as effective for resisting breaching stock as those described in subsection (a).” Osborn v. Manning, 798 P.2d 1208, 1990 Wyo. LEXIS 123 (Wyo. 1990), reh'g denied, 812 P.2d 549, 1991 Wyo. LEXIS 163 (Wyo. 1991).

Section inapplicable to fence to prevent vehicles from trespassing on trailer court. —

This section pertains to fences for livestock and animals and has no application to a single strand barbed wire across one side of a trailer court for the purpose of preventing vehicles from trespassing to and from adjacent property. Stilwell v. Nation, 363 P.2d 916, 1961 Wyo. LEXIS 107 (Wyo. 1961).

Provisions as to fences enclosing hay corrals not applicable to city lots. —

The provision of this section relative to “Any fence enclosing any hay corral situated outside of any field or pasture enclosed by a lawful fence” should not be applied to lots in a town or city. It was passed to meet situations in agricultural areas. Sowers v. Corthell, 69 Wyo. 215, 240 P.2d 891, 1952 Wyo. LEXIS 3 (Wyo. 1952).

Common law not applicable. —

Common-law rule requiring cattle owner to restrain cattle does not apply, and owner of such animals has right to permit them to run at large, and they commit no actionable trespass if they stray upon unenclosed lands. Garretson v. Avery, 26 Wyo. 53, 176 P. 433, 1918 Wyo. LEXIS 23 (Wyo. 1918).

Landowner's duties. —

As a general rule, where no obligation rests upon a landowner to fence out another's livestock, the owner of unenclosed lands is under no duty to make or keep them in a safe condition for stock straying thereon. Garretson v. Avery, 26 Wyo. 53, 176 P. 433, 1918 Wyo. LEXIS 23 (Wyo. 1918).

Landowner's rights. —

While owner of land who permits same to remain unenclosed may thereby subject it to use for grazing purposes by cattle of adjoining owner, he may at any time prevent such use by erection of a fence on one or more sides of his premises; and it is not necessary for him to enclose his land completely by erecting fences on the other sides, and thereby segregate it from the public domain. Anthony Wilkinson Live Stock Co. v. McIlquam, 14 Wyo. 209, 83 P. 364, 1905 Wyo. LEXIS 43 (Wyo. 1905).

No liability for death of cow straying into field with dangerous feed. —

This section, defining lawful fence, including therein barbed-wire, post and pole, and board fences, and § 11-28-103 , making all persons maintaining any unlawful wire fence liable in a civil action for damages to animals, “by reason of such unlawful enclosure,” did not make landowner maintaining barbed-wire fence other than described in statute liable for death of cow which strayed into alfalfa field, when the alfalfa was a dangerous feed, the words “unlawful enclosure” meaning merely “fence.” Garretson v. Avery, 26 Wyo. 53, 176 P. 433, 1918 Wyo. LEXIS 23 (Wyo. 1918).

Applied in

Osborn v. Manning, 685 P.2d 1121, 1984 Wyo. LEXIS 327 (Wyo. 1984); Osborn v. Manning, 817 P.2d 889, 1991 Wyo. LEXIS 153 (Wyo. 1991).

Law reviews. —

For note on the open range and fencing, see 13 Wyo. L.J. 136 (1959).

Am. Jur. 2d, ALR and C.J.S. references. —

Validity of statutes requiring the construction of fences—modern cases, 87 ALR4th 1129.

§ 11-28-103. Constructing of unlawful wire fence; liability and penalty; reconstruction required; penalty for failure.

  1. Any person who constructs or maintains any unlawful wire fence contrary to this chapter, is liable in a civil action for all damages to animals that may occur by reason of the unlawful enclosure. The owner of any unlawful wire fence is guilty of a misdemeanor and shall be fined not less than five dollars ($5.00) nor more than twenty–five dollars ($25.00), and for each subsequent offense the fine shall not be less than twenty–five dollars ($25.00) nor more than one hundred dollars ($100.00).
  2. The owner of any unlawful wire fence shall,  within thirty (30) days after conviction, reconstruct the wire fence  into a lawful wire fence. If he fails or refuses to do so, the owner  is guilty of a separate offense and on conviction thereof, shall be  punished as provided in subsection (a) of this section. Each period  of thirty (30) days thereafter that the owner refuses or neglects  to reconstruct the unlawful fence is a separate offense and the owner  is subject to like punishment.

History. Laws 1888, ch. 33, §§ 2, 5; R.S. 1899, §§ 1982, 1983; C.S. 1910, §§ 2587, 2588; C.S. 1920, §§ 3080, 3081; R.S. 1931, §§ 42-110, 42-111; C.S. 1945, §§ 66-502, 66-505; W.S. 1957, §§ 11-533, 11-535; W.S. 1977, §§ 11-33-103 , 11-33-105 ; Laws 1978, ch. 32, § 1; 2018, ch. 108, § 1.

“Unlawful enclosure.” —

Landowner maintaining barbed-wire fence other than described by statute is not liable for death of a cow which strayed into an alfalfa field, when the alfalfa was a dangerous feed, the words “unlawful enclosure” meaning merely “fence.” Garretson v. Avery, 26 Wyo. 53, 176 P. 433, 1918 Wyo. LEXIS 23 (Wyo. 1918).

Cited in

Garretson v. Avery, 26 Wyo. 53, 176 P. 433, 1918 Wyo. LEXIS 23 (1918).

The 2018 amendment, effective July 1, 2018, in (a), substituted “chapter” for “act” following “contrary to this.”

§ 11-28-104. Fences across roads generally.

All fences constructed across a road leading to a watering place, or constructed across any road used as a public road, shall at the point where the fence intersects or crosses the road be constructed of boards or poles extending not less than eight (8) feet on each side of the middle of the road. The owner of any fence that violates this section is guilty of a misdemeanor and shall be punished as provided in W.S. 11-28-103(a).

History. Laws 1888, ch. 33, § 4; R.S. 1899, § 1985; C.S. 1910, § 2590; C.S. 1920, § 3083; R.S. 1931, § 42-113; C.S. 1945, § 66-504; W.S. 1957, § 11-536; W.S. 1977, § 11-33-106 ; Laws 1978, ch. 32, § 1.

Cross references. —

As to penalty for failure to remove fence from public road, see § 24-3-124 .

Cited in

Meyer v. Ellis, 411 P.2d 338, 1966 Wyo. LEXIS 137 (Wyo. 1966).

§ 11-28-105. Board of county commissioners to authorize lawful fences upon right-of-way.

The board of county commissioners may authorize the erection of a lawful fence upon the right-of-way of any public road at the expense of the petitioners for the establishment of the roads, or as may be agreed upon between petitioners and the board of county commissioners, or at the expense of the owners of lands to be benefited by the fencing or at the expense of the county, as the board of county commissioners may determine. The board shall locate and cause to be constructed gates and cattle guards at such intervals as it deems necessary for the convenience of the public. Cattle guards shall be constructed according to specification prescribed by the state highway department, under the supervision of the county surveyor or county commissioners at the expense of the petitioners, the land owners who may be benefited, or the county as the board of county commissioners may determine.

History. Laws 1907, ch. 39, § 1; C.S. 1910, § 2591; C.S. 1920, § 3084; Laws 1929, ch. 78, § 1; 1931, ch. 104, § 1; R.S. 1931, § 42-114; C.S. 1945, § 66-514; W.S. 1957, § 11-537; W.S. 1977, § 11-33-107 ; Laws 1978, ch. 32, § 1.

Cross references. —

As to penalty for failure to remove fence from public road, see § 24-3-124 .

Quoted in

Meyer v. Ellis, 411 P.2d 338, 1966 Wyo. LEXIS 137 (Wyo. 1966).

Am. Jur. 2d, ALR and C.J.S. references. —

Liability of governmental entity for damage to motor vehicle or injury to person riding therein resulting from collision between vehicle and domestic animal at large in street or highway, 52 ALR4th 1200.

§ 11-28-106. Construction and maintenance of partition fences.

  1. Except as otherwise provided, the owner  of any lawful fence which is or becomes a partition fence separating  the owner’s land from that belonging to some other person may require  the person to pay for one-half (1/2) of what it would or does actually  cost to construct the partition fence. In case of refusal, the owner  may maintain a civil action against the person refusing and is entitled  to recover one-half (1/2) of what it would or did actually cost to  construct that portion of the partition fence used by the person and  costs of suit. The joint users of a partition fence shall contribute  to the cost of maintenance in proportion to their respective interests  and if either refuses to pay his share of the cost of maintenance,  the other may recover maintenance costs in the manner provided for  recovering the cost of construction.
  2. For subdivisions as defined in W.S. 18-5-302(a)(vii), the subdivider shall be responsible for the construction  of a perimeter partition fence on any part of the subdivision adjacent  to lands upon which livestock can be legally run at large. The costs  of the perimeter partition fence shall be paid for by the parties  in accordance with subsection (a) of this section. The adjoining landowner  shall not be liable for any damages caused by, or arising from, livestock  pastured on the adjoining land that may wander onto the subdivided  land.

History. Laws 1888, ch. 33, § 7; R.S. 1899, § 1975; C.S. 1910, § 2580; C.S. 1920, § 3073; Laws 1929, ch. 40, § 1; 1945, ch. 21, § 1; C.S. 1945, § 66-507; W.S. 1957, § 11-538; W.S. 1977, § 11-33-108 ; Laws 1978, ch. 32, § 1; 2011, ch. 102, § 1.

The 2011 amendment, effective July 1, 2011, in (a), added “Except as otherwise provided”; and added (b).

Duty to fence. —

It is not the duty of a landowner to fence against cattle of another unless such duty has arisen by prescription or is specifically declared by contract or by law. Garretson v. Avery, 26 Wyo. 53, 176 P. 433, 1918 Wyo. LEXIS 23 (Wyo. 1918).

If unlawful fence becomes lawful, individual maintaining fence may be entitled to reimbursement under this section for the period beginning when the fence became lawful. Thus, neither res judicata nor collateral estoppel would prevent an owner of a fence from attempting to prove the fence became legal after a first suit under § 11-28-102(b) was dismissed, because it was “as effective for resisting breaching stock as those described in subsection (a).” Osborn v. Manning, 798 P.2d 1208, 1990 Wyo. LEXIS 123 (Wyo. 1990), reh'g denied, 812 P.2d 549, 1991 Wyo. LEXIS 163 (Wyo. 1991).

Applied in

Osborn v. Manning, 685 P.2d 1121, 1984 Wyo. LEXIS 327 (Wyo. 1984).

Law reviews. —

For note on the open range and fencing, see 13 Wyo. L.J. 136 (1959).

§ 11-28-107. Prohibited acts; penalties.

Any person who willfully or negligently leaves open, breaks down or destroys any bars or gate provided for the use and convenience of the public, or willfully tears down, throws down or destroys in any manner any lawful fence, is guilty of a misdemeanor and shall be fined not more than one hundred dollars ($100.00), or imprisoned not more than three (3) months, or both.

History. Laws 1882, ch. 46, § 2; R.S. 1887, § 4193; R.S. 1899, § 1981; C.S. 1910, § 2586; C.S. 1920, § 3079; R.S. 1931, § 42-109; C. S. 1945, § 66-508; W. S. 1957, § 11-539; W.S. 1977, § 11-39-109; Laws 1978, ch. 32, § 1.

§ 11-28-108. Liability for breach into lawful enclosure by animal; civil action or arbitration.

  1. Any person owning or having in his possession  or charge any livestock or domesticated buffalo which breaches into  any lawful enclosure belonging to someone other than the owner of  the animal, is liable to the party sustaining the injury for all damages  sustained by reason of such breaching. Damages may be recovered in  a civil action before any court having jurisdiction, or by arbitration,  each party to select a property holder and the two (2) arbitrators  to select a third. The arbitrators shall be sworn before a judge of  a circuit court before entering upon their duties. The arbitrators  shall carefully examine the fence and assess the damage done, examine  witnesses under oath, one (1) of them to administer the oath to the  witnesses, and make a written report signed by at least two (2) of  the arbitrators, to the circuit court in the county in which the damage  is sustained. The finding of the arbitration, as provided for in this  section, shall within three (3) days after rendered, be filed with  a judge of a circuit court in the county where the trespass was committed,  who shall enter the cost upon his docket and proceed to issue execution  therein as in other cases originally commenced before him.
  2. The party sustaining the damage shall  notify the owner or person having in charge the offending animals,  of the damage and the probable amount if he knows to whom the animals  belong and if the owner or keeper resides within the county where  the damage was committed.
  3. The person suffering damage may restrain  and keep in custody as many of the offending animals as are equal  in value to the damage done, until the finding of the court or arbitration  is ascertained, unless before suit the amount of his claim and expense  of keeping the animals is tendered to him.
  4. If, upon trial of any action under subsection  (a) of this section, it appears the plaintiff’s enclosure is a lawful  fence, he shall be allowed to prove the amount of damage sustained  and if he has retained in custody the animals committing the damage,  the amount of expense incurred for keeping the animals. Any judgment  rendered for damages, costs and expenses against the defendant shall  be a lien upon the animals committing the damage. If it appears upon  trial that the plaintiff’s enclosure is not a lawful fence or that  no damage was sustained, judgment shall be rendered against the plaintiff  for costs of suit and damages sustained by defendant.
  5. If upon trial it appears the defendant  is not the owner or person in charge of the offending animals, he  shall be discharged from the action with his costs, and the suit may  proceed against a defendant whose name is unknown. If, at the commencement  of the action, the plaintiff does not know the name of the owner or  keeper of the offending animals, he may bring suit against a defendant  unknown.

History. C.L. 1876, ch. 51, §§ 3, 5 to 8; R.S. 1887, §§ 4185, 4187 to 4190; R.S. 1899, §§ 1976 to 1980; C.S. 1910, §§ 2581 to 2585; C.S. 1920, §§ 3074 to 3078; R.S. 1931, §§ 42-104 to 42-108; C.S. 1945, §§ 66-509 to 66-513; W.S. 1957, §§ 11-540 to 11-544; W.S. 1977, §§ 11-33-110 to 11-33-114; Laws 1978, ch. 32, § 1; 1979, ch. 144, § 1; 1996, ch. 69, § 1; 2000, ch. 24, § 4; 2004, ch. 42, § 1.

The 2004 amendment, in (a), deleted references to a “justice of the peace” three times and made stylistic changes

Laws 2004, ch. 42, § 3, makes the act effective immediately upon completion of all acts necessary for a bill to become law as provided by art. 4, § 8, Wyo. Const. Approved March 3, 2004.

“Enclosure,” as used in this section, means “fence.” Garretson v. Avery, 26 Wyo. 53, 176 P. 433, 1918 Wyo. LEXIS 23 (Wyo. 1918).

Applied in

Blakely v. State, 474 P.2d 127, 1970 Wyo. LEXIS 193 (Wyo. 1970).

Chapter 29 Protection of Livestock Animals

Effective date. —

Laws 2011, ch. 100, § 4, makes the act effective July 1, 2011.

Cross references. —

As to requiring legislature to provide for the protection of livestock and stock owners, see art. 19, § 1, Wyo. Const.

Am. Jur. 2d, ALR and C.J.S. references. —

4 Am. Jur. 2d Animals §§ 20 to 40, 142 to 168.

Liability for injury to trespassing animals and bees as result of spraying or dusting of crop, 37 ALR2d 833.

Constitutionality of statute providing for destruction of dog as affected by property rights in dog, 56 ALR2d 1024.

Law as to cats; injuries to cats, 73 ALR2d 1032, 55 ALR4th 1080.

Police power with respect to cats, 73 ALR2d 1032.

What constitutes statutory offense of cruelty to animals, 82 ALR2d 794.

Liability for injury to animals poisoned as result of spraying or dusting of crop, 37 ALR3d 833.

Measure, elements, and amount of damages for killing or injuring cat, 8 ALR4th 1287.

Applicability of state animal cruelty statute to medical or scientific experimentation employing animals, 42 ALR4th 860.

Liability for killing or injuring, by motor vehicle, of livestock or fowl on highway, 55 ALR4th 822.

What constitutes offense of cruelty to animals—modern cases, 6 ALR5th 733.

Liability for statement or publication charging plaintiff with killing of, cruelty to, or inhumane treatment of animals, 69 ALR5th 645.

Construction and application of Horse Protection Act of 1970 (15 USC §§ 1821 et seq.), 131 ALR Fed 363.

3 C.J.S. Agriculture §§ 105 to 119; 3A C.J.S. Animals §§ 99 to 116, 159 to 162, 274 to 332.

§ 11-29-101. Definitions.

  1. As used in this act:
    1. Repealed by Laws 2011, ch. 100, § 3.
    2. “Owner” or “person” means any individual  including the agents and employees of corporations;
    3. “Torture” or “cruelty” means every act,  omission or neglect whereby the willful and malicious infliction of  pain or suffering is caused, permitted or allowed to continue when  there is a reasonable remedy or relief;
    4. “Disposal” means as defined in W.S. 11-24-101(a)(iv);
    5. “Livestock” means as defined in W.S. 23-1-102(a)(xvi);
    6. “Livestock animal” means:
      1. Any bovine, including domestic bison,  equine, swine, sheep, goat, domesticated camelid animal, ratite bird,  rabbit or poultry; or
      2. Any animal used or harvested for any good  and proper purpose including but not limited to food, fiber, fur,  leather, medical research and byproducts; or
      3. Any animal used or trained for work, sport,  exhibit or entertainment.
    7. A “person with authority to enforce this chapter” means a peace officer, agent or officer of the board;
    8. “Reasonable costs of impoundment” means all costs incurred by the impounding entity in providing necessary food and water, veterinary attention and treatment for any animal which is impounded under this act;
    9. “This act” means W.S. 11-29-101 through 11-29-115 .

History. Laws 1895, ch. 31, § 14; R.S. 1899, § 2287; C.S. 1910, § 3099; C.S. 1920, § 3860; R.S. 1931, § 6-114; C.S. 1945, § 56-2014; W.S. 1957, § 11-545; Laws 1965, ch. 185, § 1; W.S. 1977, § 11-34-101 ; Laws 1978, ch. 32, § 1; 2010, ch. 80, § 1; 2011, ch. 100, §§ 2, 3; 2021, ch. 119, § 2.

The 2010 amendment, effective July 1, 2010, added present (a)(iv) and (a)(v), and redesignated former (a)(iv) as (a)(vi).

The 2011 amendment, effective July 1, 2011, repealed former (a)(i), which read: “ ‘Animal’ means every living dumb creature”; in (a)(iii), deleted “ ‘torment’ “ after “ ‘Torture’ “; added (a)(vi); redesignated former (a)(vi) as (a)(vii); and substituted “11-29-115” for “11-29-113” in (a)(vii).

The 2021 amendment, effective July 1, 2021, added (a)(vii) and (a)(viii); and redesignated former (a)(vii) as (a)(ix).

Editor's notes. —

There is no subsection (b) in this section as it appears in the printed acts.

Stated in

Wyoming Humane Soc'y v. Port, 404 P.2d 834, 1965 Wyo. LEXIS 155 (Wyo. 1965).

Cited in

Peterson v. Wyoming Game & Fish Comm'n, 989 P.2d 113, 1999 Wyo. LEXIS 166 (Wyo. 1999).

§ 11-29-102. [Repealed.]

Repealed by Laws 1982, ch. 75, § 5; 1983, ch. 171, § 3.

Editor's notes. —

This section, which derived from Laws 1895, ch. 31, § 1, related to cruelty to animals generally. For present similar provisions, see § 6-3-203 .

§ 11-29-103. Livestock animals to be fed while confined; ownership; penalties.

  1. Every person who confines or causes to  be confined any livestock animal under the laws of this state, shall  supply to the livestock animal during confinement a sufficient quantity  of wholesome food and water.
  2. A livestock animal is the private property  of its owner.
  3. A violation of this section is a misdemeanor  punishable by imprisonment for not more than six (6) months, a fine  of not less than one hundred dollars ($100.00) nor more than seven  hundred fifty dollars ($750.00), or both except that a subsequent  offense is a high misdemeanor punishable by not more than one (1)  year imprisonment, a fine of not more than five thousand dollars ($5,000.00),  or both.

History. Laws 1895, ch. 31, § 2; R.S. 1899, § 2275; C.S. 1910, § 3087; C.S. 1920, § 3848; R.S. 1931, § 6-102; C.S. 1945, § 56-2002; W.S. 1957, § 11-547; W.S. 1977, § 11-34-103 ; Laws 1978, ch. 32, § 1; 1981, ch. 98, § 2; 2011, ch. 100, § 2.

Cross references. —

As to impounding estrays generally, see §§ 11-24-101 to 11-24-115 .

The 2011 amendment, effective July 1, 2011, in (a), made stylistic changes, added “livestock,” and deleted “in any pound or corral” before “under the laws”; added (b); redesignated former (b) as (c); and rewrote (c) providing an increased penalty for repeat offenses, and made stylistic changes.

§ 11-29-104. [Repealed.]

Repealed by Laws 2011, ch. 100, § 3.

Editor's notes. —

This section, which derived from Laws 1895, ch. 31, § 3, related to furnishing food to impounded animals.

Laws 2011, ch. 100, § 4, makes the act effective July 1, 2011.

§ 11-29-105. Livestock board; certificates or badges to be provided.

Officers and agents of the Wyoming livestock board shall be provided with a certificate by the board that they are officers and agents of the board, in such form as the board may choose, or with a badge bearing the name or seal of the board, and if requested, shall show the certificate or badge when acting officially.

History. Laws 1895, ch. 31, § 12; R.S. 1899, § 2285; C.S. 1910, § 3097; C.S. 1920, § 3858; R.S. 1931, § 6-112; C.S. 1945, § 56-2012; W.S. 1957, § 11-550; Laws 1965, ch. 185, § 3; W.S. 1977, § 11-34-106 ; Laws 1978, ch. 32, § 1.

§ 11-29-106. Livestock board; authority to prevent cruelty; penalty for interference with officer.

Any peace officer, agent or officer of the board may lawfully interfere to prevent the perpetration of any act of cruelty upon any livestock animal in his presence. Any person who interferes with, obstructs or resists any peace officer or officer or agent of the board in the discharge of his duty shall be fined not less than two hundred dollars ($200.00) nor more than one thousand five hundred dollars ($1,500.00), or imprisoned not more than one (1) year, or both.

History. Laws 1895, ch. 31, § 6; R.S. 1899, § 2279; C.S. 1910, § 3091; C.S. 1920, § 3852; R.S. 1931, § 6-106; C.S. 1945, § 56-2006; W.S. 1957, § 11-551; Laws 1965, ch. 185, § 4; W.S. 1977, § 11-34-107 ; Laws 1978, ch. 32, § 1; 1981, ch. 98, § 2; 2006, ch. 88, § 2; 2011, ch. 100, § 2.

The 2006 amendment, substituted “peace officer, agent or officer” for “officer or agent,” and substituted “officer or officer or agent of the board” for “officer or agent.”

Laws 2006 ch. 88, § 4, makes the act effective immediately upon completion of all acts necessary for a bill to become law as provided by art. 4, § 8, Wyo. Const. Approved March 23, 2006.

The 2011 amendment, effective July 1, 2011, added “livestock.”

Stated in

Wyoming Humane Soc'y v. Port, 404 P.2d 834, 1965 Wyo. LEXIS 155 (Wyo. 1965).

Cited in

Eisenbarth v. Hartford Fire Ins. Co., 840 P.2d 945, 1992 Wyo. LEXIS 158 (Wyo. 1992).

§ 11-29-107. [Repealed.]

Repealed by Laws 2006, ch. 88, § 3.

Editor's notes. —

This section, which derived from Laws 1895, ch. 31, § 13, pertained to the livestock board and its authority to require arrests and costs.

Stated in

Wyoming Humane Soc'y v. Port, 404 P.2d 834, 1965 Wyo. LEXIS 155 (Wyo. 1965).

§ 11-29-108. Livestock board; seized livestock animals and vehicles; lien on seized chattels; civil action for unpaid expenses.

When any person arrested under this act is in charge of any vehicle drawn by or containing any livestock animal cruelly treated in violation of W.S. 6-3-1002 or this chapter at the time of arrest, any peace officer, agent or officer of the board may take charge of the livestock animal and vehicle and its contents, and give notice thereof to the owner, if known, and shall provide for them until their owner takes possession of them. The board or local government shall have a lien on the livestock animals, the vehicle and its contents for the reasonable costs of impoundment. The expense or any part remaining unpaid may be recovered by the board or local government in a civil action.

History. Laws 1895, ch. 31, § 7; R.S. 1899, § 2280; C.S. 1910, § 3092; C.S. 1920, § 3853; R.S. 1931, § 6-107; C.S. 1945, § 56-2007; W.S. 1957, § 11-553; Laws 1965, ch. 185, § 6; W.S. 1977, § 11-34-109 ; Laws 1978, ch. 32, § 1; 1996, ch. 55, § 1; 2011, ch. 100, § 2; 2021, ch. 30, § 2; ch. 119, § 4.

The 2011 amendment, effective July 1, 2011, added “livestock” throughout, and added “as defined in W.S. 6-3-203 .”

The 2021 amendments. —

The first 2021 amendment, by ch. 30, § 2, effective July 1, 2021, substituted "in violation of W.S. 6-3-1002 or this chapter" for "as defined in W.S. 6-3-203 " in the first sentence.

The second 2021 amendment, by ch. 119, § 4, effective July 1, 2021, substituted "reasonable costs of impoundment" for "expense of the care and provision" in the second sentence.

Meaning of “this act.” —

For the definition of “this act,” referred to in this section, see § 11-29-101(a)(iv).

§ 11-29-109. Livestock board; care of abandoned livestock animals; civil action for expenses; lien.

Any peace officer, agent or officer of the board may take charge of any livestock animal found abandoned, neglected or treated with cruelty in violation of W.S. 6-3-1002 or this chapter. He shall give notice to the owner, if known, and may care and provide for the livestock animal until the livestock animal is disposed of. The reasonable costs of impoundment are a charge against the owner of the livestock animal and collectible from the owner by the board or by the local government employing the peace officer taking charge of the livestock animal in a civil action. The board or local government may detain the livestock animals until the reasonable costs of impoundment are paid and shall have a lien upon the livestock animals therefor. This lien shall be filed as provided pursuant to W.S. 29-7-101 through 29-7-106 .

History. Laws 1895, ch. 31, § 8; R.S. 1899, § 2281; C.S. 1910, § 3093; C.S. 1920, § 3854; R.S. 1931, § 6-108; C.S. 1945, § 56-2008; W.S. 1957, § 11-554; Laws 1965, ch. 185, § 7; W.S. 1977, § 11-34-110 ; Laws 1978, ch. 32, § 1; 1996, ch. 55, § 1; 2011, ch. 100, § 2; 2021, ch. 30, § 2; ch. 119, § 4.

The 2011 amendment, effective July 1, 2011, added “livestock” throughout, added “as defined in W.S. 6-3-203 ,” deleted “owner takes charge of the” after “animal until the,” added “is released or destroyed,” and added the present last sentence.

The 2021 amendments. —

The first 2021 amendment, by ch. 30, § 2, effective July 1, 2021, in the first sentence, deleted "cruelly" following "neglected or," added "with cruelty" and substituted "in violation of W.S. 6-3-1002 or this chapter" for "as defined in W.S. 6-3-203 ."

The second 2021 amendment, by ch. 119, § 4, effective July 1, 2021, substituted "disposed of" for "released or destroyed" in the second sentence, "reasonable costs of impoundment are" for "expenses of care and provision is" in the third sentence, and "reasonable costs of impoundment are" for "expense for food, shelter and care is" in the fourth sentence.

§ 11-29-110. Livestock board; enforcement of liens; notice to owner.

Any person entitled to a lien under this act may enforce the lien by disposing of the livestock animals and other personal property upon which the lien is given, at public auction, upon giving written notice to the owner, if he is known, of the time and place of the disposal, at least five (5) days previous thereto, and by posting three (3) notices of the time and place of the disposal in three (3) public places within the county at least five (5) days previous thereto. If the owner is not known, the notice shall be posted at least ten (10) days previous to the disposal.

History. Laws 1895, ch. 31, § 11; R.S. 1899, § 2284; C.S. 1910, § 3096; C.S. 1920, § 3857; R.S. 1931, § 6-111; C.S. 1945, § 56-2011; W.S. 1957, § 11-556; W.S. 1977, § 11-34-111 ; Laws 1978, ch. 32, § 1; 2010, ch. 80, § 1; 2011, ch. 100, § 2.

The 2010 amendment, effective July 1, 2010, substituted “disposing of” for “selling,” and subsituted “disposal” for “sale.”

The 2011 amendment, effective July 1, 2011, added “livestock.”

Meaning of “this act.” —

For the definition of “this act,” referred to in this section, see § 11-29-101(a)(vii).

§ 11-29-111. Livestock board; destruction of diseased or injured livestock animals.

Any peace officer, agent or officer of the board may destroy or cause to be destroyed any livestock animal in his charge when in his judgment and the judgment of a Wyoming licensed veterinarian or the judgment of the livestock animal owner, the livestock animal appears to be severely injured, severely disabled, diseased past recovery or unfit for any useful purpose. There shall be no right for any future indemnity or payment to the owner for the destruction of any livestock animal destroyed and the peace officer, agent or officer of the board shall be held harmless while acting in accordance with this section.

History. Laws 1895, ch. 31, § 10; R.S. 1899, § 2283; C.S. 1910, § 3095; C.S. 1920, § 3856; R.S. 1931, § 6-110; C.S. 1945, § 56-2010; W.S. 1957, § 11-557; Laws 1965, ch. 185, § 9; W.S. 1977, § 11-34-112 ; Laws 1978, ch. 32, § 1; 2011, ch. 100, § 2.

The 2011 amendment, effective July 1, 2011, rewrote the first sentence, which formerly read: “Any agent or officer of the board may destroy or cause to be destroyed any animal in his charge when in his judgment and by the written certificate of two (2) reputable citizens called to view the animal in his presence, one (1) of whom may be selected by the owner of the animal if he so requests, the animal appears to be injured, disabled, diseased past recovery or unfit for any useful purpose”, and added the present second sentence.

§ 11-29-112. [Repealed.]

Repealed by Laws 1982, ch. 75, § 5; 1983, ch. 171, § 3.

Editor's notes. —

This section, which derived from Laws 1895, ch. 31, § 4, related to penalties for keeping fighting fowls or animals. For present similar provisions, see § 6-3-203 .

§ 11-29-113. [Repealed.]

Repealed by Laws 2011, ch. 100, § 3.

Editor's notes. –

This section, which derived from Laws 1895, ch. 31, § 17, related to dehorning cattle.

Laws 2011, ch. 100, § 4, makes the act effective July 1, 2011.

Repealing clauses. —

Section 15, ch. 31, Laws 1895, repealed all laws and parts of laws in conflict with that act.

§ 11-29-114. Impoundment of livestock animals; cost of care for livestock animals; providing for bond, forfeiture hearing.

  1. Any person with authority to enforce this chapter who has probable cause to believe there has been a violation of this chapter may, in consultation with an agent or officer of the board, impound any livestock animal treated cruelly as determined by a Wyoming licensed veterinarian or veterinarian employed by the board.
  2. If any livestock animal is impounded under subsection (a) of this section, the following shall apply:
    1. Within the earlier of seventy-two (72) hours of impoundment or charges being filed, the circuit court shall hold a hearing to set a bond in an amount the circuit court determines is sufficient to provide for the livestock animal's reasonable costs of impoundment for at least ninety (90) days including the day on which the livestock animal was impounded. At the request of the owner of the livestock animal, the court may make a determination on the disposition of the livestock animal at a hearing pursuant to this paragraph;
    2. The bond shall be posted by the owner of the livestock animal with the circuit court in the county where the livestock animal was impounded within ten (10) days after the hearing required by this paragraph.
  3. When the bond required by subsection (b) of this section expires, if the owner of the livestock animal desires to prevent disposition of the livestock animal by the person with authority to enforce this chapter, the owner shall post a new bond with the court as described in subsection (b) of this section. The court may correct, alter or otherwise adjust the new bond before the expiration date of the previous bond.
  4. If a bond is not posted under subsection (b) or (c) of this section, the person with authority to enforce this chapter shall dispose of the livestock animal. As used in this section, “dispose” means as defined in W.S. 11-24-101(a)(iv), and shall also mean to place for adoption or return to the owner. The owner of the livestock animal shall be liable for all costs associated with the final disposition of the livestock animal under this subsection. Posting of a bond shall not prevent the person with authority to enforce this chapter from disposing of the impounded livestock animal before the expiration of the period covered by the bond if during a disposition hearing pursuant to subsection (g) of this section the court orders the forfeiture of the livestock animal to a person with authority to enforce this chapter or the owner voluntarily forfeits the livestock animal. No animal shall be forfeited without a hearing pursuant to subsections (g) through (j) of this section, regardless of whether a bond is posted, if the animal is connected to the livelihood or ability to make a living of the owner.
  5. If a bond has been posted in accordance with subsection (b) or (c) of this section, the person with authority to enforce this chapter, may draw from the bond the actual costs as described in subsection (b) of this section, from the date of initial impoundment to the date of final disposition of the livestock animal.
  6. Upon the final disposition of the livestock animal, any bond amount remaining that has not been expended in the impoundment and disposition of the livestock animal shall be remitted to the owner of the livestock animal.
  7. A person with authority to enforce this chapter or other participant in the criminal action, may file a petition in the criminal action requesting that the court issue an order providing for the final disposition of the livestock animal if:
    1. The livestock animal is in the possession of and being held by a person with authority to enforce this chapter;
    2. The outcome of the criminal action charging a violation of this chapter is pending; and
    3. The final disposition of the livestock animal has not occurred.
  8. Upon receipt of a petition pursuant to subsection (g) of this section, the court shall set a hearing on the petition for disposition of the livestock animal. The hearing shall be conducted within seven (7) days after the filing of the petition or as soon as practicable thereafter. The hearing shall be limited to the question of the disposition of the livestock animal.
  9. At a hearing conducted pursuant to subsection (h) of this section, the prosecutor shall have the burden of proving by a preponderance of the evidence that the livestock animal was subjected to a violation of this chapter. After the hearing, if the court finds by a preponderance of the evidence that the livestock animal was subjected to a violation of this chapter, the court may order immediate forfeiture of the livestock animal to the person with authority to enforce this chapter. If, after the hearing, the court finds by a preponderance of the evidence that the livestock animal was not subjected to a violation of this chapter, the livestock animal shall be returned to the owner of the livestock animal and the owner shall not be responsible for any reasonable costs of the impoundment incurred after a finding that the livestock animal was not subjected to a violation of this chapter unless the person later pleads guilty to or is found guilty of a violation of this chapter.

History. Laws 2006, ch. 88, § 1; 2011, ch. 100, § 2; 2021, ch. 30, § 2; ch. 119, §§ 2, 5.

Cross references. —

As to cruelty to animals and penalties generally, see § 6-3-203 .

The 2011 amendment, effective July 1, 2011, In (a) through (e), added “livestock”; in (a), added “Wyoming”; and in (d), substituted “dispose of the livestock animal as defined in W.S. 11-24-101(a)(iv)” for “determine final disposition of the animal in accordance with reasonable practices for the humane treatment of animals.”

The 2021 amendments. —

The first 2021 amendment, by ch. 30, § 2, effective July 1, 2021, substituted "6-3-1002, 6-3-1003 or 6-3-1005 " for "6-3-203" in (b).

The second 2021 amendment, by ch. 119, § 2, effective July 1, 2021, in (a), substituted "person with authority to enforce this chapter who has probable cause to believe there has been a violation of this chapter" for "peace officer, agent or officer of the board," ", in consultation with an agent or officer of the board, impound" for "take possession of"; in the first sentence of (c), added "required by subsection (b) of this section," substituted "person with authority to enforce this chapter" for "board," added the second sentence; rewrote (d), which read, "If a bond is not posted under subsection (b) or (c) of this section, the board shall dispose of the livestock animal as defined in W.S. 11-24-101(a)(iv). The owner of the livestock animal shall be liable for all costs associated with the final disposition of the livestock animal under this subsection"; substituted "person with authority to enforce this chapter" for "agency employing the officer, or the board" in (e); and added (f) through (j).

The third 2021 amendment, by ch. 119, § 5, rewrote (b), which read, "The owner of the livestock animal impounded under subsection (a) of this section, and who has been cited under W.S. 6-3-1002 , 6-3-1003 or 6-3-1005 , shall be required to post a bond with the circuit court in the county where the livestock animal was impounded. The bond shall be: (i) In an amount the circuit court determines is sufficient to provide for the livestock animal’s board, nutritional care, veterinary care and diagnostic testing for at least ninety (90) days including the day on which the livestock animal was impounded; and (ii) Filed with the circuit court within ten (10) days after the livestock animal is impounded."

Laws 2021, ch. 119, § 6, makes the act effective immediately upon completion of all acts necessary for a bill to become law as provided by art. 4, § 8 of the Wyo. Const. Approved April 6, 2021.

This section is set out as reconciled by the Wyoming legislative service office.

Effective dates. —

Laws 2006, ch. 88, § 4, makes the act effective immediately upon completion of all acts necessary for a bill to become law as provided by art. 4, § 8, of the Wyo. Const. Approved March 23, 2006.

§ 11-29-115. Use of agricultural and livestock management practices.

  1. Nothing in this chapter prohibits:
    1. The use of Wyoming industry accepted agricultural  or livestock management practices or any other commonly practiced  animal husbandry procedure used on livestock animals, as defined by W.S. 11-29-101(a)(vi);
    2. A Wyoming licensed veterinarian from treating  a livestock animal as authorized by the Wyoming Veterinary Medical  Practice Act;
    3. Any rodeo event employing animal care  practices generally accepted within the rodeo industry, whether the  event is performed in a rodeo, jackpot or similar arena;
    4. A person from humanely destroying a livestock  animal.

History. Laws 2011, ch. 100, § 1.

Editor's notes. —

There is no subsection (b) in this section as it appears in the printed acts.

Effective date. —

Laws 2011, ch. 100, § 4, makes the act effective July 1, 2011.

Chapter 30 Offenses Concerning Livestock and Other Animals

Cross references. —

As to requiring legislature to provide for the protection of livestock and stock owners, see art. 19, § 1, Wyo. Const.

As to authority of cities relative to the regulation or prohibition of animals running at large generally, see § 15-1-103 .

As to food safety system, see § 35-7-123 .

As to livestock roaming at large in Hot Springs state park, see § 36-8-316 .

Am. Jur. 2d, ALR and C.J.S. references. —

4 Am. Jur. 2d Animals § 1 et seq.

Contributory negligence as a defense to a cause of action based upon violation of statute imposing duty upon keeper of animals, 10 ALR2d 853.

Stealing carcass as within statute making it larceny to steal cattle or livestock, 78 ALR2d 1100.

Pastured animals, agister's liability for injury, weight loss, or death of, 94 ALR2d 319.

Liability for killing or injuring, by motor vehicle, of livestock or fowl on highway, 55 ALR4th 1022.

3A C.J.S. Animals §§ 23, 24, 27 to 30, 37, 91 to 112, 118, 120, 122, 134 to 136, 169, 203, 271 to 273, 317 to 332, 346.

§§ 11-30-101 through 11-30-103. [Repealed.]

Repealed by Laws 1982, ch. 75, § 5; 1983, ch. 171, § 3.

Cross references. —

As to the protection of domestic animals, see ch. 29 of this title.

Editor's notes. —

These sections, which derived from Laws 1890, ch. 73, §§ 42 and 72, and Laws 1909, ch. 39, § 1, related to killing or injuring livestock of another and stealing and butchering stolen animals.

§ 11-30-104. Misbranding or altering brand of livestock.

Whoever brands, or alters or defaces the brand of any horse, mule, sheep or cattle of another with intent to steal or to prevent the identification of the animal shall be imprisoned in the penitentiary not less than three (3) nor more than ten (10) years.

History. Laws 1890, ch. 73, § 43; R.S. 1899, § 4989; Laws 1907, ch. 83, § 2; C.S. 1910, § 5833; C.S. 1920, § 7122; R.S. 1931, § 32-330; C.S. 1945, § 9-1704; W.S. 1957, § 11-564; W.S. 1977, § 11-35-105 ; Laws 1978, ch. 32, § 1; 1981, ch. 98, § 2.

Cross references. —

As to brands and brand inspection, see §§ 11-20-101 to 11-20-409 .

As to minimum punishment for commission of a felony, see §§ 6-10-102 and 6-10-107 .

Sufficiency of charge. —

It is sufficient if the charge in an information under this section follows the statutory language and such language contains all that is essential to constitute the crime and apprise the accused of the nature of the crime charged. State v. Hickenbottom, 63 Wyo. 41, 178 P.2d 119, 1947 Wyo. LEXIS 6 (Wyo. 1947).

“Brand” not defined. —

The word “brand” is not defined in this or in any other section. State v. Hickenbottom, 63 Wyo. 41, 178 P.2d 119, 1947 Wyo. LEXIS 6 (Wyo. 1947).

Method of branding sheep. —

It is common knowledge in this jurisdiction that sheep are not branded with a hot iron as are cattle and horses but with paint marks. State v. Hickenbottom, 63 Wyo. 41, 178 P.2d 119, 1947 Wyo. LEXIS 6 (Wyo. 1947).

Assumption as to legal brand. —

If it were assumed that a brand legally recorded is the only one intended by this section and where there was nothing in an information to show that the word “brand” did not refer to a recorded brand, it must be presumed that a legal brand was intended. State v. Hickenbottom, 63 Wyo. 41, 178 P.2d 119, 1947 Wyo. LEXIS 6 (Wyo. 1947).

Applied in

Blakely v. State, 542 P.2d 857, 1975 Wyo. LEXIS 174 (Wyo. 1975).

§ 11-30-105. [Repealed.]

Repealed by Laws 1982, ch. 75, § 5; 1983, ch. 171, § 3.

Editor's notes. —

This section, which derived from Laws 1919, ch. 47, § 1, related to theft of wool or sheep pelts and the receipt, purchase or sale of stolen wool or sheep pelts.

§ 11-30-106. Removing skins from carcasses without permission prohibited; exception as to railroads.

  1. Any person who skins or removes from a  carcass any part of the skin, hide or pelt of any cattle, sheep, horses,  mules or goats found dead, without permission from the owner, is guilty  of a misdemeanor and shall be fined not less than fifty dollars ($50.00)  nor more than five hundred dollars ($500.00), or imprisoned not more  than six (6) months, or both.
  2. This section does not prevent the skinning  of animals killed by railroad companies by employees of the railroad  company which killed the stock, but the hide, hides or pelts must  be preserved for inspection according to law.

History. Laws 1921, ch. 5, § 1; R.S. 1931, § 32-320; C.S. 1945, § 9-1706; W.S. 1957, § 11-566; W.S. 1977, § 11-35-107 ; Laws 1978, ch. 32, § 1.

Cross references. —

As to hides and carcasses generally, see §§ 11-23-101 to 11-23-305 .

As to duty of transportation companies in regard to stock killed by those companies, see § 11-23-206 .

§ 11-30-107. Transportation of beef unlawfully obtained or killed.

Transportation in Wyoming, without authority, of unlawfully obtained or killed beef, mutton, pork or poultry is unlawful, punishable as by law provided. Whenever any law enforcement officer of this state discovers any person unlawfully transporting any unlawfully obtained or killed beef, mutton, pork or poultry in any conveyance or vehicle, he shall seize the beef, mutton, pork or poultry and the conveyance or vehicle. The officer shall also arrest the person in possession thereof. The officer shall promptly prosecute proper charges against each person arrested in the proper court of the county in which the seizure is made. Upon conviction of the person charged with unlawful possession and transportation, the court shall order the forfeit of all personal property seized, and unless satisfactory cause to the contrary is shown by the owner, the court shall order prompt sale at public auction of the seized property. The resulting proceeds, after deducting expenses and costs of sale, shall be paid to the treasurer of the county in which the conviction is had to the credit of its public school funds.

History. Laws 1939, ch. 74, § 1; C.S. 1945, § 9-1707; W.S. 1957, § 11-567; W.S. 1977, § 11-35-108 ; Laws 1978, ch. 32, § 1.

Cross references. —

As to permit to transport animals or poultry by motor vehicle, see §§ 11-21-102 to 11-21-104 .

§ 11-30-108. Desertion and abandonment of sheep by herders.

It is unlawful for any person having charge as herder of any sheep to willfully desert and abandon the sheep upon the open range and leave them without care or attention. The herder shall in all cases give the owner or his employer not less than five (5) days notice prior to the time at which he intends to abandon the sheep. Any person who violates this section shall be fined not less than two hundred dollars ($200.00) nor more than seven hundred fifty dollars ($750.00), imprisoned not more than six (6) months, or both.

History. Laws 1919, ch. 49, § 1; C.S. 1920, § 7113; R.S. 1931, § 32-321; C.S. 1945, § 9-1708; W.S. 1957, § 11-568; W.S. 1977, § 11-35-109 ; Laws 1978, ch. 32, § 1; 1981, ch. 98, § 2.

Assumption of risk in going after sheep. —

Notwithstanding this section, prohibiting willful deserting of sheep, a herder thereof assumes the known risk, except as enhanced by the owners' unknown negligence, in going after them in a cold storm when they have strayed from the camp. Lemos v. Madden, 28 Wyo. 1, 200 P. 791, 1921 Wyo. LEXIS 2 (Wyo. 1921).

§ 11-30-109. Taking horses and equipment without consent of owner.

Any person who unlawfully takes without consent of the owner any horse, ass or mule, or any buggy or other vehicle from the stable, lot, premises or pasture of another, or from a hitching post or rack or any other place, having been lawfully placed there, with intent to set at large, injure or wrongfully use the animal or vehicle taken, is guilty of criminal trespass and shall be fined not less than fifty dollars ($50.00), or more than seven hundred fifty dollars ($750.00), or imprisoned for not more than six (6) months, or both, and is also liable to the party injured in double the amount of damage sustained.

History. Laws 1879, ch. 29, § 2; R.S. 1887, § 1057; R.S. 1899, § 5027; C.S. 1910, § 5872; C.S. 1920, § 7161; R.S. 1931, § 32-371; C.S. 1945, § 9-1709; W.S. 1957, § 11-569; W.S. 1977, § 11-35-110 ; Laws 1978, ch. 32, § 1; 1981, ch. 98, § 2.

Cross references. —

As to larceny generally, see § 6-3-402 .

Law reviews. —

For article, “Industrial Siting Legislation: The Wyoming Industrial Development Information and Siting Act — Advance or Retreat?” see XI Land & Water L. Rev. 27 (1976).

§ 11-30-110. Appropriation of horse or mule on open range without permission.

  1. It is unlawful for any person without  the consent of the owner, to take possession of any horse or mule  found running at large upon the open range for the purpose or with  the intent of working, riding or driving the horse or mule, where  there is no intent on the part of the person to steal the horse or  mule. It is unlawful for any person to drive any horses or mules not  his own, off or away from any range where the horses or mules are  found, except to the nearest corral for the purpose of separating  them from horses or mules belonging to the person. Any person driving  horses or mules not his own from any range for the purpose of separating  them from horses or mules belonging to him, shall drive the horses  or mules back to the locality where they were found immediately after  separating them whenever the animals have been driven for more than  five (5) miles.
  2. Any person violating this section shall  be fined not less than fifty dollars ($50.00) or more than seven hundred  fifty dollars ($750.00), or imprisoned not more than six (6) months,  or both.

History. Laws 1890-91, ch. 67, §§ 1, 2; R.S. 1899, § 5040; C.S. 1910, § 5885; C.S. 1920, § 7174; R.S. 1931, § 32-374; C.S. 1945, §§ 9-1710, 9-1711; W.S. 1957, §§ 11-570, 11-571; W.S. 1977, §§ 11-35-111 , 11-35-112 ; Laws 1978, ch. 32, § 1; 1981, ch. 98, § 2.

Cross references. —

As to larceny generally, see § 6-3-402 .

§ 11-30-111. Ranch or stable keeper not to use horses without consent of owner.

If any person keeping a public ranch or stable uses or allows to be used without consent of the owner any horse, ox, mule or ass that is left with him to be ranched or fed, he shall forfeit to the owner all ranch or stable fees that may be due upon the animal used and an additional forty dollars ($40.00) for each day the animal is used.

History. C.L. 1876, ch. 35, § 150; R.S. 1887, § 1055; R.S. 1899, § 2845; C.S. 1910, § 3755; C.S. 1920, § 4804; R.S. 1931, § 66-103; C.S. 1945, § 9-1712; W.S. 1957, § 11-572; W.S. 1977, § 11-35-113 ; Laws 1978, ch. 32, § 1; 1981, ch. 98, § 2.

§ 11-30-112. Abuse or negligent treatment by bailee.

Any person who takes into his possession, or hires or loans any property of any livery stable keeper, or any other person, and while the property is in his custody shall willfully, or with gross neglect or culpable carelessness damage or destroy the property, or permit the property to be damaged or destroyed, or shall by willful or gross neglect cause the sickness, injury or death of any animal received into his possession, shall be fined not less than one hundred dollars ($100.00) or more than five hundred dollars ($500.00), or imprisoned not more than sixty (60) days, or both.

History. Laws 1888, ch. 8, § 1; R.S. 1899, § 5041; C.S. 1910, § 5886; C.S. 1920, § 7175; R.S. 1931, § 32-375; C.S. 1945, § 9-1713; W.S. 1957, § 11-573; W.S. 1977, § 11-35-114 ; Laws 1978, ch. 32, § 1; 1981, ch. 98, § 2.

Cited in

Eisenbarth v. Hartford Fire Ins. Co., 840 P.2d 945, 1992 Wyo. LEXIS 158 (Wyo. 1992).

§ 11-30-113. Unlawful cutting of ears of sheep.

  1. It is unlawful for any person willfully  to cut, sever, detach or mutilate more than one-half (1/2) of either  ear of any sheep or to unlawfully have in his possession or under  his control any sheep which have more than one-half (1/2) of either  ear removed or mutilated unless the same are so described in a bill  of sale or other certificate of title covering the sheep. Sheep afflicted  by bighead are exempt from the provisions of this section.
  2. Any person who violates the provisions  of subsection (a) of this section is guilty of a felony punishable  by imprisonment for not more than five (5) years.

History. Laws 1965, ch. 13, §§ 1, 2; W.S. 1957, § 11-465.1; W.S. 1977, §§ 11-27-119, 11-27-120; Laws 1978, ch. 32, § 1.

§ 11-30-114. Tampering with or drugging of livestock prohibited; definitions; penalty.

  1. No person shall tamper with or sabotage  any livestock which has been registered, entered or exhibited in any  exhibition in this state.
  2. No person shall administer, dispense,  distribute, manufacture, sell or use any drug to or for livestock  which has been registered, entered or exhibited in any exhibition  in this state unless the drug is approved for such use by the United  States Food and Drug Administration or the United States Department  of Agriculture. However, nothing shall prevent any person from using  a drug on livestock owned by him if either federal agency has approved  an application submitted for investigational use in accordance with  the federal Food, Drug and Cosmetic Act.
  3. Any person who violates this section shall  be punished as provided by W.S. 11-1-103 .
  4. As used in this section:
    1. “Drug” means as defined by W.S. 35-7-110(a)(x);
    2. “Exhibition” means a show or sale of livestock  at a fair or elsewhere in this state that is sponsored by or under  the authority of the state or any political subdivision, local government,  or any agricultural, horticultural or livestock society, association  or corporation;
    3. “Livestock” means any animal generally  used for food or in the production of food, including, but not limited  to, horses, mules and asses, cattle, sheep, goats, poultry, swine,  rabbits or llamas;
    4. “Sabotage” means to intentionally tamper  with any livestock belonging to or owned by another person that has  been registered, entered or exhibited in any exhibition or raised  for the apparent purpose of being entered in an exhibition;
    5. “Tamper” shall not include any action  taken or activity performed or administered by a licensed veterinarian  or in accordance with instructions of a licensed veterinarian if the  action or activity was undertaken for accepted medical purposes or  any action taken as part of accepted grooming, commercial or medical  practices, but shall include any of the following:
      1. Treatment of livestock in such a manner  that food derived from the livestock would be considered adulterated  under the Wyoming Food, Drug and Cosmetic Act, W.S. 35-7-109 et seq.;
      2. The injection, use or administration of  any drug that is prohibited by any federal, state or local law or  any drug that is used in a manner prohibited by any federal, state  or local law;
      3. The injection or other internal administration  of any product or material, whether gas, solid or liquid, to any livestock  for the purposes of deception including concealing, enhancing or transforming  the true conformation, configuration, color, breed, condition or age  of the livestock or making the livestock appear more sound than the  livestock would otherwise appear;
      4. The use or administration for cosmetic  purposes of steroids, illegal growth stimulants or internal artificial  filling, including paraffin, silicone injection, or any other substance;
      5. The use or application of any drug or  feed additive affecting the central nervous system of the livestock;
      6. The use or administration of diuretics  for cosmetic purposes;
      7. The manipulation or removal of tissue,  by surgery or otherwise, so as to change, transform or enhance the  true conformation or configuration of the livestock. Nothing in this  subparagraph shall prohibit generally accepted management practices  including but not limited to the dehorning, castration or spaying,  corrective shoeing or trimming of any livestock;
      8. Subjecting the livestock to inhumane conditions  or procedures for the purpose of concealing, enhancing or transforming  the true conformation, configuration, condition or age of the livestock  or making the livestock appear more sound than the livestock would  otherwise appear;
      9. Substituting any different livestock for  the livestock registered or entered in the exhibition without the  permission of a responsible official of the exhibition.

History. Laws 1996, ch. 46, § 1; 2000, ch. 37, § 3.

Editor's notes. —

There is no subparagraph (d)(v)(I) in this section as it appears in the printed acts.

Federal Food, Drug and Cosmetic Act. —

See 21 U.S.C. § 301 et seq.

§ 11-30-115. Unlawful killing of wild horses.

  1. For purposes of this section “wild horse”  means a horse, mare, filly or colt which is unbranded and unclaimed  and lives on state or public land.
  2. Any person, without legal justification,  who willfully and maliciously kills a wild horse is guilty of a misdemeanor  punishable by a fine of not more than seven hundred fifty dollars  ($750.00), imprisonment for not more than six (6), months or both.

History. Laws 2001, ch. 167, § 1.

Chapter 31 Dogs and Cats

Cross references. —

As to larceny generally, see § 6-3-402 et seq.

As to powers of municipal corporations generally relative to dogs, see title 15.

As to use of dogs to hunt big or trophy game animal, see § 23-3-109 .

As to killing of dogs that have injured big or trophy game animals, see § 23-3-109 .

Article 1. In General

Am. Jur. 2d, ALR and C.J.S. references. —

4 Am. Jur. 2d Animals §§ 3, 6, 7, 20 to 30, 72 to 74, 87, 107 to 112, 116, 124, 127, 153, 165.

Civil liability of landowner for killing or injuring trespassing dog, 15 ALR2d 578.

Civil liability of landowner for killing or injuring trespassing dog attacking other animals, 15 ALR2d 578.

Constitutionality of statute or ordinance providing for destruction of dogs running at large, 56 ALR2d 1024.

Constitutionality of statute providing for destruction of dogs as affected by property rights in dogs, 56 ALR2d 1024.

Validity of statute or ordinance providing for destruction of dogs, 56 ALR2d 1024.

Liability for injury inflicted by dog exhibited at show, 80 ALR2d 886.

Dog owner's liability for damages from motor vehicle accident involving attempt to avoid collision with dog on highway, 41 ALR3d 888.

Liability of motorist for collision as affected by attempts to avoid dog or other small animal in road, 41 ALR3d 1124.

Liability of owner of dog known by him to be vicious for injuries to trespasser, 64 ALR3d 1039.

Liability of owner or operator of business premises for injury to patron by dog or cat, 67 ALR4th 976.

Liability for injuries caused by cat, 68 ALR4th 823.

Liability for injuries inflicted by dog on public officer or employee, 74 ALR4th 1120.

Landlord's liability to third person for injury resulting from attack on leased premises by dangerous or vicious animal kept by tenant, 87 ALR4th 1004.

Landlord's liability to third person for injury resulting from attack off leased premises by dangerous or vicious animal kept by tenant, 89 ALR4th 374.

Intentional provocation, contributory or comparative negligence, or assumption of risk as defense to action for injury by dog, 11 ALR5th 127.

3A C.J.S. Animals §§ 2 to 5, 99 to 116, 177 to 237, 249, 298 to 316.

§ 11-31-101. [Repealed.]

Repealed by Laws 1991, ch. 4, § 2.

Editor's notes. —

This section, which derived from Laws 1888, ch. 79, § 1, related to the listing, assessing and taxing of dogs.

§ 11-31-102. Deemed personalty.

Dogs are personal property and the subject of theft the same as other personal property. The value in any criminal prosecution shall be determined as in other cases.

History. Laws 1888, ch. 79, § 3; R.S. 1899, § 2671; C.S. 1910, § 2720; C.S. 1920, § 3239; R.S. 1931, § 6-201; C.S. 1945, § 56-2103; W.S. 1957, § 11-577; W.S. 1977, § 11-36-102 ; Laws 1978, ch. 32, § 1; 1991, ch. 4, § 1; 2013, ch. 191, § 2.

Cross references. —

As to owner having no property rights in unlicensed dogs, see § 11-31-211 .

The 2013 amendment, effective July 1, 2013, substituted “theft” for “larceny.”

Dog as personal property for purposes of willful destruction of property statute. —

A dog of a person living in an unincorporated area of a county, who is not required to license his dog, is personal property for purposes of the willful destruction of property statute. Irwin v. State, 658 P.2d 64, 1983 Wyo. LEXIS 276 (Wyo. 1983).

§ 11-31-103. [Repealed.]

Repealed by Laws 1991, ch. 4, § 2.

Editor's notes. —

This section, which derived from Laws 1888, ch. 79, § 2, related to the measure of damages for loss of a dog.

§ 11-31-104. Penalties for poisoning or killing with ground glass.

Whoever within the limits of any incorporated city or town willfully poisons or kills any dog by means of ground glass is guilty of a misdemeanor and shall be fined not less than one hundred dollars ($100.00) nor more than one thousand dollars ($1,000.00), or imprisoned not less than one (1) month nor more than one (1) year, or both.

History. Laws 1945, ch. 116, § 1; C.S. 1945, § 56-2104; W.S. 1957, § 11-579; W.S. 1977, § 11-36-104 ; Laws 1978, ch. 32, § 1.

§ 11-31-105. Killing sheep or other domestic animals; liability of owner.

The owner of any dog is liable for all damages that accrue to any person, firm or corporation by reason of the dog killing, wounding, worrying or chasing any sheep or other domestic animals belonging to the person, firm or corporation. If two (2) or more dogs owned by different persons kill, wound, chase or worry any sheep or other domestic animals, the persons are jointly and severally liable for all damage done by the dogs. Any person who harbors about his premises a dog for twenty (20) days shall be taken and held as the owner and is liable for all damages that the dog commits.

History. Laws 1933, ch. 90, § 1; C.S. 1945, § 56-2105; W.S. 1957, § 11-580; W.S. 1977, § 11-36-105 ; Laws 1978, ch. 32, § 1.

Cross references. —

As to dogs running livestock, see §§ 11-31-107 and 11-31-108 .

Law reviews. —

For comment, “Wyoming Tort Reform and the Medical Malpractice Insurance Crisis: A Second Opinion,” see XXVIII Land & Water L. Rev. 593 (1993).

§ 11-31-106. Killing sheep or other domestic animals; destruction.

Every person, firm, copartnership, corporation or company owning any dog, which to his knowledge has killed sheep or other livestock, shall exterminate and destroy the dog.

History. Laws 1933, Sp. Sess., ch. 27, § 2; C.S. 1945, § 56-2202; W.S. 1957, § 11-581; W.S. 1977, § 11-36-106 ; Laws 1978, ch. 32, § 1.

§ 11-31-107. Running livestock; when killing authorized; liability to owner; exception.

Dogs running livestock against the wish of the owner of the livestock may be killed at once in cases where the livestock has been injured or is threatened with injury. The person killing any dog running livestock is not liable to the owner where the vicious character of the dog or the damage or danger of damage is shown. When livestock is trespassing upon property the property owner may use dogs to drive and keep off livestock from the property.

History. Laws 1890, ch. 39, § 29; R.S. 1899, § 2014; C.S. 1910, § 2622; C.S. 1920, § 3116; R.S. 1931, § 67-227; C.S. 1945, § 56-528; W.S. 1957, § 11-582; Laws 1965, ch. 14, § 1; W.S. 1977, § 11-36-107 ; Laws 1978, ch. 32, § 1.

§ 11-31-108. Running livestock; penalty for permitting.

Any person who permits or directs any dog owned by him or in his possession or in the possession of his employee to chase or run any cattle or other livestock of which he is not the owner and of which he is not in control, farther than one hundred (100) yards from his land, upon government lands, or away from any watering place upon the open range, shall be fined not less than fifty dollars ($50.00) or more than seven hundred fifty dollars ($750.00), or imprisoned not more than six (6) months, or both.

History. Laws 1913, ch. 2, § 1; C.S. 1920, § 3118; R.S. 1931, § 67-229; C.S. 1945, § 56-2106; W.S. 1957, § 11-583; W.S. 1977, § 11-36-108 ; Laws 1978, ch. 32, § 1; 1981, ch. 98, § 2.

Article 2. Licensing; Rabies Control Districts

§§ 11-31-201 through 11-31-210. [Repealed.]

Repealed by Laws 1979, ch. 124, § 2.

Editor's notes. —

These sections, which derived from Laws 1933, Sp. Sess., ch. 27, §§ 1, 3 through 9, and 12, related to injurious and unlicensed dogs, dog control districts, reimbursements for loss of livestock, payment of warrants, and administration costs.

§ 11-31-211. Property rights in unlicensed dog or cat; no right of action for destruction.

The owner of a dog or cat has no property right in an unlicensed dog or cat, nor does he have any right of action against any person for the destruction of the dog or cat.

History. Laws 1933, Sp. Sess., ch. 27, § 11; C.S. 1945, § 56-2211; W.S. 1957, § 11-594; W.S. 1977, § 11-36-211; Laws 1978, ch. 32, § 1; 1992, ch. 72, § 1.

Cross references. —

As to dog being deemed personal property and subject of larceny, see § 11-31-102 .

§ 11-31-212. Rabies control districts; establishment; notice.

  1. The board of county commissioners of any  county may establish a rabies control district by resolution when  in the judgment of the board and the county health officer a district  is necessary. The resolution shall designate the boundaries of the  district, which may include any incorporated city or town, and shall  identify the district by name.
  2. The resolution creating the rabies control  district shall be published at least once a week for two (2) successive  weeks in a newspaper of general circulation in the county wherein  the district is located.

History. Laws 1975, ch. 133, § 1; W.S. 1957, § 11-594.1; W.S. 1977, § 11-36-212; Laws 1978, ch. 32, § 1.

§ 11-31-213. Registration; vaccination certificate required.

The board of county commissioners may require the registration of all dogs and cats within a rabies control district and may require the owner or person having the right to possession of any dog or cat in the district three (3) months of age or older, to present a valid rabies vaccination certificate showing the dog or cat has been vaccinated for immunization against rabies by a licensed veterinarian as a condition for registration. The vaccination certificate shall indicate the date of vaccination, the type of vaccine used and the period of immunization.

History. Laws 1975, ch. 133, § 1; W.S. 1957, § 11-594.2; W.S. 1977, § 11-36-213; Laws 1978, ch. 32, § 1; 1992, ch. 72, § 1.

§ 11-31-214. Board authorized to adopt rules and regulations.

The board of county commissioners, with the advice of the county health officer, state veterinarian and department of health, may adopt such rules and regulations as necessary to implement the program for registration and immunization of dogs and cats in the rabies control district, including the requirement that registered dogs and cats be tagged or marked in such manner as to make them readily identifiable.

History. Laws 1975, ch. 133, § 1; W.S. 1957, § 11-594.3; W.S. 1977, § 11-36-214; Laws 1978, ch. 32, § 1; 1992, ch. 72, § 1; 2013, ch. 47, § 1.

The 2013 amendment, effective July 1, 2013, added “state veterinarian and department of health,” following “county health officers.”

Article 3. Animals Running at Large

§ 11-31-301. Public nuisance; notice; penalties; rules and regulations; animal control districts and officers.

  1. A board of county commissioners may declare  the running at large of any specified animals in unincorporated areas  within the county limits a public nuisance.
  2. Notice of such a declaration shall be  published in a newspaper of general circulation within the county  and notices may be placed in appropriate locations. The notice shall  specify any regulations necessary and convenient for animal control  and shall state that:
    1. It is a public nuisance for one (1) or  more specified animals to be running at large in unincorporated areas;
    2. A fine shall be imposed on the owner of  such animal and restitution for any damages to person or property  caused by the animal shall be made by the owner;
    3. Dogs or other animals, whose ownership  cannot be determined, may be destroyed.
  3. Upon the filing of any complaint, the  county sheriff may arrest or issue a summons to the owner of any animal  which is running at large or has attacked a person. A first conviction  is punishable by a fine of not more than fifty dollars ($50.00). Each  subsequent conviction is punishable by a fine of not more than one  hundred dollars ($100.00).
  4. A dog injuring or killing livestock may  be killed by the owner of the livestock or his agent or any peace  officer.
  5. Any animal attacking any person in a vicious  manner or that bites any person may be impounded by the county sheriff  or animal control officer and held in quarantine for at least ten  (10) days or as long as necessary as determined by the Wyoming state  health officer after the attack to determine whether the animal has  any disease which may be communicated to humans. Home quarantine may  be allowed as determined by the animal control officer or the county  sheriff if the animal’s owner or custodian presents a valid rabies  vaccination certificate showing the animal has been vaccinated against  rabies by a licensed veterinarian. The costs of impoundment, quarantine  and testing shall be paid by the owner or custodian of the animal.  Any animal which attacks any person in a vicious manner may be destroyed  or the owner or custodian of the animal may be fined not more than  two hundred dollars ($200.00), or both. Proof of the fact that the  animal has bitten or attacked any person at any place where a person  is legally entitled to be is evidence that the animal is vicious within  the meaning of this section. A copy of any animal control officer  report regarding the animal bite shall be submitted to the state health  officer.
  6. Upon the declaration of a public nuisance,  the county sheriff may dispose of any unlicensed animals, the ownership  of which cannot be determined.
  7. A board of county commissioners may enact  regulations relative to dogs running at large, vicious dogs, dogs  running wild game or livestock or acts by other animals which shall  carry out the purposes of this section. The county sheriff shall and  a county animal control officer or any other peace officer may enforce  these regulations to protect persons and property.
  8. A board of county commissioners may require  an annual county license or tag for animals within their jurisdiction  upon payment of a fee of not more than ten dollars ($10.00). Funds  collected pursuant to this subsection may be used for animal control  or for the maintenance of animal control centers for either purpose.
  9. A board of county commissioners may establish  and provide for the operation of animal control districts which may  encompass all or parts of the unincorporated area of the county and  may cooperate with municipalities in a joint animal control program.  Joint animal control programs may employ joint animal control officers  who have the authority to enforce the animal control regulations and  ordinances of each of the participating entities.
  10. As used in W.S. 11-31-301 “animal” means a dog or cat.
  11. Except as provided in subsection (e) of this section regarding impounding an animal to determine disease status, nothing in this section shall apply to any livestock guarding animal which is actively engaged in protecting livestock. Except in the case of gross or willful negligence, no liability shall accrue to the owner, or his agent, of any livestock guarding animal for any injury to any person or animal received from any livestock guarding animal which was actively engaged in protecting livestock.

History. Laws 1979, ch. 124, § 1; 1981, ch. 73, § 1; 1983, ch. 123, § 1; 1984, ch. 37, § 1; 2002 Sp. Sess., ch. 41, § 1; 2009, ch. 173, § 1; 2018, ch. 108, § 1.

The 2009 amendment, effective July 1, 2009, in (e), substituted “animal” for “dog” throughout the subsection, in the first sentence, inserted “or that bites any person” preceding “may be impounded” and substituted “ten (10) days or as long as necessary as determined by the Wyoming state health officer” for “fifteen (15) days and not more than twenty (20) days”, in the second sentence, substituted “Home quarantine may be allowed as determined by the animal control officer or the county sheriff” for “except that no dog shall be quarantined”, and added the last sentence; in (h), substituted “animal” for “dog” throughout the subsection and substituted “ten dollars ($10.00)” for “five dollars ($5.00)”; and added (m).

The 2018 amendment, effective July 1, 2018, in (m), deleted the former last sentence, which read: “As used in this subsection, ‘animal’ means as defined in W.S. 11-29-101(a)(i).”

Editor's notes. —

There is no subsection (i) or (l) in this section as it appears in the printed acts.

Dog as personal property for purposes of willful destruction of property statute. —

A dog of a person living in an unincorporated area of a county, who is not required to license his dog, is personal property for purposes of the willful destruction of property statute. Irwin v. State, 658 P.2d 64, 1983 Wyo. LEXIS 276 (Wyo. 1983).

Elements for strict liability. —

The court declined to abrogate the scienter element of common law strict liability in a dog bite case. Borns v. Voss, 2003 WY 74, 70 P.3d 262, 2003 Wyo. LEXIS 90 (Wyo. 2003).

Cited in

Larsen v. City of Cheyenne, 626 P.2d 558, 1981 Wyo. LEXIS 318 (Wyo. 1981); Roberts v. Klinkosh, 986 P.2d 153, 1999 Wyo. LEXIS 129 (Wyo. 1999).

Am. Jur. 2d, ALR and C.J.S. references. —

Personal injuries inflicted by animal as within homeowner's or personal liability policy, 96 ALR3d 891.

Liability of person, other than owner of animal or owner or operator of motor vehicle, for damage to motor vehicle or injury to person riding therein resulting from collision with domestic animal at large in street or highway, 21 ALR4th 132.

Liability of owner or operator of vehicle for damages to motor vehicle or injury to person riding therein resulting from collision with domestic animal at large in street or highway, 21 ALR4th 159.

Liability of dog owner for injuries sustained by person frightened by dog, 30 ALR4th 986.

Construction of provisions of statute or ordinance governing occasion, time or manner of summary destruction of domestic animals by public authorities, 42 ALR4th 839.

Liability for damage to motor vehicle or injury to person riding therein from collision with runaway horse, or horse left unattended or untied in street, 49 ALR4th 653.

Modern status of rule of absolute or strict liability for dogbite, 51 ALR4th 446.

Liability of governmental entity for damage to motor vehicle or injury to person riding therein resulting from collision between vehicle and domestic animal at large in street or highway, 52 ALR4th 1200.

Liability for killing or injuring, by motor vehicle, livestock or fowl on highway, 55 ALR4th 822.

Who “harbors” or “keeps” dog under animal liability statute, 64 ALR4th 963.

Liability of owner or operator of business premises for injury to patron by dog or cat, 67 ALR4th 976.

Liability for injuries inflicted by dog on public officer or employee, 74 ALR4th 1120.

Validity and construction of statute, ordinance or regulation applying to specific dog breeds, such as “pit bulls” or “bull terriers,” 80 ALR4th 70.

Landlord's liability to third person for injury resulting from attack on leased premises by dangerous or vicious animal kept by tenant, 87 ALR4th 1004.

Landlord's liability to third person for injury resulting from attack off leased premises by dangerous or vicious animal kept by tenant, 89 ALR4th 374.

Intentional provocation, contributory or comparative negligence, or assumption of risk as defense to action for injury by dog, 11 ALR5th 127.

Keeping of domestic animal as constituting public or private nuisance, 90 ALR5th 619.

Chapter 32 Poultry

Cross references. —

For authority of officers or agents of livestock board to enter premises, to inspect poultry, see § 11-18-113 .

As to transporting poultry by vehicle, see §§ 11-21-102 to 11-21-104 .

As to transportation of poultry unlawfully obtained or killed, and as to seizure and sale of vehicles and contents, see § 11-30-107 .

As to livestock feedlot operations, see ch. 39 of this title.

As to cooperative marketing associations, see §§ 17-10-101 to 17-10-253.

As to food safety system, see § 35-7-123 .

Am. Jur. 2d, ALR and C.J.S. references. —

3 Am. Jur. 2d Agriculture §§ 28, 32, 36-38; 4 Am. Jur. 2d Animals § 1 et seq.; 35A Am. Jur. 2d Food §§ 23 to 26, 28 to 30, 33.

Injunction to restrain repeated or continuing trespasses by livestock and fowls, 60 ALR2d 310.

3 C.J.S. Agriculture § 3; 3A C.J.S. Animals § 1 et seq.

§ 11-32-101. Definitions.

  1. As used in this act:
    1. “Baby poultry” means poultry under ten  (10) weeks of age;
    2. “Board” means the Wyoming livestock board;
    3. “Breeding stock” means poultry used for  reproduction;
    4. “Poultry” means live chickens, turkeys,  ducks, geese and game birds as defined by W.S. 23-1-101(a)(iv);
    5. “This act” means W.S. 11-32-101 through 11-32-104 .

History. Laws 1947, ch. 145, § 1; W.S. 1957, § 11-595; W.S. 1977, § 11-37-101 ; Laws 1978, ch. 32, § 1.

Editor's notes. —

There is no subsection (b) in this section as it appears in the printed acts.

§ 11-32-102. Rules and regulations.

The board may adopt rules and regulations to carry out this act and to prevent the spread of disease among poultry.

History. Laws 1947, ch. 145, § 2; W.S. 1957, § 11-596; W.S. 1977, § 11-37-102 ; Laws 1978, ch. 32, § 1.

Meaning of “this act.” —

For the definition of “this act,” referred to in this section, see § 11-32-101(a)(v).

§ 11-32-103. Labeling of shipments.

  1. Each container of poultry, baby poultry,  hatching eggs or breeding stock sold within or imported into this  state, except those containing poultry for immediate slaughter, shall  bear the name and address of the shipper and an official label or  certificate showing:
    1. The number, breed and variety, sex and  date of hatch for baby poultry;
    2. The name of the hatchery or person producing  poultry in the case of baby poultry;
    3. The agency under the supervision of which  the testing for pullorum disease was done, the pullorum classification;  and
    4. In the case of breeding stock, the pullorum  classification and date of last test.
  2. No person shall import into Wyoming any  poultry, baby poultry, hatching eggs or breeding stock which is not  labelled as provided by subsection (a) of this section except for  immediate slaughter.

History. Laws 1947, ch. 145, § 3; W.S. 1957, § 11-597; W.S. 1977, § 11-37-103 ; Laws 1978, ch. 32, § 1.

§ 11-32-104. Penalty; seizure of property.

Any person who violates W.S. 11-32-101 through 11-32-103 or any rule or regulation promulgated hereunder shall be fined not more than five hundred dollars ($500.00). Any container of poultry, baby poultry, hatching eggs or breeding stock which is not labeled in accordance with the provisions of this act or rules and regulations may be seized and its contents destroyed or returned to the shipper at the shipper’s expense, as the board determines.

History. Laws 1947, ch. 145, § 4; W.S. 1957, § 11-599; W.S. 1977, § 11-37-105 ; Laws 1978, ch. 32, § 1; 1981, ch. 98, § 2.

Meaning of “this act.” —

For the definition of “this act,” referred to in this section, see § 11-32-101(a)(v).

Chapter 33 Livestock Districts

Cross references. —

As to agricultural marketing, see ch. 35 of this title.

As to requiring legislature to provide for the protection of livestock and stock owners, see art. 19, § 1, Wyo. Const.

As to cooperative marketing associations, see §§ 17-10-101 to 17-10-253.

As to livestock roaming at large in Hot Springs state park, see § 36-8-316 .

Am. Jur. 2d, ALR and C.J.S. references. —

3 Am. Jur. 2d Agriculture §§ 28, 32, 36-38; 4 Am. Jur. 2d Animals § 1 et seq.; 35A Am. Jur. 2d Fences § 1 et seq.; 56 Am. Jur. 2d Municipal Corporations §§ 10, 12 to 15.

3A C.J.S. Animals §§ 139 to 157.

§ 11-33-101. Creation; generally; applicable provisions.

The board of county commissioners of each county in the state may create livestock districts within any irrigation district organized under the irrigation district laws of this state as hereinafter provided. When a district is created, W.S. 11-33-101 through 11-33-109 apply and are enforceable therein.

History. Laws 1955, ch. 104, § 1; W.S. 1957, § 11-600; W.S. 1977, § 11-38-101 ; Laws 1978, ch. 32, § 1.

Cited in

Chicago & N.W. Ry. v. Bishop, 390 P.2d 731, 1964 Wyo. LEXIS 92 (Wyo. 1964).

Law reviews. —

For note on the open range and fencing, see 13 Wyo. L.J. 136 (1959).

§ 11-33-102. Creation; landowners' petition; contents.

At least seventy-five percent (75%) of the landowners owning at least seventy-five percent (75%) of the land in any irrigation district organized under the irrigation district laws of Wyoming and who are resident in and qualified electors of Wyoming, may petition the board of county commissioners in writing to create a livestock district. The petition shall describe the boundaries of the proposed livestock district and shall designate what animals are to be prohibited from running at large or from being grazed upon the public highways in the district and may designate the period of the year during which it is desired to prohibit animals from running at large or being grazed on the highways.

History. Laws 1955, ch. 104, § 2; W.S. 1957, § 11-601; W.S. 1977, § 11-38-102 ; Laws 1978, ch. 32, § 1.

§ 11-33-103. Creation; landowners' petition; notice of hearing.

Within twenty (20) days after a petition has been filed, the board of county commissioners shall set a date for hearing the petition. Notice of the hearing shall be given by posting notices in three (3) conspicuous places in the proposed livestock district and by publication for two (2) weeks previous to the hearing in a newspaper published in the county nearest the proposed livestock district.

History. Laws 1955, ch. 104, § 3; W.S. 1957, § 11-602; W.S. 1977, § 11-38-103 ; Laws 1978, ch. 32, § 1.

§ 11-33-104. Creation; order; contents and force.

At the hearing, if satisfied that at least seventy-five percent (75%) of the landowners owning at least seventy-five percent (75%) of the land in the proposed livestock district who are resident in and qualified electors of Wyoming are in favor of the enforcement of the livestock law and that it would be beneficial to the district, the board of county commissioners shall make an order creating the livestock district in accordance with the prayer of the petition or with such modifications as it may choose to make. The order shall specify a certain time at which it takes effect which shall be at least thirty (30) days after the making of the order. The order shall continue in force until vacated or modified by the board of county commissioners upon the petition of seventy-five percent (75%) of the landowners owning seventy-five percent (75%) of the land in the district who are resident in and qualified electors of Wyoming.

History. Laws 1955, ch. 104, § 4; W.S. 1957, § 11-603; W.S. 1977, § 11-38-104 ; Laws 1978, ch. 32, § 1.

§ 11-33-105. Creation; order; mandatory condition of fences.

The board of county commissioners shall provide as a condition in any order creating a livestock district that the livestock district shall be enclosed by a lawful fence and that any road extending from the livestock district shall contain cattle guards or gates at such places and of such nature as the board prescribes. The board of county commissioners shall make its livestock district orders inapplicable to cattle, horses, sheep or mules straying into the livestock district until the district is enclosed by lawful fence and cattle guards or gates are installed.

History. Laws 1955, ch. 104, § 5; W.S. 1957, § 11-604; W.S. 1977, § 11-38-105 ; Laws 1978, ch. 32, § 1.

Cross references. —

As to fences and cattle guards generally, see §§ 11-28-101 to 11-28-108 .

Am. Jur. 2d, ALR and C.J.S. references. —

Validity of statutes requiring the construction of fences—modern cases, 87 ALR4th 1129.

§ 11-33-106. Extent of jurisdiction.

W.S. 11-33-101 and 11-33-105 do not confer upon the board of county commissioners any jurisdiction over animals otherwise prohibited from running at large under existing laws.

History. Laws 1955, ch. 104, § 6; W.S. 1957, § 11-605; W.S. 1977, § 11-38-106 ; Laws 1978, ch. 32, § 1.

§ 11-33-107. Violation of order deemed misdemeanor; subsequent violations.

Any person who in violation of any order made pursuant to W.S. 11-33-104 , permits or allows any of the animals designated in the order, owned by him or under his control, to run at large in the district or to be grazed on the highway, is guilty of a misdemeanor. The pendency of any action shall not prevent nor prejudice the bringing of another action against the same party for a violation of the order committed after the commencement of the pending action.

History. Laws 1955, ch. 104, § 7; W.S. 1957, § 11-606; W.S. 1977, § 11-38-107 ; Laws 1978, ch. 32, § 1.

§ 11-33-108. Liability of animal owners; lien on and custody of animals.

The owner of animals permitted or allowed to run at large, or herded in violation of any order made in accordance with W.S. 11-33-104 is liable to any person who suffers damage from the depredations or trespasses of the animals, without regard to the condition of his fence. The person damaged shall have a lien upon the animals for the amount of damage done and the cost of the proceedings to recover damages, and may take the animals into custody until all damages are paid. The person taking the animals into custody may not retain the animals for more than five (5) days without commencing an action against the owner for damages.

History. Laws 1955, ch. 104, § 8; W.S. 1957, § 11-607; W.S. 1977, § 11-38-108 ; Laws 1978, ch. 32, § 1.

§ 11-33-109. Duty of person taking custody of animals.

Any person may take into custody any of the animals specified in the order of the board of county commissioners that may be about to commit a trespass upon the premises owned, occupied or in charge of the person and retain the animals until all reasonable charges for keeping the animals are paid. The person taking the animals into custody shall notify the owner or person in charge of the animals within five (5) days thereafter. If the owner or person in charge of the animals is not known to the person taking the animals into custody, and cannot be found after diligent inquiry, he may proceed in the manner provided for the taking up and disposal of estrays.

History. Laws 1955, ch. 104, § 9; W.S. 1957, § 11-608; W.S. 1977, § 11-38-109 ; Laws 1978, ch. 32, § 1.

Chapter 34 State Loan and Investment Board

Cross references. —

For constitutional provisions relating to public debt, see art. 16, Wyo. Const.

As to authority of state in its political subdivisions to invest in federal farm and housing securities, see § 9-4-831 .

As to cooperative marketing associations, see §§ 17-10-101 to 17-10-253.

As to powers and duties of state loan and investment board with reference to bonds held by state in connection with irrigation and drainage districts generally, see §§ 41-6-201 to 41-6-209 .

Am. Jur. 2d, ALR and C.J.S. references. —

3 Am. Jur. 2d Agriculture §§ 20 to 37; 55 Am. Jur. 2d Mortgages § 1 et seq.; 63C Am. Jur. 2d Public Funds § 1 et seq.

Applicability of state laws to federal crop loans, 1 ALR2d 712.

Validity and effect of side agreement respecting purchase price of property made in violation of statutes pertaining to, and regulations of federal farm loan agency, 30 ALR2d 1228.

3 C.J.S. Agriculture §§ 25 to 64; 81A C.J.S. States §§ 203 to 262.

Article 1. In General

§ 11-34-101. Definitions.

  1. As used in this act:
    1. “First mortgage” means first and superior  liens on farm lands except as hereinafter provided, the fee simple  title to which is in the proposed borrower;
    2. “Farm land,” “farm” and “farms” includes:
      1. Lands used principally for raising agricultural  products;
      2. Lands used principally for dairying purposes;  and
      3. Lands or ranches used principally for  livestock purposes.
    3. “Board” means the state loan and investment  board;
    4. “This act” means W.S. 11-34-101 through 11-34-203 .

History. Laws 1921, ch. 118, § 1; R.S. 1931, § 41-101; C.S. 1945, § 21-101; W.S. 1957, § 11-609; W.S. 1977, § 11-39-101 ; Laws 1978, ch. 32, § 1; 1982, ch. 25, § 2; 1998, ch. 13, § 1; 2011, ch. 109, § 2; 2019, ch. 35, § 1.

The 2011 amendment, effective July 1, 2011, in (a)(iv), substituted “11-34-306” for “11-34-305.”

The 2019 amendment, effective July 1, 2019, in (a)(iv), substituted “11-34-203” for “11-34-306.”

Editor's notes. —

There is no subsection (b) in this section as it appears in the printed acts.

§ 11-34-102. Rural credits; establishment and administration; composition of board; power to sue and be sued; officers.

  1. For the purpose of fostering and encouraging  agriculture, dairying and livestock raising in Wyoming and the development  and improvement of farm lands, there is hereby created and established  a system of rural credits to be administered by the state loan and  investment board.
  2. The board of land commissioners is hereby  constituted the state loan and investment board. The board may sue  and be sued in the name of the state loan and investment board in  the courts of this state and in no other jurisdiction on any mortgage,  contract of sale or lease issued by the board. The governor is president  of the board but in his absence from any meeting one (1) of the members  may act as president pro tempore and preside at meetings. The director  of the office of state lands and investments is the chief executive  officer of the board, and the deputy director of the office of state  lands and investments is deputy chief executive officer.

History. Laws 1921, ch. 118, § 2; 1929, ch. 92, § 1; R.S. 1931, § 41-102; C.S. 1945, § 21-102; W.S. 1957, § 11-610; W.S. 1977, § 11-39-102 ; Laws 1978, ch. 32, § 1; 1992, ch. 55, § 3; 1997, ch. 195, § 1; 1998, ch. 13, § 1.

Cross references. —

As to board of land commissioners, see §§ 36-2-101 to 36-2-210 .

Law reviews. —

For article, “Governmental Immunity from Damage Actions in Wyoming — Part II,” see VII Land & Water L. Rev. 617 (1972).

§ 11-34-103. Powers and duties generally; employees and financial matters; reports to governor.

  1. The board shall establish a system of  farm loans, and foreclose or renew any installment payment of the  loans as provided by this act. The board may provide for its office,  necessary furniture, fixtures, stationery and supplies, adopt rules  and regulations proper and necessary for the conduct of its business  and receive and approve applications for farm loans. All monies received  shall be delivered to the state treasurer to be credited to the funds  from which originally drawn. The board may acquire and dispose of  property, real and personal, as necessary or convenient for the transaction  of its business and accept assignments of interests in any real or  personal property which are taken as additional security or collateral  to preexistent debts or approved loans.
  2. The board shall employ assistants, clerks,  appraisers and other employees as necessary to conduct its business,  fix the fees, costs and charges which shall be credited to the general  fund to cover the expenses of the board in making loans and define  the duties of the officers, agents and employees of the board. All  officers and employees shall be under the direction and authority  of the board in all matters not inconsistent with this act. The board  shall, as required by W.S. 9-2-1014 , report to the governor such general information and  recommendations as to the board seem proper. The board shall exercise  all incidental power as necessary to carry out this act.

History. Laws 1921, ch. 118, § 3; 1925, ch. 86, § 1; 1929, ch. 92, § 2; R.S. 1931, § 41-103; Laws 1933, ch. 82, § 1; C.S. 1945, § 21-103; W.S. 1957, § 11-611; Laws 1973, ch. 215, § 1; 1974, ch. 16, § 2; W.S. 1977, § 11-39-103 ; Laws 1978, ch. 32, § 1.

Meaning of “this act.” —

For the definition of “this act,” as used in this section, see § 11-34-101(a)(iv).

§ 11-34-104. Seal; design.

The board shall obtain and keep a seal. The design of the seal shall be a circle within which appears in the center the word “Seal.” Between the lower and upper edges of the circle, properly divided, shall appear the words “Wyoming State Loan and Investment Board,” “State of Wyoming.”

History. Laws 1921, ch. 118, § 5; R.S. 1931, § 41-105; C.S. 1945, § 21-105; W.S. 1957, § 11-613; W.S. 1977, § 11-39-105; Laws 1978, ch. 32, § 1; 1998, ch. 13, § 1.

§ 11-34-105. Chief executive officer; powers and duties.

  1. The director of the office of state lands and investments is the chief executive officer under the direction of the board and has general supervision of the business and employees of the board.
  2. The director of the office of state lands and investments shall:
    1. Keep all books of account of the board;
    2. Receive, collect and promptly pay over to the state treasurer all monies that come into his possession;
    3. Keep in his care and custody copies of all promissory notes, mortgages and other securities or evidences of indebtedness and muniments of title acquired or received by the board for monies loaned on real estate;
    4. Transmit to the state treasurer the original notes and mortgages at the time of the disbursements of monies by the state treasurer. The security shall be kept by the state treasurer as a record and evidence of monies disbursed by the treasurer by virtue of this act;
    5. Render monthly statements to the board of the transactions of his office;
    6. Keep the seal of the board and affix the seal with his attestation to all instruments or papers whenever required;
    7. Keep a record of the proceedings of the board and such books and records as are necessary for the conduct of the business of his office including a written record of all votes taken to decide the board’s final action on any matter;
    8. Submit regular reports to the board setting forth in detail the status of all farm and water development project loans which are delinquent as to the payment of any installment of principal or interest due; and
    9. Do and perform such other acts as required by the board.

History. Laws 1921, ch. 118, §§ 4, 6, 7; 1925, ch. 86, § 2; R.S. 1931, §§ 41-104, 41-106, 41-107; C.S. 1945, §§ 21-104, 21-106, 21-107; W.S. 1957, §§ 11-612, 11-614, 11-615; W.S. 1977, §§ 11-39-104 , 11-39-106, 11-39-107; Laws 1978, ch. 32, § 1; 1992, ch. 55, § 3; 1998, ch. 13, § 1; 2008, ch. 113, § 2; 2013, ch. 184, § 1; 2016, ch. 110, § 2.

The 2008 amendment, effective July 1, 2008, in (b), inserted present (viii), redesignated former (viii) as (ix); and made related changes.

The 2013 amendment, effective July 1, 2013, added “including a written record of all votes taken to decide the board’s final action on any matter” in (b)(vii).

The 2016 amendment , effective July 1, 2016, substituted “water development project” for “irrigation” in (b)(viii).

Meaning of “this act.” —

For the definition of “this act,” referred to in this section, see § 11-34-101(a)(iv).

§ 11-34-106. Legal advisor.

The attorney general is the legal advisor of the board and its officers.

History. Laws 1921, ch. 118, § 23; R.S. 1931, § 41-123; C.S. 1945, § 21-123; W.S. 1957, § 11-616; W.S. 1977, § 11-39-108; Laws 1978, ch. 32, § 1.

§ 11-34-107. Quorum; loan; votes required; record.

A majority of the board constitutes a quorum. No loan shall be made except upon the affirmative vote of not less than three (3) of the members, and the records of the meeting shall show which members voted to approve the loan.

History. Laws 1921, ch. 118, § 13; R.S. 1931, § 41-113; Laws 1941, ch. 100, § 2; C.S. 1945, § 21-113; W.S. 1957, § 11-617; Laws 1965, ch. 143, § 1; W.S. 1977, § 11-39-109; Laws 1978, ch. 32, § 1.

§ 11-34-108. Loans on lands subject to preexisting liens; effect.

The board may loan money on and take as security farm lands subject to liens, charges or assessments for drainage, reclamation or irrigation purposes, payable in installments, not due at the time of making the loan, and the mortgage taken to secure the loan shall, notwithstanding the liens, charges or assessments, be deemed a first mortgage within the meaning of this act. The amount of the liens, charges or assessments shall be considered by the board in determining the amount to be loaned on the farm lands.

History. Laws 1921, ch. 118, § 10; 1923, Sp. Sess., ch. 2, § 2; R.S. 1931, § 41-110; C.S. 1945, § 21-110; W.S. 1957, § 11-618; W.S. 1977, § 11-39-110; Laws 1978, ch. 32, § 1.

Meaning of “this act.” —

For the definition of “this act,” referred to in this section, see § 11-34-101(a)(iv).

§ 11-34-109. Purposes for which loans authorized.

  1. Loans may be made for the following agriculture  related purposes and no other:
    1. To provide for the purchase of farm lands;
    2. To provide for the purchase of equipment  as defined by the board, fertilizers and livestock necessary for the  proper and reasonable operation of the mortgaged farm lands;
    3. To provide for buildings and other improvements,  as defined by the board, of farm lands;
    4. To liquidate indebtedness of the owner  of the land to be mortgaged;
    5. Repealed by Laws 2008, ch. 42, § 2.

History. Laws 1921, ch. 118, § 11; 1929, ch. 92, § 4; R.S. 1931, § 41-111; Laws 1933, ch. 109, § 1; C.S. 1945, § 21-111; W.S. 1957, § 11-619; W.S. 1977, § 11-39-111; Laws 1978, ch. 32, § 1; 1983, ch. 158, § 1; 2003, ch. 200, § 1; 2008, ch. 42, § 2.

The 2008 amendment, effective July 1, 2008, repealed former (a)(v) which read: “To provide for the purchase of replacement breeding stock pursuant to W.S. 11-34-113(h).”

Editor's notes. —

There is no subsection (b) in this section as it appears in the printed acts.

§ 11-34-110. Limitations on borrowers; due on sale clause; sale of mortgaged land.

  1. No loan shall be made to any person who  is not at the time or shortly to become engaged in the cultivation  and development of the farm land mortgaged.
  2. Loans shall be made only to qualified  Wyoming electors or to a corporation if a majority of the corporation’s  outstanding shares are owned beneficially or of record by qualified  Wyoming electors.
  3. Every mortgage shall contain a due on  sale clause which may be exercised at the option of the board. The  board may permit a mortgage to be assumed by a purchaser who is otherwise  qualified to receive a loan under this act, or by the heirs of a deceased  mortgagor.

History. Laws 1921, ch. 118, § 15; R.S. 1931, § 41-115; C.S. 1945, § 21-115; W.S. 1957, § 11-620; W.S. 1977, § 11-39-112; Laws 1978, ch. 32, § 1; 1983, ch. 158, § 1.

Meaning of “this act.” —

For the definition of “this act,” referred to in this section, see § 11-34-101(a)(iv).

§ 11-34-111. Application for loan; form; contents; priority of applications.

  1. Every applicant for a loan under this  act shall apply on a form prescribed by the board. The applicant shall  state the object to which the proceeds of the loan will be applied  and shall furnish such other information as required by the board.
  2. The state loan and investment board is  authorized to promulgate rules and regulations to establish criteria  for determining the priority in which farm loan applications will  be considered. The criteria for establishing priority will include,  but are not limited to, an applicant’s need, financial net worth,  earning capacity and the ability to repay the loan.

History. Laws 1921, ch. 118, § 17; R.S. 1931, § 41-117; C.S. 1945, § 21-117; W.S. 1957, § 11-621; W.S. 1977, § 11-39-113; Laws 1978, ch. 32, § 1; 1983, ch. 158, § 1; 1998, ch. 13, § 1.

Meaning of “this act.” —

For the definition of “this act,” referred to in this section, see § 11-34-101(a)(iv).

§ 11-34-112. Application for loan; filing; appraisal of land; consideration of written report.

Before any mortgage loan is made by the board, the loan application shall be filed with the director of the office of state lands and investments who shall make, or cause to be made, an appraisal and written report upon the land offered as security for the loan. No loan shall be made unless the written report is filed with the director of the office of state lands and investments and considered, approved and authorized by the unanimous consent of all members of the board present at the meeting at which the loan is considered.

History. Laws 1921, ch. 118, § 8; R.S. 1931, § 41-108; C.S. 1945, § 21-108; W.S. 1957, § 11-622; W.S. 1977, § 11-39-114; Laws 1978, ch. 32, § 1; 1998, ch. 13, § 1.

Cross references. —

As to director of sales land and investment board, see § 11-34-105 .

As to need for three affirmative votes for loan, see § 11-34-107 .

§ 11-34-113. Terms and conditions of loans.

  1. The board shall make loans only upon the following terms and conditions:
    1. The loan shall be secured by a duly recorded first or second mortgage as approved by the board on the farm lands within this state;
    2. Every mortgage shall contain an agreement providing for repayment of the entire amount of the loan and interest upon a certain date or in several specified payments, or on an amortization plan of annual or semiannual installments so computed as to pay the interest on the loan according to terms of the mortgage and such amounts to be applied on the principal as will terminate the debt within an agreed period of not less than five (5) years nor more than thirty (30) years. The method of repayment is at the option of the board.
  2. After five (5) years from date of the mortgage, additional payments for part or all of the principal may be made on the annual or semiannual payment date under such rules and regulations as the board may prescribe. On the application of the borrower the board may provide in the mortgage for the payment of interest only during the first five (5) years and thereafter for the payment of both interest and principal on the amortization plan. Any loan may be paid in full before the expiration of five (5) years upon payment of a ten dollar ($10.00) fee to be paid into the general fund. Any loan paid in full after five (5) years from the date thereof, the ten dollars ($10.00) fee shall not be collected.
  3. Repealed by Laws 1987, ch. 242, § 2.
  4. Notwithstanding the loan term limitation specified in paragraph (a)(ii) of this section, the board may reamortize farm loan payments over an additional number of years which together with the years remaining on the original term shall create a new term not to exceed thirty (30) years, at the same interest rate as that in effect at the time of reamortization for loans being made under W.S. 11-34-101 through 11-34-130 , when in the judgment of the board the reduced payments resulting from reamortization of the loan will provide adequate financial benefit to assure with reasonable certainty the ultimate repayment of the loan. Any borrower requesting reamortization shall have the burden of showing that reamortization will significantly improve the financial viability of the agricultural operation. No loan shall be reamortized if, in the sole judgment of the board, the borrower is in sound financial condition and reamortization is not necessary to secure repayment of the loan, or if reamortization will not provide sufficient financial benefit to avoid the imminent failure of the borrower’s operation. Nothing in this section shall be construed as authorizing the reamortization of water development project loans.
  5. through (g) Repealed by Laws 1987, ch. 242, § 2.
  6. Repealed by Laws 2008, ch. 42, § 2.
  7. Repealed by Laws 2019, ch. 35, §  2.

History. Laws 1921, ch. 118, § 9; 1929, ch. 92, § 3; R.S. 1931, § 41-109; Laws 1935, ch. 119, § 3; 1937, ch. 52, § 3; 1945, ch. 31, § 1; C.S. 1945, § 21-109; W.S. 1957, § 11-623; Laws 1974, ch. 16, § 2; W.S. 1977, § 11-39-115; Laws 1978, ch. 32, § 1; 1981, ch. 20, § 1; 1982, ch. 26, § 1; 1985, ch. 189, § 1; 1987, ch. 242, §§ 1, 2; 2003, ch. 200, § 1; 2008, ch. 42, §§ 1, 2; 2016, ch. 110, § 2; 2019, ch. 35, § 2.

The 2008 amendment, effective July 1, 2008, repealed former (h) pertaining to the drought assistance for breeding livestock; and added (j).

The 2016 amendment , effective July 1, 2016, substituted “water development project” for “irrigation” in (d).

The 2019 amendment, effective July 1, 2019, repealed former (j), which read: “(j) Notwithstanding the terms and conditions specified in paragraph (a)(ii) of this section, the board may make loans for the purpose of enhancing or restoring livestock numbers in the state. Loans made under this subsection shall be for a term not to exceed seven (7) years.”

Editor's notes. —

There is no subsection (i) in this section as it appears in the printed acts.

Am. Jur. 2d, ALR and C.J.S. references. —

Construction and effect as to interest due of real estate mortgage clause authorizing mortgagor to prepay principal debt, 86 ALR3d 599.

§ 11-34-114. Limitation on loans; percentages of appraised value.

  1. No loan secured by a first mortgage shall  exceed seventy percent (70%) of the appraised value of the land with  the necessary existing improvements, as ascertained and fixed by the  board except as provided by W.S. 11-34-117 . If a loan is secured by a second mortgage, the sum of  the first and second mortgages shall not exceed eighty percent (80%)  of the appraised value of the land and improvements and the balance  due on the loans secured by the first or second mortgage shall not  exceed eight hundred thousand dollars ($800,000.00). The appraisal  shall be made by the state loan and investment board, with the advice  of two (2) residents of the immediate locality in which the loan is  being considered.
  2. Repealed by Laws 2008, ch. 42, § 2.
  3. Repealed by Laws 2019, ch. 35, §  2.

History. Laws 1921, ch. 118, § 12; 1923, Sp. Sess., ch. 2, § 3; 1929, ch. 92, § 5; 1931, ch. 42, § 1; R.S. 1931, § 41-112; Laws 1941, ch. 100, § 1; C.S. 1945, § 21-112; Laws 1951, ch. 37, § 1; W.S. 1957, § 11-624; W.S. 1977, § 11-39-116; Laws 1978, ch. 32, § 1; 1981, ch. 20, § 1; 1983, ch. 158, § 1; 1984, ch. 30, § 1; 1998, ch. 13, § 1; 2002 Sp. Sess., ch. 98, § 1; 2003, ch. 200, § 1; 2008, ch. 42, §§ 1, 2; 2019, ch. 35, § 2.

The 2008 amendment, effective July 1, 2008, in (a), deleted “and subsection (b) of this section” at the end of the first sentence, and substituted “eight hundred thousand dollars ($800,000.00)” for “six hundred thousand dollars ($600,000.00)”; repealed former (b) pertaining to increasing loan limits, modifying loan terms and conditions; and added (c).

The 2019 amendment, effective July 1, 2019, repealed former (c), which read: “(c) No loan made pursuant to W.S. 11 34 113(j) shall exceed seventy percent (70%) of the appraised value of the security. Loans may be secured by a first or second mortgage on the borrower's real estate as approved by the board and shall be aggregated with all other loans for purposes of determining compliance with the loan percentages specified in subsection (a) of this section.”

§ 11-34-115. Minimum and maximum amount of loans.

The amount of loans to any one (1) borrower shall not be less than ten thousand dollars ($10,000.00) nor more than one million dollars ($1,000,000.00) if all loans to the borrower are made for the purposes of purchasing farm lands or other purposes as defined by W.S. 11-34-109(a)(i) through (iv).

History. Laws 1921, ch. 118, § 16; 1923, Sp. Sess., ch. 2, § 4; R.S. 1931, § 41-116; C.S. 1945, § 21-116; Laws 1951, ch. 28, § 1; W.S. 1957, § 11-625; Laws 1971, ch. 17, § 1; W.S. 1977, § 11-39-117; Laws 1978, ch. 32, § 1; 1981, ch. 20, § 1; 1984, ch. 30, § 1; 2002 Sp. Sess., ch. 98, § 1; 2003, ch. 200, § 1; 2008, ch. 42, § 1; 2017, ch. 55, § 1.

The 2008 amendment, effective July 1, 2008, substituted “ten thousand dollars ($10,000.00)” for “one thousand dollars ($1,000.00),” substituted “eight hundred thousand dollars ($800,000.00)” for “six hundred thousand dollars ($600,000.00),” and deleted the former last sentence, which read: “In addition, a qualified borrower may borrow not more than two hundred thousand dollars ($200,000.00) pursuant to W.S. 11 34 113(h).”

The 2017 amendment , effective July 1, 2017, substituted “one million dollars ($1,000,000.00)” for “eight hundred thousand dollars ($800,000.00).

§ 11-34-116. Agreement to use loans for purposes specified; reappraisement and additional loan.

  1. Every borrower who is granted a loan under  this act shall enter into an agreement with the board that if the  whole or any portion of his loan is expended for purposes other than  those specified in his original application, or if the borrower is  in default in respect to any condition or covenant of the mortgage,  or in case the mortgagor, his heirs or assigns abandon the land for  one (1) year, or if the board at any time believes that the loan is  not adequately secured by reason of any mismanagement, waste or neglect  of the land, the loan at the option of the board shall become due  and payable forthwith. The board may permit the loan to be used for  any purpose specified in W.S. 11-34-109 .
  2. A reappraisement may be permitted at any  time by the board and an additional loan may be granted as the reappraisal  may warrant.

History. Laws 1921, ch. 118, §§ 14, 19; R.S. 1931, §§ 41-114, 41-119; C.S. 1945, §§ 21-114, 21-119; W.S. 1957, §§ 11-626, 11-627; W.S. 1977, §§ 11-39-118; 11-39-119; Laws 1978, ch. 32, § 1.

Meaning of “this act.” —

For the definition of “this act,” referred to in this section, see § 11-34-101(a)(iv).

§ 11-34-117. Rates of interest; length of loan; amount.

  1. The board may set rates of interest on all farm loans according to current interest rates but not less than four percent (4%) nor more than ten percent (10%) whether the money is loaned upon the amortization plan or otherwise.
  2. A farm loan to a beginning agriculture  producer shall be the lowest of eight per cent (8%) or the yield on  a ten (10) year United States treasury bond. This loan rate shall  be fixed for a period of ten (10) years. At the end of the ten (10)  year period the interest rate shall be the current rate for loans  as established under subsection (a) of this section.
  3. The total value of loans outstanding pursuant to subsection (b) of this section shall not exceed twenty percent (20%) of the total amount of farm loan investment authorized by W.S. 11-34-129 .
  4. Repealed by Laws 2019, ch. 35, §  2.

History. Laws 1921, ch. 118, § 25; 1923, Sp. Sess., ch. 2, § 5; R.S. 1931, § 41-125; Laws 1939, ch. 23, § 2; 1943, ch. 16, § 2; C.S. 1945, § 21-125; W.S. 1957, § 11-628; Laws 1961, ch. 153, § 1; 1969, ch. 181, § 1; W.S. 1977, § 11-39-120; Laws 1978, ch. 32, § 1; 1983, ch. 158, § 1; 2002 Sp. Sess., ch. 98, § 1; 2003, ch. 200, § 1; 2008, ch. 42, § 1; 2017, ch. 55, § 1; 2019, ch. 35, §§ 1, 2.

Cross references. —

As to rate of interest generally, see § 40-14-106(e).

The 2008 amendment, effective July 1, 2008, substituted “11-34-113(j)” for “11-34-113(h)” in (a) and (d); substituted “equal to seventy-five percent (75%) of the lowest current rate set by the board for farm loans other than loans under W.S. 11-34-113(j)” for “matching the overall market return rate earned during the prior fiscal year by the state treasurer on investable funds, excluding legislatively designated investments. If the borrower qualifies, at the end of the five (5) year period, the unpaid balance may be converted to a standard farm loan at the board approved interest rate for such loans at the time of the conversion” at the end of (a); substituted “ten percent (10%) of the total amount of farm loan investment authorized by W.S. 11-34-129 ” for “seven million dollars ($7,000,000.00)” in (c); and in (d), substituted “twenty percent (20%) of the total amount of farm loan investment authorized by W.S. 11-34-129 ” for “fifty million dollars ($50,000,000.00),” and substituted “three hundred thousand dollars ($300,000.00)” for “two hundred thousand dollars ($200,000.00).”

The 2017 amendment , effective July 1, 2017, in (c), substituted “twenty percent (20%)” for “ten percent (10%).”

The 2019 amendments. —

The first 2019 amendment, by ch. 35, § 1, effective July 1, 2019, deleted “except that loans pursuant to W.S. 11-34-113(j) shall be loaned for a fixed period of up to seven (7) years with a set interest rate equal to seventy-five percent (75%) of the lowest current rate set by the board for farm loans other than loans under W.S. 11-34-113(j)” at the end of (a).

The second 2019 amendment, by ch. 35, § 2, effective July 1, 2019, repealed former (d), which read: “(d) The total value of loans outstanding pursuant to W.S. 11-34-113(j) shall not exceed twenty percent (20%) of the total amount of farm loan investment authorized by W.S. 11-34-129 . The amount loaned to any one (1) borrower shall not be more than three hundred thousand dollars ($300,000.00).”

Am. Jur. 2d, ALR and C.J.S. references. —

Construction and effect as to interest due of real estate mortgage clause authorizing mortgagor to prepay principal debt, 86 ALR3d 599.

§ 11-34-118. Refinancing delinquent loans; payment of costs; additional fee.

The board, whenever it deems necessary for the better protection of permanent funds of the state invested in farm loans, may refinance any delinquent farm mortgage loan and reamortize the loan over not more than thirty (30) years from the date of refinancing. All costs of refinancing the loan, including the cost of having the abstract brought down to date, shall be paid by the mortgagor and no loan shall be refinanced where it appears refinancing will jeopardize the collection of the loan. An additional fee of one percent (1%) of the amount of the reamortized loan shall be paid by each mortgagor to the board to be credited to the loss reserve account as provided by W.S. 11-34-202(e).

History. Laws 1941, ch. 89, § 1; C.S. 1945, § 21-130; W.S. 1957, § 11-629; W.S. 1977, § 11-39-121; Laws 1978, ch. 32, § 1; 1986, ch. 84, § 1.

§ 11-34-119. Ultra vires acts of agent.

No loan or mortgage securing the loan shall be impaired or invalidated by any act of any agent of the board in excess of his powers.

History. Laws 1921, ch. 118, § 20; R.S. 1931, § 41-120; C.S. 1945, § 21-120; W.S. 1957, § 11-630; W.S. 1977, § 11-39-122; Laws 1978, ch. 32, § 1.

§ 11-34-120. Mortgages taken by board; control and disposition of property.

  1. All mortgages and accompanying promissory  note or notes taken by the board for monies loaned shall run to state  loan and investment board as mortgagee or payee, and all titles to  property taken by the board shall run to the board as grantee. The  board may control, manage, lease and dispose of the property, subject  to the following:
    1. The board may lease any or all property  for oil and gas for a primary term up to ten (10) years and as long  thereafter as oil or gas is produced in paying quantities and extend  the term of existing oil and gas leases in good standing for as long  as oil or gas is produced in paying quantities and for coal and other  mineral purposes for terms not exceeding ten (10) years, with the  preferential right in each coal or other mineral lessee to renew the  lease for successive periods of ten (10) years each;
    2. The board may make and establish rules  and regulations governing the issuance of mineral leases and covering  the conduct of development and mining operations to be carried on  thereunder;
    3. Mineral leases may be issued upon monthly  or annual minimum rental payment basis as fixed by the board, with  payments annually applied against any royalty as shall accrue for  the same lease year by the terms of the lease, which royalty, as to  lands leased for oil or gas shall not be less than five percent (5%)  of all oil and gas produced and saved from and not used in operations  on the lands under the lease, and royalty of not less than five cents  ($.05) per ton on coal produced from the lands under any lease for  coal purposes, the royalty to be paid on mine run of coal.
  2. No mineral lease is assignable or transferable  except with written consent of the board. It shall require the lessee’s  full compliance with all rules and regulations adopted by the board  and compliance with all terms of the lease. All mineral leases shall  be separate and distinct from each lease of the land for grazing or  agricultural purposes. Rules and regulations adopted by the board  shall provide for joint use of the lands for grazing and agricultural  or mineral purposes without undue interference by the lessees under  any class of leases with lessees under any other class. The board,  on behalf of the state and its lessee in any mineral lease may join  in the interest of conservation and greater ultimate recovery of oil  and gas, in fair and equitable cooperative or unit plans of development  or operation of oil and gas pools, with the United States government  and its lessees or permittees, or others, and the board may modify  and change any terms and conditions of any oil and gas lease as mutually  agreed by the lessor and lessee to conform to the terms of any lease  to the cooperative or unit plan and to effectuate proper operations  thereunder. The changes may include extension of the term of years  applicable to any lease for the full period of time during which the  cooperative or unit plan may remain in effect.
  3. When a cooperative or unit agreement is  terminated or ceases to be effective as to lands upon which there  is no production of oil or gas, the lease covering the lands shall  remain in effect for two (2) years from the date the lands ceased  to be subject to the agreement, or for the remaining length of the  term of the original lease, whichever is greater, and so long thereafter  as oil or gas is produced from the lands in accordance with the requirements  of the original lease.
  4. The terms of any lease issued under this  section for land on which actual drilling operations were commenced  prior to the end of its primary term and are being diligently prosecuted  at that time shall be extended for one (1) year and so long thereafter  as oil or gas is produced in paying quantities.
  5. If land acquired by the board and upon  which improvements for mineral operations and other improvements have  been made, are sold as to both surface and mineral rights, or if the  lands are leased for minerals to other than the owner of the mineral  improvements, the purchaser or new lessee shall pay the owner of the  improvements the fair value thereof at a mutually agreed price. If  agreement cannot be promptly reached the price shall be fixed by appraisement  under the direction of the board. As used in this subsection “improvements”  means improvements which are used or useful and necessary for subsequent  operation of the land for mineral purposes and the price shall include  the fair value of the work previously done in the development of the  property if it is of practical use in future mineral operation. No  well drilled on the land for oil or gas which does not produce either  in commercial quantities, and no shaft, tunnel or drift from which  coal or other minerals have been substantially exhausted shall be  considered improvements for the purposes of this subsection.
  6. The board may sell or otherwise dispose  of property at a price not less than seventy-five percent (75%) of  the appraised value and upon terms determined by the board which shall  adopt rules and regulations governing such sales. When land is sold  which was acquired by the board through the foreclosure of any farm  loan mortgage provided for by this act, the board shall not reserve  any part of, or interest in, the mineral estate. When land otherwise  acquired by the board is sold, the board may reserve all or any part  of the mineral content of the land and the right to use so much of  the surface of the land as it considers convenient or necessary in  connection with mineral operations thereon, together with all needed  rights of ingress and egress, but the board in each case shall appropriately  provide for indemnification of the surface owner against all surface  damages caused by mineral operations on the land.
  7. The board may lease for agricultural and  grazing purposes any lands acquired by it on such terms and conditions  as it prescribes and adopt rules and regulations it considers necessary  in facilitating the leases.
  8. Revenue received by the board under this  section from agricultural, grazing and mineral leases of lands acquired  by foreclosure shall be credited to the loss reserve account as provided  by W.S. 11-34-202(e).

History. Laws 1921, ch. 118, § 22; 1929, ch. 92, § 6; R.S. 1931, § 41-122; Laws 1945, ch. 143, § 1; C.S. 1945, § 21-122; Laws 1951, ch. 156, § 1; W.S. 1957, § 11-631; Laws 1965, ch. 194, § 1; W.S. 1977, § 11-39-123; Laws 1978, ch. 32, § 1; 1986, ch. 55, § 1; ch. 84, § 1; 1998, ch. 13, § 1.

Meaning of “this act.” —

For the definition of “this act,” referred to in this section, see § 11-34-101(a)(iv).

Cited in

In re Hagood, 356 P.2d 135, 1960 Wyo. LEXIS 87 (Wyo. 1960).

§ 11-34-121. Mortgagor to pay for recording loan papers; title insurance or abstract required; deposit; additional fee.

The mortgagor shall pay for the recording of his mortgage and other papers connected with the loan which may be required. He shall furnish to the board at his own expense a mortgagee’s title insurance policy in the full amount of the mortgage, issued by a title insurance company authorized to do business in Wyoming in a form acceptable to the board, reflecting merchantable fee title in mortgagor, or in lieu thereof an abstract of title certified by a bonded abstracter qualified to prepare abstracts under the laws of Wyoming, under such rules as the board may prescribe. The mortgagor shall deposit with the board before his application is considered, one hundred dollars ($100.00), the unused portion of which, if his loan is not granted, shall be returned to him, but if his loan is granted, the amount shall be paid into the loss reserve account as provided by W.S. 11-34-202(e). An additional fee of one percent (1%) of the loan closed shall be paid by each mortgagor to the board. The revenues produced by this fee shall be credited to the loss reserve account as provided by W.S. 11-34-202(e).

History. Laws 1921, ch. 118, § 24; 1925, ch. 86, § 3; 1929, ch. 92, § 7; R.S. 1931, § 41-124; C.S. 1945, § 21-124; W.S. 1957, § 11-632; Laws 1967, ch. 159, § 1; 1974, ch. 16, § 2; W.S. 1977, § 11-39-124; Laws 1978, ch. 32, § 1; 1986, ch. 84, § 1.

§ 11-34-122. Release of mortgage.

When the mortgagor or his successor in interest has fully paid any mortgage, the board shall furnish him with a proper release of the mortgage executed by the president of the board and attested by the director of the office of state lands and investments with the seal of the board thereon, and the mortgage papers belonging to the loan including abstract of title and insurance policies assigned, shall be returned to the mortgagor or successor in interest.

History. Laws 1921, ch. 118, § 21; R.S. 1931, § 41-121; C.S. 1945, § 21-121; W.S. 1957, § 11-633; W.S. 1977, § 11-39-125; Laws 1978, ch. 32, § 1; 1998, ch. 13, § 1.

Cross references. —

As to the director of the state loan and investment board, see § 11-34-105 .

§ 11-34-123. Foreclosure proceedings; duty of attorney general; deed in lieu of foreclosure.

  1. Any foreclosure of any mortgage provided  for by this act shall be made in the usual manner, either by civil  action or by advertisement as the board may direct. In cases of foreclosure  the attorney general shall render all services needed in connection  with the foreclosure proceedings, and the costs, fees and expenses  may be taxed in like manner and to the same effect as if the state  of Wyoming were a natural person. Payment of proceeds upon foreclosure  shall be made in accordance with W.S. 34-4-113 . All monies received by the state from sale of the land  acquired by foreclosure or by redemption of land sold on foreclosure,  in excess of the amount owing to the appropriate permanent fund account  and the interest due thereon, shall be credited to the loss reserve  account as provided by W.S. 11-34-202(e). The board may extend the time of payment of any interest  or installment payment due on any farm loan for as long as the board  deems proper, and distribute the defaulted payments including interest,  over undue payments in a manner and under terms the board deems just,  each loan to be judged on its own merits without regard to any general  rule. It is the intention of this section to authorize the board to  consider and determine whether any mortgages executed by virtue of  this act shall be foreclosed or renewed, with or without penalty,  but no renewal shall extend beyond the due date of the original loan  or any extension of the term by reamortization authorized by W.S. 11-34-113(d).
  2. Repealed by Laws 2010, ch. 69, § 204.
  3. Notwithstanding other provisions of this  section the state loan and investment board by unanimous vote may  accept a deed in lieu of foreclosure, provided:
    1. The board determines any remaining liability  is not collectible; and
    2. Any loss to any permanent fund resulting  from the acceptance of the deed in lieu of foreclosure is restored  as provided by W.S. 11-34-202(f).

History. Laws 1921, ch. 118, § 28; 1925, ch. 86, § 5; R.S. 1931, § 41-128; Laws 1933, ch. 82, § 2; C.S. 1945, § 21-129; W.S. 1957, § 11-634; Laws 1973, ch. 245, § 3; 1974, ch. 16, § 2; W.S. 1977, § 11-39-126; Laws 1978, ch. 32, § 1; 1985, ch. 189, § 1; 1986, ch. 84, § 1; 1998, ch. 13, § 1; 2005, ch. 228, § 2; 2008, ch. 113, § 2; 2010, ch. 69, § 204.

Cross references. —

As to redemption of realty sold under mortgage or execution, see §§ 1-18-101 and 1-18-112 .

As to foreclosure of real estate mortgages by advertisement and sale, see §§ 34-4-101 to 34-4-113 .

The 2005 amendment, effective July 1, 2005, and applicable to real estate mortgage foreclosures and execution sales commenced on or after that date, in (a), inserted third sentence, and made stylistic changes.

The 2008 amendment, effective July 1, 2008, substituted “W.S. 11-34-202(f)” for “W.S. 9-4-703 ” in (c)(ii).

The 2010 amendment, effective July 1, 2010, repealed former (b), which read: “For the period beginning March 1, 1985, and ending July 1, 1986, no foreclosure proceedings shall be commenced against any person who is in default on any agricultural loan made by the state of Wyoming under W.S. 11-34-101 through 11-34-202 unless the foreclosure has been approved by the state loan and investment board after the borrower has been given notice of the proposed foreclosure by certified mail and has been afforded the opportunity of a meeting with the state loan and investment board.”

§ 11-34-124. Interest on defaulted payments and unpaid taxes; agreement to pay; insurance required; use of proceeds; foreclosure permitted.

Every borrower shall pay interest on defaulted payments at a rate to be determined by the board not to exceed a ten percent (10%) annual percentage rate. By express covenant in his mortgage deed the borrower shall agree to pay when due all interest, taxes, liens, judgments, assessments and insurance lawfully assessed against the mortgaged land. Taxes, liens, judgments, assessments or insurance not paid when due and paid by the mortgagee become a part of the mortgage debt and shall bear interest at a rate to be determined by the board not to exceed a ten percent (10%) annual percentage rate. Every borrower shall insure buildings on the lands mortgaged to the satisfaction of the board. Insurance shall be made payable to the mortgagee as its interest may appear at the time of loss, and at the option of the mortgagee subject to the general regulations of the board. Insurance proceeds received may be used to pay for reconstruction of the buildings destroyed. Nothing in this section shall prevent the commencement of foreclosure proceedings at any time upon the default of principal or interest or failure to pay any taxes, judgments, assessments, liens or insurance.

History. Laws 1921, ch. 118, § 18; 1931, ch. 44, § 1; R.S. 1931, § 41-118; Laws 1935, ch. 119, § 1; 1937, ch. 52, § 1; 1939, ch. 23, § 1; 1943, ch. 16, § 1; C.S. 1945, § 21-118; W.S. 1957, § 11-635; W.S. 1977, § 11-39-127; Laws 1978, ch. 32, § 1; 1983, ch. 158, § 1.

§ 11-34-125. [Repealed.]

Repealed by Laws 1980, ch. 49, § 3.

Editor's notes. —

This section, which derived from Laws 1921, ch. 118, § 26, related to books and records of the Wyoming farm loan board.

§ 11-34-126. Exemption of property of board from taxation; exceptions.

  1. Except as otherwise provided by subsection  (b) of this section, all mortgages, real estate and other property  owned by the board is exempt from all general taxes, state, county  and municipal. For the purpose of this act the board is deemed to  be the owner of any property from the date it is bid in by the board  at a foreclosure sale.
  2. If the board becomes the owner of the  real estate and other property before the fourth Monday in June of  the current year, it shall be liable for any property taxes lawfully  assessed against the property, except for any taxes imposed under W.S. 21-13-102 , 21-13-201 and 21-13-303 . The county assessor shall list and assess the property  for taxation purposes, and the state loan and investment board shall  pay any tax due for the year in its entirety prior to December 31  of that year and any other year in which the board owns the property.  If redemption is made of the property at any time during the year  in which the state loan and investment board has paid the property  taxes due, the person redeeming the property shall be liable to the  state loan and investment board for any taxes paid. There is appropriated  from the loss reserve account as provided by W.S. 11-34-202 to the state loan and investment board a sum sufficient  to pay the property taxes authorized by this section.

History. Laws 1921, ch. 118, § 27; 1929, ch. 92, § 8; R.S. 1931, § 41-127; C.S. 1945, § 21-127; W.S. 1957, § 11-637; W.S. 1977, § 11-39-129; Laws 1978, ch. 32, § 1; 1997, ch. 74, § 1; 1998, ch. 13, § 1.

Law reviews. —

For article, “Practitioner's Guide to Valuation and Assessment Appeals of State and Local Assessed Property,” see XXXII Land & Water L. Rev. 173 (1997).

§ 11-34-127. Surety bonds; generally.

Whenever a bond or undertaking is required by this act or by the board to be given, it shall be held to mean a surety bond furnished by a surety company authorized and qualified to do business in this state. Such bonds shall run to the state loan and investment board and the form thereof shall be approved by the attorney general.

History. Laws 1921, ch. 118, § 29; R.S. 1931, § 41-129; C.S. 1945, § 21-131; W.S. 1957, § 11-638; W.S. 1977, § 11-39-130; Laws 1978, ch. 32, § 1; 1998, ch. 13, § 1.

Meaning of “this act.” —

For the definition of “this act,” referred to in this section, see § 11-34-101(a)(iv).

§ 11-34-128. Surety bonds; payment of cost.

The cost of surety bonds provided by this act, furnished by the officers or employees of said board, shall be a part of the general expense of the administration and paid by the board.

History. Laws 1921, ch. 118, § 30; R.S. 1931, § 41-130; C.S. 1945, § 21-132; W.S. 1957, § 11-639; W.S. 1977, § 11-39-131; Laws 1978, ch. 32, § 1.

Meaning of “this act.” —

For the definition of “this act,” referred to in this section, see § 11-34-101(a)(iv).

§ 11-34-129. Investment of permanent funds.

The state treasurer, with the approval of the board, is directed to invest and keep invested in farm loans a sum not to exceed two hundred seventy-five million dollars ($275,000,000.00) of any state permanent funds available for investment, including loans already made and outstanding, as the funds become available in the treasurer’s office for investment in loans approved by the board.

History. Laws 1921, ch. 118, § 31; 1923, Sp. Sess., ch. 2, § 6; 1925, ch. 86, § 4; 1927, ch. 110, § 1; 1931, ch. 77, § 1; R.S. 1931, § 41-131; C.S. 1945, § 21-133; W.S. 1957, § 11-640; Laws 1961, ch. 128, § 1; 1967, ch. 62, § 1; 1969, ch. 177, § 1; 1971, ch. 18, § 1; 1973, ch. 221, § 1; ch. 245, § 3; 1975, ch. 40, § 1; 1976, ch. 8, § 1; W.S. 1977, § 11-39-132; Laws 1978, ch. 32, § 1; 1983, ch. 158, § 1; 1984, ch. 30, § 1; 1985, ch. 178, § 1; 2000, ch. 65, § 2; 2008, ch. 113, § 2.

The 2008 amendment, effective July 1, 2008, deleted the former last sentence which read: “The limitation on legislatively designated investments under W.S. 9-4-712 applies to this investment.”

§ 11-34-130. Trespass upon lands owned by board prohibited; penalties.

Whoever knowingly and willfully commits a trespass upon lands owned by the board or upon lands mortgaged to the board, either by cutting down or destroying or carrying away any timber or wood standing or growing thereon or by grazing, mowing, cutting or removing any hay, grass or growing or matured crops thereon or who, without right, injures or removes any building, fence, improvements or other property belonging or appertaining to the lands, or unlawfully occupies, plows or cultivates any of the land, or aids or abets any trespass or injury, is guilty of a misdemeanor and shall be fined not less than twenty-five dollars ($25.00) or more than five hundred dollars ($500.00), imprisoned not less than thirty (30) days or more than six (6) months, or both.

History. Laws 1929, ch. 92, § 9; R.S. 1931, § 41-134; C.S. 1945, § 21-128; W.S. 1957, § 11-643; W.S. 1977, § 11-39-133; Laws 1978, ch. 32, § 1.

Severability. —

Section 10, ch. 92, Laws 1929, reads: “If any section, subsection, sentence, clause or phrase of this act is for any reason held to be unconstitutional, such decision shall not affect the validity of the remaining portions of the act.”

§ 11-34-131. Wyoming transportation enterprise account; use thereof.

  1. The transportation enterprise account  is established to be used by the state loan and investment board to  finance transportation projects of benefit to the general public as  defined in this section. The transportation enterprise account shall  be administered by the state loan and investment board, subject to  recommendation and appropriation by the legislature, for the purpose  of fostering transportation investments in projects of benefit to  the general public within the state. The state loan and investment  board shall:
    1. Adopt rules and regulations to implement  the purposes of this section, considering other funds available including  department of transportation funds; and
    2. Distribute funds to eligible grantees  only, pursuant to appropriation of funds from the transportation enterprise  fund by the legislature, subsection (c) of this section, federal requirements  and rules and regulations of the state loan and investment board.
  2. The transportation enterprise account  shall receive monies from mineral royalty payments as provided in W.S. 9-4-607(a). All repayments of principal and interest to the state  in connection with loans made under this section shall be deposited  into the transportation enterprise account.
  3. The board may make grants or loans to  public entities for the purpose of enhancing transportation in this  state. Eligible uses of the monies in the fund shall include capital  investments for public transportation and improvement and maintenance  of airline service and facilities.
  4. In adopting rules and regulations under  paragraph (a)(i) of this section, the board shall provide for the  allocation of funds for capital investments for public transportation  and for purposes eligible under subsection (c) of this section, with  investment income received under W.S. 9-4-607(b) being allocated to purposes eligible under subsection  (c) of this section.
  5. The state loan and investment board shall  annually audit the transportation trust fund created under W.S. 9-4-607(a) to determine the effects of inflation on investment earnings.

History. Laws 1999, ch. 201, § 1; 2005, ch. 231, § 1.

The 2005 amendment effective July 1, 2005, added the first sentence in (a); in (a) and (b) thrice substituted “account” for “fund under W.S. 9-4-204(a)(xiv)” or “fund”; and substituted “W.S. 9-4-607(a)” for “W.S. 9-4-204(a)(xv)” in (e).

Conflicting legislation. —

Laws 2005, ch. 231, § 3, provides: “The provisions of this act shall supersede the provisions of any other bill enacted into law during the 2005 general session which amends or references accounts or funds to the extent any other enactment is inconsistent with the establishment of the funds and accounts created under this act. The state auditor shall account for any fund or account created in any other legislation enacted in the 2005 general session in accordance with generally accepted accounting principles (GAAP) as promulgated by the governmental accounting standards board (GASB) and in accordance with this act.”

Article 2. Issuance of Bonds and Disposition of Revenues

Cross references. —

As to authority of state and its political subdivisions to invest in federal farm and housing securities, see § 9-4-831 .

Am. Jur. 2d, ALR and C.J.S. references. —

64 Am. Jur. 2d Public Securities and Obligations § 1 et seq.

§ 11-34-201. Authority to issue nonnegotiable debentures; acceptance by treasurer; number; amount; interest; security; terms.

  1. The board may issue its nonnegotiable  debenture bonds in such numbers and amounts as necessary to be deposited  with the state treasurer. The state treasurer shall accept the bonds  in lieu of the promissory notes and mortgages held by the board as  security for the investment of permanent funds of Wyoming in mortgages  upon real estate.
  2. One (1) bond shall be issued for each  note, in the amount of the balance due upon the principal of each  note to be deposited with the state treasurer. The bond shall bear  interest at the same rate as the underlying note and be secured by  the original security pledged for the payment to the state of the  note for which the bond is issued or substituted, or by any security  or property taken by the board in addition to or in lieu of the original  security. Each bond is due and payable on the date when the note for  which the bond was issued or substituted is due and payable.

History. Laws 1933, ch. 84, § 1; 1933, Sp. Sess., ch. 31, § 1; 1935, ch. 79, § 1; C.S. 1945, § 21-301; W.S. 1957, § 11-649; Laws 1974, ch. 16, § 2; W.S. 1977, § 11-39-301; 1978, ch. 32, § 1; 1989, ch. 126, § 1.

Cross references. —

As to meaning of “board,” see § 11-34-101(a)(iii).

§ 11-34-202. Revenue to be credited to an account; use thereof; disposition of excess.

  1. Except as provided by subsection (e) of this section or as otherwise provided by law, the state loan and investment board shall transmit any revenue received to the state treasurer to be credited to a separate account for the purposes specified in W.S. 21-15-106(a) [repealed].
  2. and (c) Repealed by Laws 1981, ch 44, § 2.
  3. Following a general fund appropriation by the legislature for administrative expenses, amounts expended pursuant to the appropriation shall be transferred monthly from the account provided by subsection (a) of this section to the general fund as provided by W.S. 9-4-205(b) for the highway fund and the special revenue fund in certain instances. Revenue currently in the account formerly provided for by W.S. 11-34-202(a), (b) and (c), as those subsections existed prior to the creation of this subsection, may be expended for purposes formerly authorized until July 1, 1982 at which time the revenue within the account shall be credited to the account provided by subsection (a) of this section.
  4. Revenue and proceeds received by the board for deposit in the loss reserve account pursuant to W.S. 11-34-118 , 11-34-120(h), 11-34-121 and 11-34-123(a) shall be transmitted to the state treasurer for deposit to the credit of the loss reserve account. These funds shall be used for the purposes specified in subsection (f) of this section and W.S. 11-34-126 and to pay the administrative and legal expenses of the board in making collections and foreclosing mortgages. If at the end of any fiscal year the amount accumulated in the loss reserve account exceeds five percent (5%) of the total amount of permanent funds of the state invested in farm or water development project loans, the amount in excess of the five percent (5%) shall be transferred and credited to the general fund.
  5. If, as a result of default in the payment of any farm or water development project loan, there occurs a nonrecoverable loss either to the corpus of, or interest due to, any permanent fund of the state, the board shall restore the loss to the permanent fund account entitled thereto using any funds available in the loss reserve account created by subsection (e) of this section. If the funds in the loss reserve account are insufficient to restore the full amount of the loss, the board shall submit a detailed report of the loss to the legislature and shall request an appropriation to restore the balance of the loss to the permanent fund account entitled thereto.

History. Laws 1929, ch. 154, § 5; R.S. 1931, § 41-138; Laws 1945, ch. 89, § 1; C.S. 1945, § 21-204; W.S. 1957, § 11-647; Laws 1973, ch. 245, § 3; 1974, ch. 16, § 2; 1975, ch. 134, § 1; W.S. 1977, § 11-39-201; Laws 1978, ch. 32, § 1; 1981, ch. 44, §§ 1, 2; 1986, ch. 84, § 1; 1997, ch. 74, § 1; 1998, ch. 13, § 1; 2005, ch. 231, § 1; 2008, ch. 113, § 2; 2011, ch. 109, § 2; 2016, ch. 110, § 2; 2019, ch. 35, § 1.

The 2005 amendment effective July 1, 2005, substituted “a separate account” for “an account within the earmarked revenue fund” in (a); substituted “the special revenue fund” for “trust and agency fund” in (d); and deleted references to the earmarked revenue fund at the end of the first sentence and beginning of the second sentence in (e).

The 2008 amendment, effective July 1, 2008, substituted “specified in subsection (f) of this section and W.S. 11-34-126 ” for “specified in W.S. 9-4-703(c) and 11-34-126 ” in (e); and added (f).

The 2011 amendment, effective July 1, 2011, in (e), added “and 11-34-306 ,” and made related changes.

The 2016 amendment , effective July 1, 2016, substituted “water development project” for “irrigation” near the end of (e) and in the first sentence of (f).

The 2019 amendment, effective July 1, 2019, in (e), deleted “11-34-302(e) and 11-34-306 ” preceding “be transmitted to the state treasurer” and made related changes.

Editor's notes. —

Section 21-15-106 , referred to in subsection (a), was repealed by Laws 1999, ch. 170, § 302.

Conflicting legislation. —

Laws 2005, ch. 231, § 3, provides: “The provisions of this act shall supersede the provisions of any other bill enacted into law during the 2005 general session which amends or references accounts or funds to the extent any other enactment is inconsistent with the establishment of the funds and accounts created under this act. The state auditor shall account for any fund or account created in any other legislation enacted in the 2005 general session in accordance with generally accepted accounting principles (GAAP) as promulgated by the governmental accounting standards board (GASB) and in accordance with this act.”

§ 11-34-203. Report to governor; separate statement required.

The state loan and investment board shall report to the governor as required by W.S. 9-2-1014 , and include a separate statement of all loans obtained from the state treasurer by the issuance of bonds as herein provided, and showing the disposition of the funds.

History. Laws 1933, ch. 84, § 4; C.S. 1945, § 21-304; W.S. 1957, § 11-652; Laws 1973, ch. 215, § 1; W.S. 1977, § 11-39-302; Laws 1978, ch. 32, § 1; 1998, ch. 13, § 1.

Article 3. Loans

Cross references. —

As to authority of state and its political subdivisions to invest in federal farm and housing securities, see § 9-4-831 .

§ 11-34-301. Water development projects; nonnegotiable debentures; loans to small projects. [Repealed]

History. Laws 1955, ch. 141, § 3; W.S. 1957, § 11-655; Laws 1959, ch. 79, § 3; 1967, ch. 15, § 1; 1969, ch. 94, § 19; 1971, ch. 217, §§ 1, 2; 1973, ch. 54, § 1; 1975, ch. 122, § 1; W.S. 1977, § 11-39-402; Laws 1978, ch. 32, § 1; 1990, ch. 44, § 2; 1998, ch. 13, § 1; 1999, ch. 75, § 1; 2000, ch. 65, § 2; 2008, ch. 113, § 2; Repealed by Laws 2019, ch. 35, § 2.

§ 11-34-302. Water development projects; loans authorized; terms and conditions; assistance by water development commission. [Repealed]

History. Laws 1955, ch. 141, §§ 1, 2, 4; W.S. 1957, §§ 11-656, 11-657, 11-658; Laws 1959, ch. 79, §§ 1, 2; 1961, ch. 203, § 1; 1969, ch. 94, §§ 20, 21, 22; 1971, ch. 31, § 1, ch. 216, §§ 1, 2; 1975, ch. 122, § 1; W.S. 1977, §§ 11-39-403 to 11-39-405; Laws 1978, ch. 32, § 1; 1985, ch. 173, § 1; 1986, ch. 84, § 1; 1988, ch. 79, § 11; 1990, ch. 44, § 2; 1998, ch. 13, § 1; 2003, ch. 158, § 1; Repealed by Laws 2019, ch. 35, § 2.

§ 11-34-303. Area redevelopment programs; terms; rules and regulations; fund source. [Repealed]

History. Laws 1963, ch. 84, §§ 1, 2, 3; W.S. 1957, §§ 11-658.1 to 11-658.3; Laws 1969, ch. 94, § 23; 1975, ch. 122, § 1; W.S. 1977, § 11-39-406 to 11-39-408; Laws 1978, ch. 32, § 1; 1990, ch. 44, § 2; 1998, ch. 6, § 3; ch. 13, § 1; Repealed by Laws 2016, ch. 110, § 3.

§ 11-34-304. Lamb processing facility; loans authorized; maximum amount; interest and terms of loans. [Repealed]

History. Laws 1982, ch. 25, § 1; Repealed by Laws 2016, ch. 110, § 3.

§ 11-34-305. Lamb processing facility; approval and regulation of loans; security. [Repealed]

History. Laws 1982, ch. 25, § 1; Repealed by Laws 2016, ch. 110, § 3.

§ 11-34-306. Loans for hydro-power development; terms; rules and regulations; fund source. [Repealed]

History. Laws 2011, ch. 109, § 1; 2016, ch. 110, § 2; Repealed by Laws 2019, ch. 35, § 2.

Chapter 35 Agricultural Marketing

Cross references. —

As to the board of agriculture, see §§ 11-2-102 to 11-2-104 .

As to dairy marketing provisions, see §§ 11-36-101 to 11-36-110 .

As to cooperative marketing associations, see §§ 17-10-101 to 17-10-126.

Am. Jur. 2d, ALR and C.J.S. references. —

3 C.J.S. Agriculture §§ 138 to 158, 163 to 178.

§ 11-35-101. Short title; purpose of provisions.

  1. This act may be known and cited as “The  Wyoming Agricultural Marketing Act of 1961.”
  2. It is hereby declared to be the purpose  of this act to aid agricultural producers in preventing economic waste  in the marketing of their agricultural commodities, to develop more  efficient and equitable methods of marketing of agricultural commodities  and to aid agricultural producers in restoring and maintaining their  purchasing power at a more adequate, equitable and reasonable level.

History. Laws 1961, ch. 86, § 1; W.S. 1957, § 11-659; W.S. 1977, § 11-40-101 ; Laws 1978, ch. 32, § 1.

Cross references. —

As to meaning of “agricultural commodity,” see § 11-35-102 .

Meaning of “this act.” —

For the definition of “this act,” referred to in this section, see § 11-35-102(a)(ix).

§ 11-35-102. Definitions.

  1. As used in this act:
    1. “Agricultural commodity” means any horticultural,  viticultural and vegetable product, bees or honey, poultry or poultry  product, sheep or wool product, either in its natural state or as  a processed commodity but does not mean livestock or livestock products  other than sheep or wool products;
    2. “Board” means the state board of agriculture;
    3. “Director” means the director of the department  of agriculture or his duly authorized representative;
    4. “Control committee” means the appointed  officers charged with administering a marketing order;
    5. “Handler” means any person engaged in  the operation of packing, grading, selling, offering for sale or marketing  any marketable agricultural commodity or who as owner, agent or otherwise  ships or causes an agricultural commodity to be shipped;
    6. “Marketing order” means an order issued  pursuant to this act;
    7. “Processor” means any person engaged in  the operation of receiving, grading, packing, canning, extracting,  preserving, grinding, crushing or changing the form of an agricultural  commodity for the purpose of marketing the commodity;
    8. “Producer” means any person engaged in  the business of producing or causing to be produced for marketing,  any agricultural commodity;
    9. “This act” means W.S. 11-35-101 through 11-35-116 .

History. Laws 1961, ch. 86, § 3; W.S. 1957, § 11-660; Laws 1971, ch. 87, § 15; W.S. 1977, § 11-40-102 ; Laws 1978, ch. 32, § 1; 1989, ch. 221, § 1; 1993, ch. 191, § 3.

Editor's notes. —

There is no subsection (b) in this section as it appears in the printed acts.

§ 11-35-103. Marketing orders; authority to issue.

Subject to the provisions of this act, the board of agriculture may issue marketing orders within this state pertaining to the production, processing, distributing, pricing or handling of agricultural commodities.

History. Laws 1961, ch. 86, § 2; W.S. 1957, § 11-651; Laws 1969, ch. 160, § 1; W.S. 1977, § 11-40-103 ; Laws 1978, ch. 32, § 1.

Meaning of “this act.” —

For the definition of “this act,” referred to in this section, see § 11-35-102(a)(ix).

§ 11-35-104. Marketing orders; notice and hearing; marketing agreement regulating preparation of commodities.

  1. Whenever there is reason to believe that  the issuance of a marketing order will tend to effectuate the purpose  of this act with respect to any agricultural commodity and upon application  of any producer or handler of such commodity, notice shall be given  for a public hearing upon a proposed marketing order.
  2. Due notice of any hearing called shall  be given to all persons who may be directly affected by any action  pursuant to this act. The hearing shall be open to the public. All  testimony shall be received under oath and a complete record of all  proceedings at any hearing shall be made and filed by the director  at his office.
  3. In order to effectuate the declared purpose  of this act, the board may, after due notice and opportunity for hearing,  enter into a marketing agreement with processors, distributors and  others engaged in the handling of the agricultural commodity, regulating  the preparation, sale and handling of the agricultural commodity which  is binding upon the signatories exclusively.

History. Laws 1961, ch. 86, § 4; W.S. 1957, § 11-662; W.S. 1977, § 11-40-104 ; Laws 1978, ch. 32, § 1; 1993, ch. 191, § 3.

Meaning of “this act.” —

For the definition of “this act,” referred to in this section, see § 11-35-102(a)(ix).

§ 11-35-105. Marketing orders; when issued; contents; economic factors to be considered.

  1. After notice and hearing, the board shall  issue a marketing order if it finds and states in the marketing order  that the order will tend to:
    1. Reestablish or maintain prices received  by producers for the agricultural commodity at a level which will  give to the commodity power, with respect to the articles and services  which farmers commonly buy, equivalent to the purchasing power of  such commodity, provided that in establishing prices the board shall  as nearly as possible apply the methods and procedures presently prescribed  by the United States department of agriculture in making similar determinations;
    2. Approach such equality of purchasing power  at as rapid a rate as is feasible in view of the demand for the commodity;
    3. Prevent the unreasonable or unnecessary  waste of agricultural wealth because of improper preparation of the  agricultural commodity for market, lack of uniform grading and inspection,  or excessive shipments to markets;
    4. Protect the interest of consumers of the  commodity.
  2. In making the findings set forth in this  section, the board shall take into consideration all facts available  with respect to the following economic factors:
    1. The quantity of the agricultural commodity  available for distribution;
    2. The quantity of the agricultural commodity  normally required for distribution;
    3. The cost of producing the agricultural  commodity as determined by available statistics and surveys;
    4. The purchasing power of consumers;
    5. The level of prices of commodities, services  and articles which farmers buy;
    6. The level of prices of other commodities  which compete with or are utilized as substitutes for the agricultural  commodity.

History. Laws 1961, ch. 86, § 5; W.S. 1957, § 11-663; W.S. 1977, § 11-40-105 ; Laws 1978, ch. 32, § 1.

§ 11-35-106. Marketing orders; establishment of control committee; composition, appointment and term; reimbursement for expenses; employees; duties.

  1. Any marketing order pursuant to this act  shall provide for the establishment of a control committee not to  exceed seven (7) members to administer the order in accordance with  its terms. Members of the control committee shall be appointed by  the board from nominations submitted by the authorized industry groups  and shall hold office until the expiration of term or until the appointment  is withdrawn by the board for cause. If the marketing order affects  directly only producers of a particular commodity, members of the  control committee shall be producers. If the marketing order affects  directly only handlers of a particular commodity, members of the control  committee shall be handlers. If the marketing order affects directly  both producers and handlers of a particular commodity, the control  committee shall be composed of both producers and handlers. The number  of producers or handlers upon any control committee shall be designated  in the marketing order.
  2. No member of any control committee shall  receive a salary but each is entitled to his actual expenses incurred  while performing his authorized duties.
  3. The board, with the approval of the control  committee, shall employ necessary personnel to carry out the duties  authorized herein. The duties of the control committee shall be administrative  only.
  4. The director shall serve as an ex officio  member of any control committee in addition to the seven (7) appointed  members.

History. Laws 1961, ch. 86, § 6; W.S. 1957, § 11-664; W.S. 1977, § 11-40-106 ; Laws 1977, ch. 62, § 1; 1978, ch. 32, § 1; 1993, ch. 191, § 3.

Meaning of “this act.” —

For the definition of “this act,” referred to in this section, see § 11-35-102(a)(ix).

§ 11-35-107. Marketing orders; referendum for approval or amendment.

No marketing order or amendment directly affecting producers is effective until the board determines the issuance of the order is approved and favored by at least two-thirds (2/3) of the producers eligible to participate in a referendum on the question of its approval, and who during the representative period, have produced for market the commodities specified in the order or amendment in commercial quantities within the production area specified in the marketing order, and who during the respective period have produced at least fifty-one percent (51%) of the volume of the commodity produced for sale.

History. Laws 1961, ch. 86, § 7; W.S. 1957, § 11-665; W.S. 1977, § 11-40-107 ; Laws 1978, ch. 32, § 1.

§ 11-35-108. Marketing orders; hearing to terminate.

If the board finds that the termination of any marketing order is requested in writing by more than fifty percent (50%) of the producers engaged within the designated production area in the production for market of the commodity specified in the marketing order, and who produce for market more than fifty percent (50%) of the volume of the commodity produced within the designated production area, the board may call a hearing to consider whether or not the order shall be terminated, suspended or amended.

History. Laws 1961, ch. 86, § 8; W.S. 1957, § 11-666; W.S. 1977, § 11-40-108 ; Laws 1978, ch. 32, § 1.

§ 11-35-109. Marketing orders; notice of issuance or suspension; when effective.

Upon the issuance of any marketing order or any suspension, amendment or termination thereof, a copy of the notice shall be published in the official newspaper of general circulation published in each county of the state. No order of suspension, amendment or termination is effective until thirty (30) days after the date of posting and publication. The director shall mail a copy of the notice to all persons affected by the terms of the order, suspension, amendment or termination who files in the office of the director a written request for notice.

History. Laws 1961, ch. 86, § 9; W.S. 1957, § 11-667; W.S. 1977, § 11-40-109 ; Laws 1978, ch. 32, § 1; 1993, ch. 191, § 3.

§ 11-35-110. Marketing orders; geographic limitations; total class to be included.

Marketing orders may be limited in their application by prescribing the marketing areas or portions of the state in which a particular order is effective. No marketing order shall be issued unless it embraces all persons of a like class in a given area who are engaged in a specific and distinctive agricultural industry or trade within this state.

History. Laws 1961, ch. 86, § 12; W.S. 1957, § 11-668; W.S. 1977, § 11-40-110; Laws 1978, ch. 32, § 1.

§ 11-35-111. Budget to cover costs; approval; part of marketing orders; liability for assessment.

For the purpose of providing funds to defray the necessary expenses incurred in the administration of this act, the board shall prepare a budget covering the costs, including advertising and sales promotion when they are requested in any marketing agreement or order. The budget shall be approved by the control committee. The budget with the collection of necessary fees, the time and conditions of payment and in no case to exceed five percent (5%) of the gross dollar volume of sales or dollar volume of purchase or amounts handled, shall become a part of any marketing order upon adoption. Every person engaged in the production, processing, distribution or handling of any marketable agricultural product directly affected by any marketing order for the commodity shall pay to the board at the time and in the manner prescribed by the order as assessment for the budget the percentage of the gross dollar volume of sales or dollar volume of purchase or amounts handled, or distribution of any commodity affected by the marketing order, as necessary to defray the expenses of the enforcement of this act, but in no case to exceed five percent (5%) of the gross dollar volume.

History. Laws 1961, ch. 86, § 10; W.S. 1957, § 11-669; W.S. 1977, § 11-40-111; Laws 1978, ch. 32, § 1.

Meaning of “this act.” —

For the definition of “this act,” referred to in this section, see § 11-35-102(a)(ix).

§ 11-35-112. Deposit and disbursement of collected monies; biennial audit required.

Any monies collected by the board pursuant to this act shall be deposited in a bank or other depository approved by the state treasurer allocated to each marketing order under which they are collected, and disbursed by the director only for necessary expenses incurred by the control committee and the board with respect to each separate marketing order. Funds collected shall be deposited and disbursed in conformity with appropriate rules and regulations prescribed by the board, and approved by the control committee. All expenditures by the director shall be audited at least biennially by the director of the state department of audit or his designee, concurrently with the audit of the department of agriculture, and a copy of the audit shall be delivered within thirty (30) days after completion to the governor, the board and the control committee.

History. Laws 1961, ch. 86, § 11; W.S. 1957, § 11-670; W.S. 1977, § 11-40-112; Laws 1978, ch. 32, § 1; 1991, ch. 240, § 1; 1993, ch. 191, § 3; 1995, ch. 199, § 1.

Meaning of “this act.” —

For the definition of “this act,” referred to in this section, see § 11-35-102(a)(ix).

§ 11-35-113. Assessment deemed personal debt; failure to pay.

Any assessment levied in a specified amount determined by the market order pursuant to W.S. 11-35-111 constitutes a personal debt of the person assessed and is due and payable when payment is called for. If the person fails to pay any assessment upon date due, a complaint may be filed against the person in a court of competent jurisdiction for the collection thereof, as provided in W.S. 11-35-116 .

History. Laws 1961, ch. 86, § 14; W.S. 1957, § 11-671; W.S. 1977, § 11-40-113; Laws 1978, ch. 32, § 1.

§ 11-35-114. Books and records to be kept; information and inspection authorized; confidentiality; exceptions.

  1. All processors or handlers subject to  any marketing order or agreement issued pursuant to this act shall  maintain books and records reflecting their operations under the marketing  order, furnish the control committee or its authorized representatives  such information as requested relating to operations under the marketing  order, and permit inspection by the control committee or its authorized  representatives of such portions of the books and records as relate  to operations under the marketing order.
  2. Information obtained by any person under  this act is confidential and shall not be disclosed by him to any  other person except a person with like right to obtain the information,  or an attorney employed to give legal advice thereupon, or by court  order.

History. Laws 1961, ch. 86, § 15; W.S. 1957, § 11-672; W.S. 1977, § 11-40-114; Laws 1978, ch. 32, § 1.

Meaning of “this act.” —

For the definition of “this act,” referred to in this section, see § 11-35-102(a)(ix).

§ 11-35-115. Authority to issue order with terms similar to federal order; duplication of personnel; uniformity in administration.

  1. If the board finds that it tends to effectuate  the declared purpose of this act within the standards prescribed in  this act, the board may issue a marketing order applicable to the  marketing of any agricultural commodity containing like terms, provisions,  methods and procedures as any license or order regulating the marketing  of such commodity issued by the secretary of agriculture of the United  States pursuant to the provisions of any law or laws of the United  States. In selecting the members of any control committee or other  advisory agency under the marketing order, the board shall utilize,  insofar as practicable, the same persons as those serving in a similar  capacity under the federal license or order, so as to avoid duplicating  or conflicting personnel.
  2. The director may confer with and cooperate  with the legally constituted authorities of states and of the United  States to obtain uniformity in the administration of federal and state  marketing regulations, licenses or orders. The director may conduct  joint hearings or issue joint or concurrent marketing orders for the  purpose and standards set forth in this act.

History. Laws 1961, ch. 86, § 16; W.S. 1957, § 11-673; W.S. 1977, § 11-40-115; Laws 1978, ch. 32, § 1; 1993, ch. 191, § 3.

Meaning of “this act.” —

For the definition of “this act,” referred to in this section, see § 11-35-102(a)(ix).

§ 11-35-116. Administration and enforcement; penalty for violation; hearing upon complaint; disposition thereof; subsequent prosecution; injunctions.

  1. The board is responsible for the administration  and enforcement of this act.
  2. Every person who violates this act or  any provisions of any marketing order or agreement issued by the board,  is guilty of a misdemeanor and shall be fined not less than twenty-five  dollars ($25.00) nor more than one hundred dollars ($100.00).
  3. Upon the filing of a verified complaint  charging violation of any provision of this act or of any marketing  order or agreement issued by the board, and prior to the institution  of any court proceeding authorized in this section, the director may  call a hearing to consider the charges set forth. The director may  take testimony, administer oaths, subpoena witnesses and issue subpoenas  for the production of books, records or documents of any kind.
  4. If the director finds that no violation  has occurred, he shall forthwith dismiss the complaint and notify  the parties to the complaint.
  5. If the director finds that a violation  has occurred, he shall enter his findings and notify the parties to  the complaint. Should the respondents thereafter fail, neglect or  refuse to desist from the violation within the time specified by the  director, the director may file a complaint against the respondent  with the district attorney for the county in which the violation occurred,  and the district attorney shall prosecute in the name of the state.
  6. Violations of this act or any provisions  of any marketing order or agreement duly issued by the board may also  be enjoined by proceedings brought by the district attorney for the  proper county, or by the attorney general, regardless of whether criminal  proceedings have been instituted, if the director has entered a finding  pursuant to subsection (e) of this section that a violation of this  act or any provision of any marketing order or agreement issued by  the board exists.

History. Laws 1961, ch. 86, § 13; W.S. 1957, § 11-674; Laws 1969, ch. 160, § 2; W.S. 1977, § 11-40-116; Laws 1978, ch. 32, § 1; 1981, Sp. Sess., ch. 22, § 1; 1993, ch. 191, § 3.

Meaning of “this act.” —

For the definition of “this act,” referred to in this section, see § 11-35-102(a)(ix).

Am. Jur. 2d, ALR and C.J.S. references. —

Propriety of federal district court's enforcement, or injunction against violation, of agriculture order, regulation or agreement under 7 USC § 608a(6), 74 ALR Fed 276.

Chapter 36 Dairy Marketing

Cross references. —

As to the board of agriculture, see §§ 11-2-102 to 11-2-104 .

As to agricultural marketing, see ch. 35 of this title.

As to cooperative marketing associations, see §§ 17-10-101 to 17-10-253.

§ 11-36-101. Short title; legislative declarations; purposes.

  1. This act shall be known and may be cited  as the “Wyoming Dairy Marketing Act of 1971.”
  2. It is hereby declared:
    1. That a sound and efficiently operated  system for distribution, transportation, manufacture, storage, sale,  handling, marketing, pricing, processing, production and promotion  of dairy products is essential to a prosperous dairy industry within  the state of Wyoming and is indispensable to the maintenance of full  employment, health, welfare and prosperity of the state;
    2. That the marketing of dairy products in  this state in excess of market demands, disorderly marketing of such  commodities, improper preparation for market and lack of uniform grading  and classification of dairy products, unfair methods of competition  in marketing of dairy products and the inability of individual producers,  processors or handlers to maintain present markets or to develop new  or larger markets for Wyoming dairy products, result in an unreasonable  and unnecessary economic waste of part of the agricultural wealth  of this state;
    3. That such conditions and waste jeopardize  the continued distributing, transporting, manufacturing, selling,  storing, handling, marketing, pricing, processing, producing and promoting  of adequate food supplies, feed and fiber for the people of this state  and other states and prevent producers, processors or handlers of  dairy products from obtaining a fair return on their labor, invested  capital and expertise;
    4. That such conditions and waste vitally  concern the health, peace, safety and welfare of the people of this  state;
    5. That the distributing, transporting, manufacturing,  selling, storing, handling, marketing, pricing, processing, producing  and promoting of dairy products in Wyoming is hereby declared to be  affected with a public interest. Accordingly, the provisions of this  act are enacted in the exercise of the police powers of this state  for the purpose of protecting the health, peace, safety and welfare  of the people of this state.
  3. It is hereby declared to be the purposes  of this act to aid agricultural producers, processors or handlers  of dairy products in the orderly distributing, transporting, manufacturing,  selling, storing, handling, marketing, pricing, processing, producing  and promoting of dairy products, to provide methods and means for  the development of new and larger markets and to reduce waste in the  marketing of dairy products.

History. Laws 1971, ch. 87, § 1; W.S. 1957, § 11-675; W.S. 1977, § 11-41-101 ; Laws 1978, ch. 32, § 1.

Meaning of “this act.” —

For the definition of “this act,” referred to in this section, see § 11-36-102(a)(xiii).

§ 11-36-102. Definitions.

  1. As used in this act:
    1. “Board” means the state board of agriculture;
    2. “Director” means the director of the department  of agriculture or any of his duly authorized representatives;
    3. “Dairy products” mean any product containing  milk or any product derived therefrom either in their natural state  or as a processed commodity;
    4. “Handler” means any person engaged in  the operation of processing, packaging, grading, selling, distributing,  offering for sale or marketing any dairy product, or who as owner,  agent or otherwise, stores, transports, ships or causes to be shipped  any dairy product;
    5. “Marketing” means the sale or offering  for sale, at prices at the wholesale levels, of any dairy product;
    6. “Marketing order” means an order issued  pursuant to this act;
    7. “Marketing order area” means the state  of Wyoming, unless the board divides the state into two (2) or more  marketing areas;
    8. “Milk” means the lacteal secretion, practically  free from colostrum, obtained by the complete milking of one (1) or  more healthy cows or goats;
    9. “Prices at the wholesale levels” or “wholesale  prices” mean the prices received by producers, processors or handlers  for dairy products for resale, but the terms do not mean the retail  prices paid for dairy products by the ultimate consumers thereof;
    10. “Processor” means any person engaged in  the operation of receiving, grading, packaging, canning, extracting,  preserving, manufacturing or changing the form or state of any dairy  product for the purpose of marketing the product;
    11. “Producer” means any person engaged in  the business of producing or causing to be produced for marketing  any dairy product;
    12. “Proposal” means a suggested or recommended  marketing order or the termination of a then existing order, submitted  in writing by the director or to the director by any person or group;
    13. “This act” means W.S. 11-36-101 through 11-36-110 .

History. Laws 1971, ch. 87, § 2; W.S. 1957, § 11-676; W.S. 1977, § 11-41-102 ; Laws 1978, ch. 32, § 1; 1993, ch. 191, § 3.

Editor's notes. —

There is no subsection (b) in this section as it appears in the printed acts.

§ 11-36-103. Marketing orders; authority to promulgate.

Subject to this act, the board may promulgate marketing orders within this state regulating the distributing, transporting, manufacturing, storing, selling, handling, marketing, pricing, processing, producing and promoting practices of dairy products. The board may promulgate orders directed to producers, processors or handlers, either jointly or individually, within separate or joint orders, setting forth marketing practices, including prices or the methods of determining prices at the wholesale levels, to be received by them for their dairy products.

History. Laws 1971, ch. 87, § 3; W.S. 1957, § 11-677; W.S. 1977, § 11-41-103 ; Laws 1978, ch. 32, § 1.

Meaning of “this act.” —

For the definition of “this act,” referred to in this section, see § 11-36-102(a)(xiii).

§ 11-36-104. Marketing orders; hearing on issuance or termination; notice and procedure; disposition; minimum pricing; conflicts in area.

  1. Upon receipt of a proposal from any interested  person for issuance or termination of a marketing order and upon investigation  by the board, if the board has reason to believe that a marketing  order or the termination of a marketing order will effectuate the  purposes of this act, the board shall afford all interested persons  an opportunity for a hearing, after notice. All interested persons  shall be afforded an opportunity to present evidence and argument  with respect to a proposed marketing order or the termination of a  marketing order. Notice of hearing and the procedures observed at  the hearing shall be in compliance with the procedures governing contested  cases under the Wyoming Administrative Procedure Act [§§ 16-3-101 through 16-3-115 ].
  2. At the conclusion of a hearing and after  consideration of the evidence received at such hearing, the board  shall make written findings of fact and conclusions of law, and may:
    1. Enter a marketing order determining the  marketing practices or the minimum prices at the wholesale levels  to be paid to producers, processors or handlers for their dairy products;
    2. Enter a marketing order adopting a formula  for the determination of prices to be paid to producers, processors  or handlers for their dairy products, consistent with the policies  of this act; or
    3. Terminate any marketing order issued under  this act.
  3. Any marketing order determining minimum  wholesale prices or adopting a formula for the determination of such  prices may classify producers, handlers or processors, and may further  classify any dairy product according to class, form, grade or use,  as the board deems advisable, and may specify the minimum wholesale  prices or the method of determining minimum wholesale prices therefor.  If two (2) or more marketing order areas in the state are governed  by different marketing orders, a dairy product which is marketed or  handled in one (1) marketing order area but is produced, handled or  processed in another marketing order area shall be paid for by the  producer, processor or handler according to the prices set forth in  the marketing order of the marketing order area where the dairy product  is ultimately marketed or handled.

History. Laws 1971, ch. 87, § 4; W.S. 1957, § 11-678; W.S. 1977, § 11-41-104 ; Laws 1978, ch. 32, § 1.

Meaning of “this act.” —

For the definition of “this act,” referred to in this section, see § 11-36-102(a)(xiii).

§ 11-36-105. Marketing orders; when issued; economic factors to be considered; termination.

  1. Upon the conclusion of the hearing provided  for in W.S. 11-36-104(a), the board shall issue a marketing order if it makes  any of the following findings:
    1. That the order will help to reestablish  or maintain wholesale prices received by producers, processors or  handlers for any dairy product at levels which are comparable to the  general economic conditions within the marketing area. The board may  adopt the methods and procedures presently prescribed by the United  States department of agriculture in making similar determinations;
    2. That the order will help approach and  maintain such comparable general economic conditions at as rapid a  rate as is feasible in view of the demand for any dairy product;
    3. That the order will help to prevent economic  waste of agricultural resources because of improper preparation of  any dairy product for market, because of lack of uniform grading and  inspection or because of excessive shipments to markets;
    4. That the order will help to insure a beneficial  future for any dairy product;
    5. That the order will help to protect the  interests of consumers of any dairy product in assuring an adequate  supply.
  2. In making the finding set forth in this  section, the board shall take into consideration all facts available  to it with respect to the following economic factors, which are not  intended to be exclusive of all other economic factors:
    1. The quantity of any dairy product available  for distribution;
    2. The quantity of any dairy product normally  required for distribution;
    3. The cost of producing, processing or handling  any dairy products as determined by available statistics and surveys,  including:
      1. The fixed and variable cost of producing,  processing or handling, including the reasonable value of the time,  skill and experience of the person producing, processing or handling  any dairy product;
      2. A fair return upon the value of employed  assets of the producer, processor or handler;
      3. Comparable compensation received by persons  engaged in other means of earning a livelihood for themselves and  their families, as well as any other appropriate factors.
    4. The purchasing power of consumers;
    5. The level of prices of commodities, services  and articles that dairy farmers buy; and
    6. The level of prices of other commodities  that compete with or are utilized as substitutes for dairy products.
  3. Upon conclusion of the hearing the board  shall terminate a marketing order if it determines that the termination  thereof will effectuate the purposes of this act.

History. Laws 1971, ch. 87, § 5; W.S. 1957, § 11-679; W.S. 1977, § 11-41-105 ; Laws 1978, ch. 32, § 1.

Meaning of “this act.” —

For the definition of “this act,” referred to in this section, see § 11-36-102(a)(xiii).

§ 11-36-106. Budget to cover costs; part of orders; assessments.

For the purpose of providing funds to defray expenses incurred in the administration of this act, the board shall prepare a budget covering the costs of administration including advertising and sales promotion when included in any marketing order. The funding of a budget, together with the assessment of such fees as are deemed necessary by the board, the time and conditions of payment of fees, which may not exceed five percent (5%) of the gross dollar value of commodities regulated by the marketing order, shall become a part of any marketing order. Every person engaged as a producer, processor or handler of any marketable dairy product directly affected by any marketing order for the product, shall pay to the board, at such time and in such manner as prescribed by the marketing order, an assessment as determined by the board to fund and cover the budget.

History. Laws 1971, ch. 87, § 6; W.S. 1957, § 11-680; W.S. 1977, § 11-41-106 ; Laws 1978, ch. 32, § 1.

Meaning of “this act.” —

For the definition of “this act,” referred to in this section, see § 11-36-102(a)(xiii).

§ 11-36-107. Deposit and disbursement of collected monies; biennial audit required.

  1. Any monies collected by the board pursuant  to W.S. 11-36-106 shall be deposited with the state treasurer and credited  to a separate account for each marketing order under which they are  collected and shall be disbursed by the director only for expenses  incurred with respect to each separate marketing order. Funds so collected  shall be deposited and disbursed in conformity with appropriate rules  and regulations prescribed by the board.
  2. All expenditures by the director shall  be audited at least biennially by the director of the state department  of audit or his designee concurrently with the audit of the department  of agriculture, and a copy of the audit shall be delivered within  thirty (30) days after completion to the governor and the board.

History. Laws 1971, ch. 87, § 7; W.S. 1957, § 11-681; Laws 1974, ch. 16, § 2; W.S. 1977, § 11-41-107 ; Laws 1978, ch. 32, § 1; 1991, ch. 240, § 1; 1993, ch. 191, § 3; 1995, ch. 199, § 1; 2005, ch. 231, § 1.

The 2005 amendment effective July 1, 2005, substituted “a separate account” for “an account within the trust and agency fund” in (a).

Conflicting legislation. —

Laws 2005, ch. 231, § 3, provides: “The provisions of this act shall supersede the provisions of any other bill enacted into law during the 2005 general session which amends or references accounts or funds to the extent any other enactment is inconsistent with the establishment of the funds and accounts created under this act. The state auditor shall account for any fund or account created in any other legislation enacted in the 2005 general session in accordance with generally accepted accounting principles (GAAP) as promulgated by the governmental accounting standards board (GASB) and in accordance with this act.”

§ 11-36-108. Duty to maintain books and records; failure thereof; confidentiality required; exceptions.

  1. Any person subject to the provisions of  this act or of any marketing order issued pursuant to this act shall:
    1. Maintain books and records prescribed  by the board reflecting that person’s operations under this act or  the marketing order;
    2. Present upon the board’s request the books  and records and any other books and records at a place designated  by the board for its inspection or audit;
    3. Furnish authorized representatives of  the board such information as requested by them relating to operations  of any person subject to this act or to the marketing order and permit  the inspection or audit by authorized representatives of the board  of the books and records.
  2. Failure or refusal to maintain the books  and records prescribed by the board or to furnish any books or records  to the board or to its representatives, or to permit inspection or  audit thereof, constitutes a violation of this act.
  3. Information obtained by any person hereunder  is confidential and shall not be disclosed by that person to any other  person except a person employed by the board for the enforcement of  this act or an order issued under this act, or to an attorney employed  to give legal advice thereupon, or by reason of any public hearing  under this act or a court order.

History. Laws 1971, ch. 87, § 8; W.S. 1957, § 11-682; W.S. 1977, § 11-41-108 ; Laws 1978, ch. 32, § 1.

Meaning of “this act.” —

For the definition of “this act,” referred to in this section, see § 11-36-102(a)(xiii).

§ 11-36-109. Administration and enforcement; prosecution of violations; hearings by director; disposition thereof; penalty for violation; injunctions.

  1. The board is responsible for the administration  and enforcement of this act and shall adopt and enforce rules and  procedures necessary to carry out the provisions of this act.
  2. Upon finding by the director that he has  reasonable cause to believe there may have been a violation of any  marketing order issued by the board or a violation of this act, the  director shall file a complaint in the name of the state of Wyoming  against the alleged violator in the district court of the county in  which the alleged violation occurred. The alleged violation shall  be prosecuted by the attorney general of the state or the district  attorney.
  3. Upon filing with the board a complaint  by any person other than the director, charging a violation of this  act or any marketing order issued by the board, and prior to the institution  of any court proceeding, the director may call a hearing to consider  the charges set forth in the complaint. At the hearing the director  may take testimony, administer oaths, subpoena witnesses and issue  subpoenas for the production of books, records or documents of any  kind. Upon conclusion of the hearing:
    1. If the director finds that no violation  has occurred, the director shall dismiss the complaint and notify  the parties to the complaint of the dismissal;
    2. If the director finds that a violation  has occurred, the director shall enter his findings and accordingly  notify the parties to the complaint. Should any violator fail, neglect  or refuse to desist from the violation or continued violation within  the time and manner specified by the director, the director may file  a complaint against the violator with the district court of the county  in which the violation occurred and the attorney general of the state  or the district attorney for the county shall prosecute the violator  in the name of the state of Wyoming.
  4. Every person who violates this act or  any marketing order issued by the board is guilty of a misdemeanor  and may be fined not more than one thousand dollars ($1,000.00) for  each violation.
  5. The violation of this act or any marketing  order issued by the board may be enjoined by a proceeding brought  by the board in the name of the state of Wyoming, prosecuted by the  attorney general of this state or by the district attorney for the  county wherein the violation occurred, whether or not any assessment  has been levied and collected pursuant to W.S. 11-36-106 or whether or not a criminal proceeding has been instituted.  Neither the board nor the state may be required to post any bonds  otherwise required by law or rules relating to injunctive proceedings.

History. Laws 1971, ch. 87, § 9; W.S. 1957, § 11-683; W.S. 1977, § 11-41-109 ; Laws 1978, ch. 32, § 1; 1981, Sp. Sess., ch. 22, § 1; 1993, ch. 191, § 3.

Meaning of “this act.” —

For the definition of “this act,” referred to in this section, see § 11-36-102(a)(xiii).

§ 11-36-110. Powers of director or board; failure to obey subpoenas; amendment of orders.

  1. The director or the board, with respect  to matters within their respective jurisdictions, may:
    1. Conduct hearings, obtain information and  make studies and investigations as to any matter concerning which  any question may arise under this act, or as necessary to assist in  prescribing any rules, regulations, orders or amendment of orders  or in the administration and enforcement of this act and regulations  and orders hereunder;
    2. Require any person who is engaged as a  producer, processor or handler of any dairy product to furnish any  information under oath, affirmation or otherwise, to make and keep  records and other documents and to make reports, and require any person  to permit the inspection and copying of records and other documents;
    3. Administer oaths and affirmations and  whenever necessary, subpoena any person to appear and testify or to  appear and produce all books, documents, papers and records at any  designated place.
  2. In case of contumacy by or refusal to  obey a subpoena served upon any person, the district court for any  county in which the person is found or resides or transacts business,  upon application by the director or the board, may issue an order  requiring the person to appear and give testimony or to appear and  produce documents or both. Any failure to obey the order of the court  may be punished by the court as a contempt.
  3. Upon making appropriate and adequate studies  and investigations, the board may amend any order or marketing order  promulgated under this act.

History. Laws 1971, ch. 87, § 11; W.S. 1957, § 11-685; W.S. 1977, § 11-41-111; Laws 1978, ch. 32, § 1; 1993, ch. 191, § 3.

Meaning of “this act.” —

For the definition of “this act,” referred to in this section, see § 11-36-102(a)(xiii).

Severability. —

Section 14, ch. 87, Laws 1971, reads: “If any provision or clause of this act or application thereof to any person or circumstance is held invalid, such invalidity shall not affect other provisions or applications of this act that can be given effect without such invalid provision or application, and to this end the provisions of this act are declared severable.”

Chapter 37 Beef Council

Cross references. —

As to the department and director of agriculture, see ch. 2 of this title.

As to the Wyoming livestock board, see ch. 18 of this title.

As to agricultural marketing, see ch. 35 of this title.

As to cooperative marketing associations, see §§ 17-10-101 to 17-10-253.

§ 11-37-101. Legislative intent.

The legislature intends by this act to provide the cattle industry with authority to establish a self-financed program to help market, develop, maintain and expand in the state, national and foreign markets for beef and beef products produced, processed or manufactured in this state, and the use and consumption of such beef and beef products.

History. Laws 1971, ch. 224, § 1; W.S. 1957, § 11-688; W.S. 1977, § 11-42-101 ; Laws 1978, ch. 32, § 1.

Meaning of “this act.” —

For the definition of “this act,” referred to in this section, see § 11-37-102(a)(vii).

§ 11-37-102. Definitions.

  1. As used in this act:
    1. “Beef” includes veal;
    2. “Beef products” include veal products;
    3. “Board” means the Wyoming livestock board;
    4. “Council” means the Wyoming beef council;
    5. Repealed by Laws 2009, ch. 90, § 3.
    6. “Producer” means any person who owns or  acquires ownership of cattle, provided a person shall not be deemed  a producer if:
      1. The person’s only share in the proceeds  of a sale of cattle or beef is a sales commission, handling fee or  other service fee; or
      2. The person:
        1. Acquired ownership of cattle to facilitate  the transfer of ownership of the cattle from the seller to a third  party;
        2. Resold the cattle no later than ten (10)  days from the date on which the person acquired ownership; and
        3. Certified, as required by the council,  that the requirements of this subdivision have been satisfied.
    7. “This act” means W.S. 11-37-101 through 11-37-110 .

History. Laws 1971, ch. 224, § 2; W.S. 1957, § 11-689; W.S. 1977, § 11-42-102 ; Laws 1978, ch. 32, § 1; 1989, ch. 112, § 1; 2009, ch. 90, § 3.

The 2009 amendment, effective July 1, 2009, repealed former (a)(v) which read: “(a)(v) ‘Fiscal year’ means the fiscal year beginning July 1 and ending June 30”.

Editor's notes. —

There is no subsection (b) in this section as it appears in the printed acts.

Laws 2009, ch. 90, § 4, effective July 1, 2009, provides: “It is the intent of this act to impose a fiscal year of July 1 through June 30 on all governmental entities in this state, including all agencies, boards, commissions, institutions, instrumentalities, political subdivisions and special districts, no matter how formed, unless specifically exempted or otherwise authorized by law. The intent of this act is to repeal any noncodified provision which conflicts with the provisions of this act, including but not limited to earlier adopted government reorganization acts. Any entity required to change its current fiscal year of operation may elect to extend its current fiscal year or shorten its current fiscal year and commence its next fiscal year on July 1, 2009 or July 1, 2010, as it finds most convenient and efficient for its circumstances.”

§ 11-37-103. Establishment; composition; appointment; term; removal; vacancies; reimbursement for expenses.

  1. There is created the Wyoming beef council.  For administrative purposes the council shall be within the department  of agriculture. The council shall be composed of five (5) producers  appointed by the governor. The director of the department of agriculture  or his designated representative shall serve ex officio without vote.  With advice of the council, the governor may designate one (1) or  more additional representatives of the beef industry to serve ex officio  without vote. The appointed council members shall consist of three  (3) producers of range cattle, one (1) cattle feeder and one (1) dairyman.  The governor may remove any member he appoints as provided in W.S. 9-1-202 .
  2. Upon the expiration of the term of an  appointed member, a successor shall be appointed by the governor for  a term of three (3) years. If a vacancy occurs, the governor shall  appoint a person for the unexpired term.
  3. The governor shall declare the office  of any appointed member of the council vacant when he finds that:
    1. The member is no longer a producer;
    2. The member is unable to perform his duties;  or
    3. The member has become a resident of another  state.
  4. Members of the council shall serve without  compensation but shall receive mileage and per diem as provided by  law for state employees.

History. Laws 1971, ch. 224, § 3; W.S. 1957, § 11-690; W.S. 1977, § 11-42-103; Laws 1977, ch. 62, § 1; 1978, ch. 32, § 1; 1987, ch. 175, § 1; 1989, ch. 112, § 1; 1993, ch. 191, § 3.

§ 11-37-104. Powers and duties; employment of manager; duties of manager.

  1. The council shall:
    1. Receive and disburse funds under the provisions  of this act to be used in administering the provisions of this act;
    2. Annually elect a chairman from among its  members. No chairman shall succeed himself more than once;
    3. Appoint a secretary-treasurer who may  be from among its members;
    4. Meet regularly every four (4) months and  at such other times as called by the chairman or when requested by  three (3) or more members of the council;
    5. Keep a permanent record of its proceedings  and report to the governor respecting its activities as required by W.S. 9-2-1014 ;
    6. Establish and maintain promotion, information,  education and research programs to market, develop, maintain and expand  state, national and foreign markets for beef and beef products produced,  processed or manufactured in Wyoming.
  2. The council may:
    1. Conduct or contract for scientific research  to discover and develop improved marketing methods for beef and beef  products, including programs of consumer education and protection;
    2. Disseminate reliable information, founded  upon research, showing uses or probable uses of beef and beef products;
    3. Study state and federal legislation with  respect to tariffs, duties, reciprocal trade agreements, import quotas  and other matters concerning the beef industry;
    4. Sue and be sued as a council, without  individual liability, for acts of the council within the scope of  the powers and duties conferred upon it by this act;
    5. Enter into contracts to carry out the  purpose of the council as provided in this act, including contracts  for promotion of beef and beef products and development of new markets  through such promotion;
    6. Appoint advisory groups composed of representatives  from organizations, institutions or business related to or interested  in the welfare of the beef industry;
    7. Make grants to research agencies for financing  special or emergency studies, or for purchase or acquisition of facilities  necessary to carry out the purposes of the council;
    8. Employ and remove for cause employees  to assist in the discharge of the duties authorized by this act;
    9. Cooperate with any local, state or nationwide  organization or agency engaged in work or activities similar to or  related to those of the council, and enter into contracts with such  organizations or agencies for carrying on joint programs;
    10. Act jointly and in cooperation with the  state or federal government, or both, or any agency thereof in the  administration of any program of the government or of a governmental  agency deemed by the council as beneficial to the beef industry of  this state and expend funds in connection therewith;
    11. Adopt rules and regulations necessary  to carry out the provisions of this act;
    12. Adopt, rescind, modify or amend all proper  regulations, orders and resolutions for the exercise of its powers  and duties.

History. Laws 1971, ch. 224, § 4; W.S. 1957, § 11-691; Laws 1973, ch. 215, § 1; W.S. 1977, § 11-42-104; Laws 1978, ch. 32, § 1; 1989, ch. 112, § 1.

Meaning of “this act.” —

For the definition of “this act,” referred to in this section, see § 11-37-102(a)(vii).

§ 11-37-105. Authority to accept grants.

The council may accept grants, donations, contributions or gifts from any source for expenditures for any purpose consistent with the powers and duties conferred on the council.

History. Laws 1971, ch. 224, § 5; W.S. 1957, § 11-692; W.S. 1977, § 11-42-105; Laws 1978, ch. 32, § 1.

§ 11-37-106. Contributions allowed.

From the funds it receives, the council may pay or contribute to organizations such as, but not limited to, the national livestock and meat board, to carry out work and programs approved by the council.

History. Laws 1971, ch. 224, § 6; W.S. 1957, § 11-693; W.S. 1977, § 11-42-106; Laws 1978, ch. 32, § 1.

§ 11-37-107. Creation of account; collection of additional brand inspection fee; disposition of proceeds.

  1. All monies received by the council shall  be deposited in the state treasury. The state treasurer shall deposit  the monies to the credit of the beef council account. Interest earned  on monies in the account shall be deposited to the credit of the account.  All monies in the account including earned interest shall be expended  only for the purposes authorized by this act.
  2. In addition to the brand inspection fee  provided in W.S. 11-20-401 the board shall collect an additional amount not to exceed  one dollar ($1.00) per head on cattle and calves under the same authority  and at the same time, place and manner as brand inspections are made  excluding cattle and calves being inspected when no change in ownership  is involved. Fees collected by the board shall be deposited with the  state treasurer to the credit of the account created by subsection  (a) of this section. Monies received by the council under this subsection  shall be used to administer this act.
  3. The council shall at the end of each month  reimburse the livestock board for collection and administrative costs  incurred by the board in collecting the fee under subsection (b) of  this section. The amount reimbursed shall equal three percent (3%)  of the fees collected during the month and shall be deposited with  the state treasurer to the credit of the board’s inspection account  created by subsection (a) of this section.

History. Laws 1971, ch. 224, § 7; W.S. 1957, § 11-694; Laws 1973, ch. 245, § 3; W.S. 1977, § 11-42-107; Laws 1978, ch. 32, § 1; 1981, ch. 13, § 1; 1989, ch. 112, § 1; 2005, ch. 231, § 1.

The 2005 amendment effective July 1, 2005, deleted “within the trust and agency fund” at the end of the second sentence.

Meaning of “this act.” —

For the definition of “this act,” referred to in this section, see § 11-37-102(a)(vii).

Conflicting legislation. —

Laws 2005, ch. 231, § 3, provides: “The provisions of this act shall supersede the provisions of any other bill enacted into law during the 2005 general session which amends or references accounts or funds to the extent any other enactment is inconsistent with the establishment of the funds and accounts created under this act. The state auditor shall account for any fund or account created in any other legislation enacted in the 2005 general session in accordance with generally accepted accounting principles (GAAP) as promulgated by the governmental accounting standards board (GASB) and in accordance with this act.”

§ 11-37-108. Failure to pay or remit monies due or collected; penalty.

Any person who fails to pay or remit any monies, due or collected, as provided in this act, is guilty of a misdemeanor and upon conviction may be fined not to exceed seven hundred fifty dollars ($750.00).

History. Laws 1971, ch. 224, § 8; W.S. 1957, § 11-695; W.S. 1977, § 11-42-108; Laws 1978, ch. 32, § 1; 1989, ch. 112, § 1.

§ 11-37-109. [Repealed.]

Repealed by Laws 1989, ch. 112, § 2.

Editor's notes. —

This section, which derived from Laws 1971, ch. 224, § 9, related to the right to a refund of contributions.

§ 11-37-110. Surety bond required to receive or disburse funds.

Any person authorized by the council to receive or disburse funds, as provided by this act, shall post with the council a surety bond in an amount the council determines sufficient, for which the cost or premium shall be paid by the council.

History. Laws 1971, ch. 224, § 10; W.S. 1957, § 11-697; W.S. 1977, § 11-42-110; Laws 1978, ch. 32, § 1.

Meaning of “this act.” —

For the definition of “this act,” referred to in this section, see § 11-37-102(a)(vii).

Chapter 38 Wheat Marketing Commission

Cross references. —

As to the department and director of agriculture, see ch. 2 of this title.

As to the board of agriculture, see §§ 11-2-101 to 11-2-104 .

As to agricultural marketing, see ch. 35 of this title.

§ 11-38-101. Definitions.

  1. As used in this act:
    1. “Board” means the state board of agriculture;
    2. “Director” means the director of the department  of agriculture for the state of Wyoming or his designated representative;
    3. “Department” means the Wyoming department  of agriculture;
    4. Repealed by Laws 2009, ch. 90, § 3.
    5. “Grower” means anyone engaged in growing,  or causing to be grown, wheat, on ten (10) acres or more in Wyoming  including the owner and tenant jointly, a person, a partnership, association,  corporation, cooperative, trust, sharecropper and any and all other  business units, devices and arrangements;
    6. “Handler” means any person engaged in  the operation of buying, selling, shipping or distributing wheat grown  in Wyoming which he has purchased or acquired from a grower or which  he is shipping in behalf of a grower, whether the handler is located  within or without Wyoming;
    7. “Sell or sold” means a transaction wherein  the title to wheat is transferred from the grower to the purchaser  for a consideration, and includes any pledge or mortgage of wheat  to any person or any agreement to acquire such property for a consideration;
    8. “Ship” means to sell, transport, offer  for transportation or ship wheat by any means whatsoever;
    9. “Variety” means a type of wheat having  similar characteristics, as, for example: Cheyenne, Marquis, Defiance,  etc.;
    10. “Wheat” means and includes all varieties  of wheat grown in Wyoming;
    11. “Wheat marketing commission” means the  control committee established pursuant to W.S. 11-38-102 ;
    12. “This act” means W.S. 11-38-101 through 11-38-110 .

History. Laws 1975, ch. 199, § 1; W.S. 1957, § 11-698; W.S. 1977, § 11-43-101 ; Laws 1978, ch. 32, § 1; 1993, ch. 191, § 3; 2009, ch. 90, § 3.

The 2009 amendment, effective July 1, 2009, repealed former (a)(iv) which read: “(iv) ‘Fiscal year’ means the twelve (12) month period beginning July 1 and ending June 30.”

Editor's notes. —

There is no subsection (b) in this section as it appears in the printed acts.

Laws 2009, ch. 90, § 4, effective July 1, 2009, provides: “It is the intent of this act to impose a fiscal year of July 1 through June 30 on all governmental entities in this state, including all agencies, boards, commissions, institutions, instrumentalities, political subdivisions and special districts, no matter how formed, unless specifically exempted or otherwise authorized by law. The intent of this act is to repeal any noncodified provision which conflicts with the provisions of this act, including but not limited to earlier adopted government reorganization acts. Any entity required to change its current fiscal year of operation may elect to extend its current fiscal year or shorten its current fiscal year and commence its next fiscal year on July 1, 2009 or July 1, 2010, as it finds most convenient and efficient for its circumstances.”

§ 11-38-102. Establishment; composition; appointment; removal; officers; consultation permitted; area distribution of nominations.

  1. The wheat marketing commission is established  consisting of five (5) members appointed by the governor from nominations  made by the Wyoming wheat growers association or any other duly organized  and incorporated state organization within the state of Wyoming having  a commodity division working with wheat. The director of the department  of agriculture or his designated representative shall serve ex officio.  The governor may remove any member he appoints as provided in W.S. 9-1-202 .
  2. The commission shall elect a chairman  and vice chairman from its appointed members and appoint an administrator.  The commission may call upon other interested organizations for consultation.
  3. All appointed members shall derive substantial  income from the growing of wheat. Geographic representation of membership  on the commission shall be provided for based on historical wheat  production records. Each nomination shall include a resume of the  nominee’s qualifications for serving on the commission.

History. Laws 1975, ch. 199, § 1; W.S. 1957, § 11-699; W.S. 1977, § 11-43-102 ; Laws 1977, ch. 62, § 1; 1978, ch. 32, § 1; 1985, ch. 81, § 1; 1987, ch. 175, § 1; 1993, ch. 191, § 3; 1999, ch. 173, § 1; 2007, ch. 9, § 1.

The 2007 amendment substituted “five (5)” for “seven (7)” in (a); rewrote (c), revising the nominations submitted for membership, substituted “substantial income” for “their main income,” and deleting the last sentence, which read: “There shall be four (4) commission members from Area I and three (3) commission members from Area II.”

Laws 2007, ch. 9, § 2, makes the act effective immediately upon completion of all acts necessary for a bill to become law as provided by art. 4, 8, Wyo. Const. Approved Feb. 14, 2007.

§ 11-38-103. Terms of office.

  1. The terms of office for the initial wheat  commission members shall be three (3) terms of one (1) year each,  two (2) terms of two (2) years each and two (2) terms of three (3)  years each. Subsequent appointments will be for terms of three (3)  years.
  2. To reduce the commission from seven (7)  members to five (5) members, the commission shall be reduced by the  two (2) positions that are vacant as of March 15, 2007.

History. Laws 1975, ch. 199, § 1; W.S. 1957, § 11-700; W.S. 1977, § 11-43-103; Laws 1978, ch. 32, § 1; 2007, ch. 9, § 1.

The 2007 amendment added (b).

Laws 2007, ch. 9, § 2, makes the act effective immediately upon completion of all acts necessary for a bill to become law as provided by art. 4, 8, Wyo. Const. Approved Feb. 14, 2007.

§ 11-38-104. Powers and duties.

  1. The commission shall:
    1. Receive and disburse funds under the provisions  of this act to be used in administering the provisions of this act;
    2. Annually elect a chairman from among its  members and no chairman shall succeed himself more than once;
    3. Elect a vice chairman from among its members;
    4. Repealed by Laws 1999, ch. 173, § 2.
    5. Meet every four (4) months and at such  other times as called by the chairman or when requested by three (3)  or more members of the commission;
    6. Keep a permanent record of its proceedings  and prepare for the governor an annual report of its activities, receipts  and expenditures.
  2. The commission may:
    1. Conduct or contract for scientific research  to discover and develop improved marketing methods for wheat and wheat  products, including programs of consumer education and protection;
    2. Disseminate reliable information, founded  upon research, showing uses and probable uses of wheat and wheat products;
    3. Study state and federal legislation with  respect to tariffs, duties, reciprocal trade agreements, import quotas  and other matters concerning the wheat industry;
    4. Sue and be sued as a commission, without  individual liability, for the acts of the commission within the scope  of the powers and duties conferred upon it by this act;
    5. Enter into contracts to carry out the  purpose of this act, including contracts for promotion of wheat and  wheat products and development of new markets through such promotion;
    6. Appoint advisory groups composed of representatives  from organizations, institutions or businesses related to or interested  in the welfare of the wheat industry;
    7. Make grants to research agencies for financing  special or emergency studies, or for purchase or acquisition of facilities  necessary to carry out the purposes of the commission;
    8. Appoint subordinate officers and employees  of the commission and prescribe their duties and fix their compensation;
    9. Cooperate with any local, state or national  organization or agency engaged in work or activities similar to or  related to those of the commission, and enter into contracts with  such organizations or agencies for carrying out joint programs;
    10. Act jointly and in cooperation with the  state or federal government, or any agency thereof in the administration  of any program of the government or of a governmental agency deemed  by the commission as beneficial to the wheat industry of this state  and expend funds in connection therewith;
    11. Adopt rules and regulations necessary  to carry out the provisions of this act under procedures set forth  in the Wyoming Administrative Procedure Act [§§ 16-3-101 through 16-3-115 ].

History. Laws 1975, ch. 199, § 1; W.S. 1957, § 11-701; W.S. 1977, § 11-43-104; Laws 1978, ch. 32, § 1; 1985, ch. 81, § 1; 1999, ch. 173, § 2.

Meaning of “this act.” —

For the definition of “this act,” referred to in this section, see § 11-38-101(a)(xii).

§ 11-38-105. Authority to accept grants.

The commission may accept grants, donations, contributions or gifts from any source for expenditure for any purpose consistent with the powers and duties conferred on the commission.

History. Laws 1975, ch. 199, § 1; W.S. 1957, § 11-702; W.S. 1977, § 11-43-105; Laws 1978, ch. 32, § 1.

§ 11-38-106. Contributions allowed.

From the funds it receives, the commission may pay or contribute to organizations such as, but not limited to, the national wheat board, to carry out work and programs approved by the commission.

History. Laws 1975, ch. 199, § 1; W.S. 1957, § 11-703; W.S. 1977, § 11-43-106; Laws 1978, ch. 32, § 1.

§ 11-38-107. Administration of programs.

The director shall administer any marketing, utilization or promotion program in such manner as to best effectuate the purpose hereof, with the advice of the commission and board.

History. Laws 1975, ch. 199, § 1; W.S. 1957, § 11-704; W.S. 1977, § 11-43-107; Laws 1978, ch. 32, § 1; 1993, ch. 191, § 3.

§ 11-38-108. Assessments generally; refund of contributions; penalty for failure to pay or remit monies due or collected.

  1. The rate of assessment may be adjusted  from time to time by the wheat marketing commission in order to cover  any later findings by the wheat marketing commission of the estimated  expenses or actual expenses that may be incurred in connection with  any research, marketing, utilization and promotion program. The assessment  shall not exceed two and one-half cents ($.025) per bushel.
  2. All assessments made and levied pursuant  to the provisions of this act shall be paid by the respective grower  who is primarily liable therefor. An assessment shall be collected  from the grower by the first handler thereof, warehouse, or elevator  operator, and the handler shall remit to the director all assessments  so collected not later than the fifteenth day of the month next succeeding  the quarter in which the wheat is sold or contracted in commercial  channels. Any handler within or without the state of Wyoming who fails  or neglects to collect an assessment from any grower and to remit  the collection to the director is guilty of a violation of this act.
  3. In case of a pledge or mortgage of wheat  as security for a loan made from a governmental agency the assessment  shall be deducted from the proceeds of the loan at the time of the  disbursement of the loan. In case of an overage of wheat at the time  of settlement of the loan, the assessment shall be paid on the overage.  In case of a shortage at the time of settlement of the loan, the over  payment will be credited to the grower’s account. In case of purchase  agreements under the federal price support program, the assessment  shall be made at the time of final settlement. Wheat stored in private  or public storage within the state shall not be liable for assessment  until sale is made or loan secured.
  4. Any grower who by virtue of his activities  or circumstances is within the meaning of the term “handler” as herein  defined, or who shall sell, ship or otherwise dispose of wheat to  a handler or other person or store wheat outside the jurisdiction  of this act, shall forthwith remit to the director the full amount  of the assessment due. Wheat originating from any state that collects  a similar levy upon wheat, but bases assessment upon the location  of the first sale taking place within its jurisdiction shall be treated  as if the wheat were grown within the state of Wyoming, being first  handled by a Wyoming handler. At the first commission meeting following  July 1 of each year, the commission shall determine which states collect  a similar levy and shall then notify all domestic handlers of those  states.
  5. A person who has paid any monies as provided  in this act is entitled to a prompt refund of the contribution from  the commission. A claim for refund shall be made to the commission  not less than thirty (30) nor more than ninety (90) days from the  date of sale, on a form prescribed and furnished by the commission.  The claim refund form shall be duly acknowledged by the person submitting  the claim.
  6. The commission, before processing and  making refund, may require any additional information or affirmation  under penalty of perjury it deems necessary to determine the validity  of the claim for refund.
  7. Any person who fails to pay or remit any  monies due or collected as provided in this act is guilty of a misdemeanor.  Failure to so remit on each sale for which such monies are payable  constitutes a separate offense and is not affected by any refund either  pending at the time of the offense or made at a later date. Upon conviction  any person guilty of such misdemeanor shall be subject to a fine of  not more than fifty dollars ($50.00).

History. Laws 1975, ch. 199, § 1; W.S. 1957, § 11-705; W.S. 1977, § 11-43-108; Laws 1978, ch. 32, § 1; 1985, ch. 81, § 1; 1993, ch. 191, § 3; 2007, ch. 9, § 1; 2009, ch. 84, § 1.

The 2007 amendment, added the last two sentences in (d).

Laws 2007, ch. 9, § 2, makes the act effective immediately upon completion of all acts necessary for a bill to become law as provided by art. 4, 8, Wyo. Const. Approved Feb. 14, 2007.

The 2009 amendment, effective July 1, 2009, in (a) substituted “two and one-half cents ($.025)” for “one cent ($.01)” in the last sentence, and in (b) substituted “quarter” for “month” following “succeeding the” in the second sentence.

Meaning of “this act.” —

For definition of “this act,” referred to in this section, see § 11-38-101(a)(xii).

§ 11-38-109. Deposit and disbursement of collected monies; surety bond required.

  1. Monies collected pursuant to this act  shall be deposited with the state treasurer’s office and disbursed  in accordance with the act.
  2. Any person authorized by the commission  to receive or disburse funds, shall post with the commission a surety  bond in the amount the commission determines sufficient, for which  the cost or premium shall be paid by the commission.

History. Laws 1975, ch. 199, § 1; W.S. 1957, § 11-706; W.S. 1977, § 11-43-109; Laws 1978, ch. 32, § 1.

Meaning of “this act.” —

For the definition of “this act,” referred to in this section, see § 11-38-101(a)(xii).

§ 11-38-110. Research programs to improve marketing or utilization; contents; budget of expenses.

Whenever the wheat commission deems it advisable to implement a research, promotion or market program for the improvement of the marketing or utilization of wheat in both foreign and domestic trade, the plan may include, but shall not be limited to, the opening of new markets for wheat; developing new ideas and uses for wheat both at home and abroad; exploring the possibility of developing new agricultural and industrial uses for wheat; and engaging in sales promotion and education programs. The wheat commission shall prepare and submit therewith a proposed program to the board of agriculture together with a budget.

History. Laws 1975, ch. 199, § 1; W.S. 1957, § 11-707; W.S. 1977, § 11-43-110; Laws 1978, ch. 32, § 1; 1999, ch. 173, § 1.

Chapter 39 Livestock Feedlot Operations

Cross references. —

As to commercial feed, see ch. 13 of this title.

As to feeding untreated garbage to swine, see ch. 27 of this title.

§ 11-39-101. Definitions.

  1. As used in this act:
    1. “City” means any incorporated municipality  including a town;
    2. “Department” means the department of environmental  quality and includes any officer or agency within that department;
    3. “Established date of operation” means  the date on which a feedlot commenced operating with not more livestock  than reasonably could be maintained by the physical facilities existing  as of that date. If the physical facilities of the feedlot are subsequently  expanded, the established date of operation for each expansion is  deemed to be a separate and independent “established date of operation”  established as of the date of commencement of the expanded operations,  and the commencement of expanded operations shall not divest the feedlot  of a previously established date of operation;
    4. “Established date of ownership” means  the date of the recording of an appropriate muniment of title establishing  the ownership of realty;
    5. “Feedlot” means a lot, yard, corral or  other area in which livestock are confined, primarily for the purposes  of feeding and growth prior to slaughter. The term does not include  areas which are used for the raising of crops or other vegetation  and upon which livestock are allowed to graze or feed;
    6. “Livestock” means cattle, sheep, swine,  poultry and other animals or fowl which are being produced primarily  for use as food or food products for human consumption;
    7. “Materially affects” means prohibits or  regulates with respect to the location or the emission of noise, effluent,  odors, sewage, waste or similar products resulting from the operation  or the location or use of buildings, machinery, vehicles, equipment  or other real or personal property used in the operation of a livestock  feedlot;
    8. “Nuisance” means and includes public or  private nuisance as defined either by statute or by the common law;
    9. “Nuisance action or proceeding” means  and includes every action, claim or proceeding, whether brought at  law, in equity, or as an administrative proceeding, which is based  on nuisance;
    10. “Owner” means the person holding record  title to real estate, including both legal and equitable interests  under recorded real estate contracts;
    11. “Rule of the department” means a rule  adopted by the department and as defined in W.S. 35-11-112(a)(i);
    12. “Zoning requirement” means a regulation  or ordinance which has been adopted by a city, county or any special  purpose district or authority, and which materially affects the operation  of a feedlot. Nothing in this act shall be deemed to empower any agency  described in this subsection to make any regulation or ordinance;
    13. “This act” means W.S. 11-39-101 through 11-39-104 .

History. Laws 1977, ch. 59, § 1; W.S. 1957, § 11-708; W.S. 1977, § 11-44-101 ; Laws 1978, ch. 32, § 1.

Cross references. —

As to the department of environmental quality, see chapter 11 of title 35.

Editor's notes. —

There is no subsection (b) in this section as it appears in the printed acts.

§ 11-39-102. When defense to nuisance action available.

In any nuisance action or proceeding against a feedlot brought by or on behalf of a person whose date of ownership of realty is subsequent to the established date of operation of that feedlot, proof of compliance with W.S. 11-39-103 is an absolute defense, if the conditions or circumstances alleged to constitute a nuisance are subject to regulatory jurisdiction by political subdivisions or related to the activities of the department of environmental quality.

History. Laws 1977, ch. 59, § 1; W.S. 1957, § 11-709; W.S. 1977, § 11-44-102 ; Laws 1978, ch. 32, § 1.

§ 11-39-103. Compliance with rules; applicability thereof; compliance schedule; exception.

  1. A person who operates a feedlot shall  comply with applicable rules of the department in accordance with  the provisions of this section. A person complies with this section  as a matter of law where no rule of the department exists.
  2. A rule of the department in effect on  June 1, 1977 applies to a feedlot with an established date of operation  prior to June 1, 1977.
  3. A rule of the department applies to a  feedlot with an established date of operation subsequent to the effective  date of the rule.
  4. A rule of the department adopted after  June 1, 1977 does not apply to a feedlot holding any department of  environmental quality permit and having an established date of operation  prior to the effective date of the rule until either the expiration  of the term of the permit in effect on the effective date of the rule,  or twenty (20) years from the established date of operation of the  feedlot, whichever time period is greater.
  5. A rule of the department adopted after  June 1, 1977 does not apply to a feedlot not previously required to  hold a department of environmental quality permit and having an established  date of operation prior to the effective date of the rule for either  a period of twenty (20) years from the established date of operation  of the feedlot or five (5) years from the effective date of the rule,  whichever time period is greater.
  6. To achieve compliance with applicable  rules the department shall issue an appropriate compliance schedule,  and no other provision in this act shall be deemed to empower the  department to make any rule.
  7. This section does not apply to limit rules  required for delegation of the national pollutant discharge elimination  system permit program pursuant to the Federal Water Pollution Control  Act [Clean Water Act], title 33, United States Code, chapter 26, as  amended, and 40 Code of Federal Regulations, part 124.

History. Laws 1977, ch. 59, § 1; W.S. 1957, § 11-710; W.S. 1977, § 11-44-103 ; Laws 1978, ch. 32, § 1.

Federal Water Pollution Control Act. —

The Federal Water Pollution Control Act, referred to in subsection (g), is commonly known as the Clean Water Act, the provisions of which appear as 33 U.S.C. § 1251 et seq.

Meaning of “this act.” —

For the definition of “this act,” referred to in this section, see § 11-39-101(a)(xiii).

§ 11-39-104. Compliance with zoning requirements mandatory; applicability thereof.

  1. A person who operates a feedlot shall  comply with applicable zoning requirements in accordance with the  provisions of this section. A person complies with this section as  a matter of law where no zoning requirement exists.
  2. A zoning requirement applies to a feedlot  with an established date of operation subsequent to the effective  date of the zoning requirement.
  3. A zoning requirement which is in effect  on June 1, 1977 applies to a feedlot with an established date of operation  prior to June 1, 1977.
  4. A zoning requirement other than one adopted  by a city does not apply to a feedlot with an established date of  operation prior to the effective date of the zoning requirement for  a period of twenty (20) years from the effective date of that zoning  requirement.
  5. A feedlot located within an incorporated  area subject to regulation by that city on June 1, 1977 is subject  to zoning requirements adopted by the city regardless of the established  date of operation of the feedlot.
  6. A zoning requirement adopted by a city  does not apply to a feedlot which becomes located within an area subject  to regulation by that city by virtue of an incorporation or annexation  which takes effect after June 1, 1977 for a period of twenty (20)  years from the effective date of the incorporation or annexation.

History. Laws 1977, ch. 59, § 1; W.S. 1957, § 11-711; W.S. 1977, § 11-44-104 ; Laws 1978, ch. 32, § 1.

Chapter 40 Marketing of Wyoming Lean Beef

Cross references. —

As to department and director of agriculture, see ch. 2 of this title. As to the Wyoming livestock board, see ch. 18 of this title. As to agricultural marketing, see ch. 35 of this title. As to the Wyoming beef council, see ch. 37 of this title. As to cooperative marketing associations, see § 17-10-101 et seq.

§ 11-40-101. Definitions.

  1. As used in this chapter:
    1. “Committee” means the Wyoming lean beef  committee created by W.S. 11-40-102 ;
    2. “Geographically exclusive license” means  a license which gives the licensee the sole right to market Wyoming  lean beef at retail, or at wholesale for resale at retail, within  the geographic market specified by the committee.

History. Laws 1986, ch. 71, § 1.

Editor's notes. —

There is no subsection (b) in this section as it appears in the printed acts.

§ 11-40-102. Creation of committee; composition; administrative support; compensation; officers; conflict of interest.

  1. There is created the Wyoming lean beef  committee. The initial membership of the committee shall consist of  eleven (11) members of whom five (5) shall be members of the faculty  of the University of Wyoming, one (1) shall be a person with professional  training and experience related to human health and diet, designated  by the president of the University of Wyoming, five (5) shall be appointed  by the governor of whom three (3) shall be producers of beef cattle,  one (1) shall be a person with training and experience in finance,  one (1) shall be a person with training and experience in marketing  and one (1) shall be the director of the department of agriculture  or his designee serving ex officio. The members appointed by the governor  shall serve three (3) year terms. The members designated by the president  of the university shall serve at his pleasure.
  2. Administrative support for the committee  shall be provided by and budgeted for by the University of Wyoming  and thereafter it shall be the responsibility of the department of  agriculture.
  3. State employees serving on the committee  shall receive their normal compensation from their agency. Other members  of the committee shall receive no compensation until the calendar  year commencing after the calendar year in which the state first receives  one thousand dollars ($1,000.00) in royalty for the use of the Wyoming  lean beef trademark at which time they shall begin receiving mileage  and per diem at the same rate as state legislators.
  4. Every person or organization who pays  royalty for more than five hundred (500) head of cattle for the use  of the Wyoming lean beef trademark or trade name shall be entitled  to designate one (1) nonvoting member of the Wyoming lean beef committee.  This right shall be extended for the balance of the year in which  necessary royalty is first paid and for the year following any year  in which the necessary royalty is paid. Committee members designated  under this subsection shall receive no compensation from the state  for their services.
  5. The committee shall annually select from  among its members a chairman and other officers deemed necessary.
  6. If any member of the committee has applied  for or received a license to market Wyoming lean beef or has a financial  interest in any organization which has applied for or received a license  to market Wyoming lean beef he shall disclose that interest at this  first appropriate time during an open meeting of the committee and  shall not vote on the issuance of that license, on the issuance of  any license for a geographically exclusive area for which he or his  organization is also seeking a geographically exclusive license, or  any other matter uniquely affecting his license.

History. Laws 1986, ch. 71, § 1; 1987, ch. 44, § 1; 1993, ch. 191, § 3; 2010, ch. 69, § 203.

Cross references. —

As to termination of existence of the committee, see § 11-40-109 .

The 2010 amendment, effective July 1, 2010, in (a), deleted the former last sentence, which read: “Beginning April 1, 1989 the number of members designated by the president of the University of Wyoming shall be reduced by one (1) each year and the number appointed by the governor shall be increased by one (1) each year until the number of university members is reduced to two (2)”; and in (b), deleted “Until July 1, 1990” at the beginning.

§ 11-40-103. Powers and duties of the committee.

  1. The committee shall:
    1. Promulgate regulations establishing quality  standards as provided by W.S. 11-40-104 and modify these standards from time to time as necessary;
    2. Establish regulations and procedures for  licensing persons to use the trademark or trade name “Wyoming lean  beef”;
    3. Enforce the quality standards for Wyoming  lean beef;
    4. As soon as possible register in the name  of the state of Wyoming a trademark or trade name using the words  “Wyoming lean beef” with the United States government and with any  state where such registration appears prudent;
    5. Take any actions necessary to collect  the royalties due the state of Wyoming for the use of the “Wyoming  lean beef” trademark or trade name; and
    6. Register labels to be used on Wyoming  lean beef with appropriate agencies of the United States government  and any state or foreign country.
  2. The committee may:
    1. Make recommendations to the University  of Wyoming for further research concerning Wyoming lean beef;
    2. Conduct and coordinate advertising and  promotion campaigns as provided by W.S. 11-40-107 ;
    3. Take any action necessary to prevent infringement  of the trademark or trade name by others;
    4. Authorize the use of public claims that  adherence to the quality standards for Wyoming lean beef is certified  to by the state of Wyoming and authorize the use of symbols associated  with the state of Wyoming including the great seal of the state of  Wyoming in connection with the claims;
    5. Receive and disburse funds for advertising,  promotion and product development as provided by this chapter and  accept voluntary contributions and grants for these purposes;
    6. Contract with other state agencies, agencies  of the United States government and private parties to carry out the  purposes of this chapter; and
    7. Sue and be sued as a committee without  individual liability for acts relating to the powers and duties of  the committee.

History. Laws 1986, ch. 71, § 1.

§ 11-40-104. Standards for Wyoming lean beef.

  1. The committee shall establish quality  standards for Wyoming lean beef in accordance with the following:
    1. Cattle qualifying shall graze the summer  before slaughter in Wyoming. The committee may increase the proportion  of time the cattle must live in Wyoming, specifying that particular  portions of their lives must be spent in Wyoming and may impose altitude  requirements and geographic restrictions in whole or in part on any  time spent outside Wyoming. The committee shall not impose any altitude  requirement on cattle within Wyoming. For the purposes of these standards,  cattle shall be deemed to be living within Wyoming even though the  pasture where the cattle are grazing is outside Wyoming if those cattle:
      1. Have free access to land within Wyoming;  or
      2. Are in a pasture located not more than  twenty-five (25) miles from the Wyoming border and the owner of the  cattle is a Wyoming resident who physically resides within Wyoming  and has his principal place of business in Wyoming.
    2. Cattle qualifying shall be primarily grass  fed cattle;
    3. Cattle shall not be held in close confinement  except for short periods in connection with operations necessary in  the management of the cattle, including but not limited to calving,  branding, vaccinating, weaning, transportation and slaughter;
    4. Cattle qualifying shall have a hot carcass  weight of at least four hundred (400) pounds. The committee may set  a lighter minimum weight;
    5. Cattle qualifying shall have an untrimmed  fat depth over the rib eye muscle at the twelfth (12th) rib of less  than or equal to three tenths (0.3) of one inch. The committee may  decrease the amount of fat permitted under this standard and may establish  additional standards for fat. Except for ground beef, the committee  shall not establish any fat standard that would permit more than three  tenths (0.3) of one inch of untrimmed fat over the rib eye muscle  of the twelfth (12th) rib;
    6. Carcasses shall be electrically stimulated  within one (1) hour after stunning. The committee may permit other  treatments with similar effect in lieu of electrical stimulation and  may eliminate this requirement if it no longer appears necessary to  ensure adequate consumer acceptance;
    7. Cattle shall not exceed thirty-two (32)  months in age. The committee may vary this standard or prescribe in  its place a maturity level that is to be judged from the characteristics  of the carcass. The committee may also establish a minimum age;
    8. Cattle shall not be given any growth promoting  hormone;
    9. Cattle shall not be given subtherapeutic  levels of any antibiotic. This standard shall not be construed as  prohibiting the use of therapeutic levels of any antibiotic for therapeutic  purposes.
  2. For ground beef the committee shall establish  separate standards which shall:
    1. Provide for a fat content of twenty percent  (20%) or less. The committee may establish a lower fat content standard;
    2. Include the same standards as are established  pursuant to paragraphs (a)(i) through (iii), (viii) and (ix) of this  section, but need not be consistent with the standards established  pursuant to the balance of subsection (a) of this section;
    3. Provide any other standards that may be  necessary for ground beef.
  3. The committee may establish any additional  quality standard which may be useful in:
    1. Improving the quality of the product;
    2. Gaining consumer acceptance of the product;
    3. Assisting in the enforcement of the remaining  standards; and
    4. Promoting human health and welfare through  improvements in Wyoming lean beef.

History. Laws 1986, ch. 71, § 1; 1987, ch. 44, § 1.

§ 11-40-105. Licensing; use of trademark; royalty.

  1. The committee may license any person to  market Wyoming lean beef and use the label, trademark or trade name  “Wyoming lean beef” who:
    1. Pays an annual licensing fee of one hundred  dollars ($100.00);
    2. Pays an additional annual licensing fee  of one thousand dollars ($1,000.00) for each state or fraction thereof  for which the licensee has obtained a geographically exclusive license;
    3. Agrees to pay the royalty required by  subsection (h) of this section;
    4. Agrees to pay any additional royalty that  may be established to support advertising and promotion programs;
    5. Agrees to abide by the standards established  for Wyoming lean beef and to market no beef as Wyoming lean beef that  fails to meet the standards;
    6. Agrees to abide by applicable state and  federal standards relating to public health and the slaughtering and  preparation of meat for sale;
    7. Agrees to abide by any other terms of  the license the committee deems appropriate provided that the committee  may make no term for the purpose of creating a monopoly in the marketing  of Wyoming lean beef.
  2. The committee may give geographically  exclusive licenses for markets outside Wyoming provided that the market  shall not exceed the area the licensee can reasonably be expected  to serve within a reasonable period of time and may be revoked in  whole or in part for failure of the licensee to adequately supply  the market with Wyoming lean beef. The committee may set specific  volume of sales targets for the license to meet in order to retain  a geographically exclusive license. If more than one (1) person applies  for a geographically exclusive license for the same area the committee  may divide the area or choose between the persons based on the criteria  set forth in subsection (d) of this section.
  3. The issuance of a geographically exclusive  license for a particular geographic area shall not prohibit other  licensees from selling Wyoming lean beef directly to residents of  the geographic area if the sales are for consumption and not for resale  and are made within Wyoming or in response to mail or telephone solicitation  originating within Wyoming or in response to an advertisement in a  publication of national circulation. No geographically exclusive license  shall include any of the state of Wyoming. No geographically exclusive  license shall include more than twenty (20) of the states of the United  States until the licensee has actually served the market within the  states for which he is licensed.
  4. The committee may reject, restrict, accept,  or accept in part an application for a license to market Wyoming lean  beef, or may choose between competing applicants based upon:
    1. The financial strength of the applicant;
    2. The marketing expertise of the applicant  and his specific marketing plans;
    3. The access of the applicant to a supply  of Wyoming lean beef;
    4. The prior experience of the applicant  in relevant businesses; and
    5. Any other standards or criteria the committee  deems appropriate.
  5. The committee may deny, revoke, suspend  or limit the license of anyone who:
    1. Fails to abide by the provisions of subsection  (a) of this section or any terms of the license;
    2. Is convicted of violating the public health  laws of the United States or any state;
    3. Is convicted or has been convicted of  any felony;
    4. Willfully or unintentionally but repeatedly  markets beef as Wyoming lean beef which does not meet the quality  standards for Wyoming lean beef.
  6. Any retailer who is selling Wyoming lean  beef furnished by any person licensed to sell Wyoming lean beef may  use the “Wyoming lean beef” trademark or trade name in connection  with any advertising or promotion of that beef. The committee may  forbid licensees to furnish any Wyoming lean beef to any retailer  who labels any other beef as Wyoming lean beef.
  7. The committee may seek through legal action  monetary damages from any person labeling or selling as Wyoming lean  beef any beef which does not meet the quality standards for Wyoming  lean beef. Damages recovered may be used to reimburse the state for  any expenses it may have incurred in connection with the case and  may be used for advertising and promotion to overcome any damage to  the public image of Wyoming lean beef.
  8. The committee shall annually set the royalty  to be paid by licensees which shall be not less than fifty cents ($.50)  per head and not more than five dollars ($5.00) per head and shall  be designed to defray the expenses of the committee, the expenses  of the inspection and enforcement program and give the state of Wyoming  a return of eight percent (8%) per annum on the monies appropriated  for the marketing of Wyoming lean beef by Chapter 199, Wyoming Session  Laws 1985 and by any other legislative appropriation and spent by  the University of Wyoming on the 1985 San Francisco simulated market  test. The royalties shall be deposited in the general fund of the  state except that fifty percent (50%) of any royalties in excess of  the amount budgeted for the expenses of the committee, the inspection  and enforcement program and repayment to the state shall be deposited  in the University of Wyoming fund to the credit of the agricultural  experiment station account.

History. Laws 1986, ch. 71, § 1; 1987, ch. 44, § 1; 2010, ch. 69, § 203.

The 2010 amendment, effective July 1, 2010, in (h), deleted the former first sentence, which read: “Until January 1, 1992 licensees shall pay to the state an annual royalty of one dollar ($1.00) per head,” and made a stylistic change.

Editor's notes. —

Laws 1985, ch. 199, cited in subsection (h), was a temporary, uncodified act relating to marketing Wyoming lean beef.

§ 11-40-106. Enforcement of standards.

  1. The committee may promulgate rules or  regulations necessary in the management of a program to enforce the  standards for Wyoming lean beef.
  2. The committee may require licenses to  conduct any inspections of ranching or slaughter operations necessary  to insure compliance with Wyoming lean beef standards. The committee  may require that this inspection program complies with any requirements  imposed by the federal government to insure that the quality standards  are met or that claims made on any label for, or advertising concerning,  Wyoming lean beef are valid. Nothing in this subsection shall prevent  the committee from having necessary inspections performed by employees  of the department of agriculture or committee members or other appropriate  persons.

History. Laws 1986, ch. 71, § 1.

§ 11-40-107. Cooperative advertising and promotion.

  1. The committee may provide for the collection  of additional royalties on the sale of Wyoming lean beef to pay for  advertising and promotion programs. Such royalties may be levied on  all Wyoming lean beef sold to pay for national advertising and promotion  programs or only on Wyoming lean beef sold in particular markets or  through particular channels of distribution to pay for advertising  aimed at those markets, or both. If the volume of sales on which royalty  is paid in a market in the previous year is fifty thousand dollars  ($50,000.00) or more, the additional royalties may be imposed on that  market only with the consent of the persons paying two-thirds (2/3)  of the royalties paid in that previous year. The committee shall define  as necessary the markets and may classify sales as being in more than  one (1) market. Any other assessment method may be used in whole or  in part with the consent of all persons liable for the assessment.  The royalties or assessment shall be deposited in a separate account  and shall be expended for advertising, promotion, product development  and the expenses connected therewith in the market for which the royalty  or assessment is collected. The committee may authorize the expenditure  of funds in the account or may delegate that authority to the subcommittees  provided by subsection (b) of this section.
  2. To administer the advertising and promotion  campaigns, the committee shall appoint a subcommittee for each market  for which funds are separately collected. The subcommittee shall consist  of at least one (1) voting member of the committee and any nonvoting  members of the committee representing persons who pay additional royalties  or assessments for that market and who shall be entitled to vote within  the subcommittee. The full committee may give the subcommittee guidelines  and directions it shall follow and may choose to reserve to itself  the right to veto all subcommittee actions or particular classes of  subcommittee actions. When considering actions or information the  knowledge of which could give competitors a commercial advantage,  the subcommittee may hold executive sessions.

History. Laws 1986, ch. 71, § 1; 2005, ch. 231, § 1.

The 2005 amendment effective July 1, 2005, in (a) substituted “a separate account” for “an earmarked revenue account” and deleted “earmarked” preceding “account” in the last sentence.

Conflicting legislation. —

Laws 2005, ch. 231, § 3, provides: “The provisions of this act shall supersede the provisions of any other bill enacted into law during the 2005 general session which amends or references accounts or funds to the extent any other enactment is inconsistent with the establishment of the funds and accounts created under this act. The state auditor shall account for any fund or account created in any other legislation enacted in the 2005 general session in accordance with generally accepted accounting principles (GAAP) as promulgated by the governmental accounting standards board (GASB) and in accordance with this act.”

§ 11-40-108. Wyoming supreme beef.

  1. The committee may register in the name  of the state of Wyoming a trademark or trade name for “Wyoming supreme  beef”, “Wyoming premium beef” or some similar name containing the  name of the state of “Wyoming”. This trademark or trade name for beef  shall be used to designate a product which may be produced with some  period in a conventional feed lot. For this brand of beef the committee  may:
    1. Establish standards as necessary which  shall be the same as the standards established for Wyoming lean beef  pursuant to W.S. 11-40-104(a)(i), (viii) and (ix), but need not be consistent with other  standards established for Wyoming lean beef;
    2. Provide for a program for inspection and  enforcement of the standards;
    3. Provide for licensing of persons to market  the beef in the same manner as licensing is provided for Wyoming lean  beef;
    4. Provide for royalty collection, enforcement  of license terms, protection of trademark and trade name from infringement  and cooperative advertising in the same manner as provided for Wyoming  lean beef.

History. Laws 1986, ch. 71, § 1.

Editor's notes. —

There is no subsection (b) in this section as it appears in the printed acts.

§ 11-40-109. Termination of existence of committee.

  1. Repealed by Laws 2010, ch. 69, § 204.
  2. If the sales volume falls below one million  dollars ($1,000,000.00) for three (3) successive years, the existence  of the committee shall terminate on July 1 of the fourth year.

History. Laws 1986, ch. 71, § 1; 2010, ch. 69, §§ 203, 204.

The 2010 amendment, effective July 1, 2010, repealed former (a), which read: “If by January 1, 1992 the sales volume of Wyoming lean beef on which royalty is paid has not reached one million dollars ($1,000,000.00) per year the existence of the Wyoming lean beef committee shall terminate on July 1, 1992.”; in (b), deleted “the existence of the committee does not terminate as provided by subsection (a) of this section but thereafter” before “the sales volume,” and made a stylistic change.

Chapter 41 Agriculture Mediation Service

Cross references. —

As to department and director of agriculture, see ch. 2 of this title. As to mediation in general, see § 1-43-101 et seq.

§ 11-41-101. Short title.

This chapter is known and may be cited as the “Agriculture Mediation Service Act of 1987”.

History. Laws 1987, ch. 83, § 1.

§ 11-41-102. Definitions.

  1. As used in this chapter:
    1. “Action” means a court action by a creditor  against a farmer for payment of a debt, to enforce or foreclose a  security interest, lien or mortgage, or to repossess or declare a  creditor’s interest in real property. “Action” also includes any matter  filed in a court of law or before an agency by a party to resolve  a dispute;
    2. “Agricultural property” means real property  that is used principally for farming or ranching, real property that  is a farmer’s principal residence and any land contiguous to the residence,  personal property that is used as security to finance farming or personal  property that is used for farming;
    3. “Board” means the agriculture and natural  resource mediation board;
    4. “Creditor” means any person who holds  a mortgage on or is a vendor of a land contract for agricultural property,  who has a lien on or security interest in agricultural property or  who is a judgment creditor with a judgment against a farmer affecting  the farmer’s agricultural property;
    5. “Farmer or rancher” means a person engaged  in farming or ranching who owns or leases a total of sixty (60) acres  or more of land that is agricultural property and whose gross sales  of farm products for the preceding year equaled twenty thousand dollars  ($20,000.00) or more;
    6. “Farming or ranching” means the employment  and operation of real property for the production of agricultural  products, including but not limited to:
      1. Raising, harvesting and selling crops,  hay and other products of the soil;
      2. Feeding, breeding, management and sale  of livestock, poultry, fur bearing animals or honeybees, or the produce  thereof; or
      3. Dairying and the sale of dairy products.
    7. “Mediation” means the act of a neutral  person in intermediating between or among contending parties with  a view to assisting them to adjust or settle their dispute by mutual  agreement;
    8. “Parties” means the primary decision makers  engaged in the mediation process;
    9. “Standing” means a person that is given  the authority to enter into a mediation process by the board.

History. Laws 1987, ch. 83, § 1; 1988, ch. 48, § 1; 1998, ch. 70, § 1.

Editor's notes. —

There is no subsection (b) in this section as it appears in the printed acts.

§ 11-41-103. Agriculture mediation board created; membership.

  1. There is created in the governor’s office  the agriculture mediation board which consists of six (6) members,  five (5) of whom shall be appointed by the governor with the advice  and consent of the senate in accordance with W.S. 28-12-101 through 28-12-103 . The director of the department of agriculture or his  designee shall be a member of the board. The board shall elect a chairman  from its members.
  2. Each appointed member shall serve a four  (4) year term. If a vacancy occurs on the board, the governor with  the advice and consent of the senate shall appoint a person to serve  the unexpired term. Initial appointments or any vacancy occurring  between sessions of the legislature may be filled by the governor  in accordance with W.S. 28-12-101(b).
  3. Each appointed member of the board shall  serve without compensation.

History. Laws 1987, ch. 83, § 1; 1998, ch. 70, § 1.

§ 11-41-104. Powers and duties of the board.

  1. The board shall:
    1. Prepare all forms necessary for the administration  of this chapter and shall ensure that forms are disseminated and that  the availability of mediation under this chapter is publicized;
    2. Promulgate rules and regulations necessary  to implement this chapter. The rules may define owners and creditors  of agriculturally related businesses and permit owners and creditors  of such businesses to participate in mediation subject to the same  terms and conditions applicable to farmers and creditors under this  chapter. The rules may also define, for purposes of this chapter,  persons who have standing to seek mediation, proper procedures for  initiating and conducting mediation processes and issues and subjects  to which mediation may be made which shall include wetlands determination,  compliance with farm programs, agricultural credit, rural water loan  programs, grazing on public lands or other issues and subjects which  the board considers appropriate.
  2. The board may employ and remove for cause  administrative, technical and other personnel. The board may provide  training programs for prospective mediators and obtain technical information  when needed.

History. Laws 1987, ch. 83, § 1; 1988, ch. 48, § 1; 1998, ch. 70, § 1.

§ 11-41-105. Selection of mediators; duties; compensation; immunity.

  1. The board shall select mediators and shall  establish training standards for mediators which shall include training  in mediation processes and conflict resolution.
  2. Mediators shall:
    1. Listen to the parties desiring to be heard;
    2. Endeavor to create a climate conducive  to the resolution of differences between the parties;
    3. Inform the parties as to the existence  of available assistance programs;
    4. Repealed by Laws 1988, ch. 48, § 2.
    5. Assist the parties in attempting to arrive  at an agreement;
    6. Assist in the preparation of a written  agreement.
  3. Mediators shall be compensated in an amount  approved by the board. The parties in the mediation process shall  share the costs of the mediation equally. The board may establish  a fee schedule to recover, to the extent possible, the board’s administrative  costs from the parties upon the execution of a mediation agreement.
  4. Mediators, and University of Wyoming financial  analysts and extension personnel to the extent they participate in  mediations under this chapter, are immune from civil liability for  any good faith act or omission within the scope of the performance  of their powers and duties under this chapter.
  5. After receiving a mediation request involving  an agricultural debt, the board may refer the borrower to the University  of Wyoming college of agriculture through the extension service or  other financial analysts skilled in assisting with farm debt matters.  The financial analyst shall assist the borrower in the preparation  of information relative to the finances of the borrower for the initial  mediation meeting.
  6. Mediators may not compel a settlement.

History. Laws 1987, ch. 83, § 1; 1988, ch. 48, §§ 1, 2; 1993, ch. 24, § 1; 1998, ch. 70, § 1.

§ 11-41-106. Confidentiality of records.

  1. Upon acceptance and initiation of a mediation  procedure, all documents and discussions, recorded or otherwise, shall  be confidential and are not public records under W.S. 16-4-201 through 16-4-205 .
  2. All data regarding the finances of individual  borrowers and creditors which is created, collected and maintained  by agricultural mediators and which are not already matters of public  record are confidential and are not public records under W.S. 16-4-201 through 16-4-205 .

History. Laws 1987, ch. 83, § 1; 1998, ch. 70, § 1.

Library References.

Family Law and Practice § 55.04 (Matthew Bender).

§ 11-41-107. Suspension of court or agency action to allow for voluntary mediation.

  1. During the pendency of any action brought  by parties to the mediation process, the court, or agency if filed  before an agency, may, upon the written stipulation of all parties  to the action that they wish to engage in mediation under this chapter,  enter an order suspending the action.
  2. A suspension order under subsection (a)  of this section suspends all orders and proceedings in the action  for the time period specified in the suspension order. In specifying  the time period, the court or agency shall exercise its discretion  for the purpose of permitting the parties to engage in mediation without  prejudice to the rights of any person. The suspension order may include  other terms and conditions as the court or agency may deem appropriate.  The suspension order may be revoked upon motion of any party or upon  motion of the court or agency.
  3. If all parties to the action agree, by  written stipulation, that all issues before the court or agency are  resolved by mediation under this chapter, the court or agency shall  dismiss the action. If the parties do not agree that the issues are  resolved or if the court or agency revokes the suspension order under  subsection (b) of this section, the action shall proceed as if no  mediation had been attempted.

History. Laws 1987, ch. 83, § 1; 1998, ch. 70, § 1.

§ 11-41-108. Mediation process.

  1. Any conflict between two (2) parties which  involves agriculture or natural resources may be subject to mediation.  This may include, but not be limited to, conflicts between federal,  state and local agencies, individuals and organizations. No creditor  shall institute an action as defined in this chapter without first  notifying the borrower of the availability of mediation services under W.S. 11-41-101 through 11-41-110 .
  2. A farmer or creditor wishing to resolve  a dispute between them involving the farmer’s agricultural property  and the creditor’s interest in a mortgage, land contract, lien, security  interest or judgment affecting the agricultural property, either before  an action has been initiated to which they are parties or after entry  of a suspension order in an action to which they are parties under W.S. 11-41-107 , may participate in mediation in accordance with this  chapter.
  3. To participate in mediation, the parties  shall submit a request for mediation, together with an agreement to  mediate, to the board on forms prepared by the board.
  4. If no action has been initiated to which  the farmer and creditor are parties, the board shall identify the  parties to any mediation under this chapter and shall require all  parties to enter into an agreement to refrain from initiating any  action among the parties affecting the subject matter of the mediation  for a sixty (60) day period.
  5. After the board has obtained the agreement  or agreements under subsections (c) and (d) of this section, the board  shall provide the parties with the names, mailing addresses and qualifications  of mediators located in the geographical area in which the agricultural  property or farmer is located. The parties shall select a mediator  or, upon request of the parties, the board shall designate a mediator  for the parties.

History. Laws 1987, ch. 83, § 1; 1998, ch. 70, § 1.

§ 11-41-109. Effect of mediation.

The parties may at any time withdraw from mediation. The parties have full responsibility for reaching and enforcing any agreement among them. After the expiration of the sixty (60) day period under W.S. 11-41-108(d) or the time period specified in the suspension order under W.S. 11-41-107 , the mediation process shall terminate unless extended by unanimous mutual assent of the parties.

History. Laws 1987, ch. 83, § 1.

§ 11-41-110. Effect on other creditors; no delay.

With respect to mediation between parties before an action has been initiated to which they are parties, no agreement to mediate, or the fact that mediation is currently occurring, shall have the effect of delaying, postponing or extending any time limits in any legal proceeding commenced to enforce a mortgage, land contract, lien, security interest or judgment commenced by a creditor other than the creditor or creditors participating in the mediation.

History. Laws 1987, ch. 83, § 1.

Chapter 42 Agricultural Grain Marketing [Repealed]

§ 11-42-101. [Repealed.]

Repealed by Laws 1997, ch. 55, § 1.

Editor's notes. —

This section, which derived from Laws 1987, ch. 61, § 1, enacted the Interstate Compact on Agricultural Grain Marketing.

§ 11-42-102. [Repealed.]

Repealed by Laws 1998, ch. 34, § 2.

Editor's notes. —

This section, which derived from Laws, 1997, ch. 31, § 1, related to the filing of the compact report on agricultural grain marketing.

Chapter 43 Commodity Certification Program

Cross references. —

As to agricultural marketing, see ch. 35 of this title. For provisions of the Uniform Commercial Code, see title 34.1.

§ 11-43-101. Commodity certification programs; rules and regulations; fee collection.

  1. Upon request of a producer or processor,  the director of the department of agriculture may develop standards  of certification for any commodities produced or processed in Wyoming  whether raw or value-added in order to promote special attributes  of a particular commodity. The use of certification standards by any  producer or processor will be on a voluntary basis. Development of  standards shall be done in compliance with the Wyoming Administrative  Procedure Act. Standards of certification shall be in harmony with  and not supersede existing laws and regulations. Fees, not exceeding  the cost of administering the program, may be collected from participating  producers and processors on an annual basis and shall be deposited  in the general fund.
  2. The director may suspend or revoke a certification  granted under this act [§§ 11-43-101 and 11-43-102 ] if the recipient of the certification fails to meet  all of the requirements adopted by rules and regulations.

History. Laws 1989, ch. 239, § 1; 1993, ch. 191, § 3.

Wyoming Administrative Procedure Act. —

See § 16-3-101(a), (b)(xi).

§ 11-43-102. Unauthorized use of certification prohibited; penalty.

The use of any labeling, advertising or promotional material which falsely claims that a commodity or any product is certified or approved by the Wyoming department of agriculture is prohibited. Any person who violates this section is guilty of a misdemeanor.

History. Laws 1989, ch. 239, § 1.

Chapter 44 Farm and Ranch Operations

§ 11-44-101. Short title.

This chapter is known and may be cited as the “Wyoming Right to Farm and Ranch Act”.

History. Laws 1991, ch. 58, § 1.

§ 11-44-102. Definitions.

  1. As used in this act:
    1. “Farm and ranch” means the land, buildings,  livestock and machinery used in the commercial production and sale  of farm and ranch products;
    2. “Farm or ranch operation” means the science  and art of production of plants and animals useful to man except those  listed under W.S. 23-1-101 , including, but not limited to, the preparation of these  products for man’s use and their disposal by marketing or otherwise,  and includes horticulture, floriculture, viticulture, silviculture,  dairy, livestock, poultry, bee and any and all forms of farm and ranch  products and farm and ranch production;
    3. “This act” means W.S. 11-44-101 through 11-44-104 .

History. Laws 1991, ch. 58, § 1; 1999, ch. 60, § 1; 2015, ch. 175, § 2.

The 2015 amendment, in (a)(iii), substituted “11-44-103” for “11-44-104”.

Law 2015, ch. 174, § 2, makes the act effective immediately upon completion of all acts necessary for a bill to become law as provided by Article 4, § 8 of the Wyo. Const. Approved March 9, 2015.

Editor's notes. —

There is no subsection (b) in this section as it appears in the printed acts.

§ 11-44-103. Farm or ranch operations not considered a nuisance; conditions.

  1. Notwithstanding any other provision of  law, a farm or ranch operation shall not be found to be a public or  private nuisance by reason of that operation if that farm or ranch  operation:
    1. Conforms to generally accepted agricultural  management practices; and
    2. Existed before a change in the land use  adjacent to the farm or ranch land and the farm or ranch operation  would not have been a nuisance before the change in land use or occupancy  occurred.

History. Laws 1991, ch. 58, § 1.

Editor's notes. —

There is no subsection (b) in this section as it appears in the printed acts.

Cited in

Reed v. Cloninger, 2006 WY 37, 131 P.3d 359, 2006 Wyo. LEXIS 40 (Wyo. Mar. 24, 2006).

§ 11-44-104. Right to farm.

  1. To protect agriculture as a vital part of the economy of Wyoming, the rights of farmers and ranchers to engage in farm or ranch operations shall be forever guaranteed in this state.
  2. Nothing in this section shall be construed to modify any provision of common law or statutes relating to trespass, eminent domain, existing or previously enacted laws or rules or any other property rights.
  3. As used in this section “farm and ranch operations” includes any farm or ranch practice recognized as generally accepted under the provisions of W.S. 11-44-103 and any agricultural or livestock management practice recognized as generally accepted under the provisions of W.S. 11-29-115 .

History. Laws 2015, ch. 175, § 1.

Effective date. — Laws 2015, ch. 175, § 1 makes the act effective March 9, 2015.

Chapter 45 Wyoming Main Street Program

Editor's notes. —

Laws 2007, ch. 101, §§ 5, 6, 7, states:

Section 5 . (a) It is the intention and direction of the legislature that:

“(i) All duties of the department of agriculture with respect to the Wyoming main street program be transferred to the Wyoming business council. Effective July 1, 2007, all duties of the department of agriculture with respect to the Wyoming main street program not assumed by the Wyoming business council are terminated;

“(ii) Any contract agreement or obligation entered into or assumed by the department of agriculture with respect to the Wyoming main street program, if the execution or assumption was within the lawful powers of the department of agriculture, be assumed by the Wyoming business council;

“(iii) Any rule adopted by the department of agriculture with respect to the Wyoming main street program remain in effect unaltered as rule of the Wyoming business council until amended or repealed by the Wyoming business council.

Section 6 . There is transferred from the department of agriculture to the Wyoming business council any appropriated or unexpended funds not otherwise obligated and any other property, if any, exclusively dedicated to the Wyoming main street program.

Section 7 . There is transferred one (1) full-time equivalent position and one (1) part-time equivalent position from the department of agriculture to the Wyoming business council for the purposes of administering the Wyoming main street program.”

Appropriations. —

Laws 2004, ch. 119, § 2, appropriates $350,000, or as much thereof as is necessary, from the general fund to the department of agriculture for the fiscal year beginning July 1, 2004, to implement the purposes of the act. Of this appropriation, not more than $50,000 may be expended for contract services under W.S. 9-12-804(b)(i) and $300,000 is to be allocated for facade design and renovation of main street storefronts. The act authorizes the department of agriculture one full-time equivalent position and one part-time equivalent position for the fiscal year beginning July 1, 2004, to implement the provisions of the act. Of the general fund appropriation to the Wyoming business council contained in Laws 2004, ch. 95, $200,000 appropriated for the main street program is to be transferred to the department of agriculture and expended only for the purpose of the main street program.

Effective date. —

Laws 2004, ch. 119, § 3, makes this act effective July 1, 2004.

Article 1. General Provisions

§ 11-45-101. [Amended and renumbered]

Amended and renumbered as § 9-12-1101 by Laws 2007, ch. 101, § 2.

§ 11-45-102. [Renumbered]

Renumbered as § 9-12-1102 by Laws 2007, ch. 101, § 3.

§ 11-45-104. [Amended and renumbered]

Amended and renumbered as § 9-12-1104 by Laws 2007, ch. 101, § 2.

§ 11-45-105. [Repealed]

Repealed by Laws 2007, ch. 101, § 4.

Editor's notes. —

This section, which derived from Laws 2004, ch. 119, § 1, related to pilot programs.

Chapter 46 Pest Control Compact

Editor's notes. —

Laws 2005, ch. 9, § 1, and Laws 2005, ch. 91, § 1, each enacted a chapter 46 in title 11. The chapter enacted by Laws 2005, ch. 91 has been redesignated as chapter 47 in title 11 at the direction of the legislative service office.

Effective dates. —

Laws 2005, ch. 9, § 1, makes the act effective immediately upon completion of all acts necessary for a bill to become law as provided by art. 4, § 8, Wyo. Const. Approved February 17, 2005.

§ 11-46-101. [Repealed.]

History. Laws 2005, ch. 9, § 1; Repealed by Laws 2014, ch. 16, § 1.

§ 11-46-102. [Repealed.]

History. Laws 2005, ch. 9, § 1; Repealed by Laws 2014, ch. 16, § 1.

§ 11-46-103. [Repealed.]

History. Laws 2005, ch. 9, § 1; Repealed by Laws 2014, ch. 16, § 1.

§ 11-46-104. [Repealed.]

History. Laws 2005, ch. 9, § 1; Repealed by Laws 2014, ch. 16, § 1.

§ 11-46-105. [Repealed.]

History. Laws 2005, ch. 9, § 1; Repealed by Laws 2014, ch. 16, § 1.

§ 11-46-106. [Repealed.]

History. Laws 2005, ch. 9, § 1; Repealed by Laws 2014, ch. 16, § 1.

§ 11-46-107. [Repealed.]

History. Laws 2005, ch. 9, § 1; Repealed by Laws 2014, ch. 16, § 1.

Chapter 47 Commonsense Consumption Act

Editor's notes. —

Laws 2005, ch. 9, § 1, and Laws 2005, ch. 91, § 1, each enacted a chapter 46 in title 11. The chapter enacted by Laws 2005, ch. 91 has been redesignated as chapter 47 in title 11 at the direction of the legislative service office.

Laws 2005, ch 91, § 2, provides:

“This act applies to any action commenced on or after the effective date of this act.”

Effective dates. —

Laws 2005, ch. 91, § 3, makes the act effective immediately upon completion of all acts necessary for a bill to become law as provided by art. 4, § 8, Wyo. Const. Approved February 24, 2005.

§ 11-47-101. Short title.

This chapter is known and may be cited as the “Wyoming Commonsense Consumption Act”.

History. Laws 2005, ch. 91, § 1.

§ 11-47-102. Definitions.

  1. As used in this act:
    1. “Livestock” means as defined in W.S. 11-39-101(a)(vi);
    2. “Agricultural producer” means any producer  of livestock, crops for food or fiber, dairy products and any other  product for human consumption from an agricultural operation;
    3. “Long term consumption” means the cumulative  effect of the consumption of any qualified product and not the effect  of a single instance of consumption;
    4. “Qualified product” means any food or  drink as defined in section 201(f) of the Federal Food Drug and Cosmetic  Act (21 U.S.C. § 321(f)), and specifically includes meat and meat products from  livestock, food, fiber, dairy products and any other product for human  consumption from an agricultural operation;
    5. “Seller” means any person or entity lawfully  engaged in the business of marketing, distributing, advertising or  selling a qualified product;
    6. “Trade association” means any association  or business organization that is not operated for profit, if two (2)  or more members are manufacturers, marketers, distributors, agricultural  producers, advertisers or sellers of a qualified product;
    7. “This act” means W.S. 11-47-101 through 11-47-103 .

History. Laws 2005, ch. 91, § 1.

Editor's notes. —

There is no subsection (b) in this section as it appears in the printed acts.

§ 11-47-103. Limitation on liability for long term consumption.

  1. No manufacturer, seller, trade association,  agricultural producer, wholesaler, broker or retailer of a qualified  product is subject to civil liability for injury or death in any case  in which liability is based on the individual’s weight gain, obesity  or a health condition related to weight gain or obesity, and the weight  gain, obesity or health condition results from the individual’s long  term consumption of a qualified product.
  2. Subsection (a) of this section shall not  preclude civil liability if:
    1. The claim of injury or death is based  on a material violation of a composition, branding or labeling standard  prescribed by state or federal law; and
      1. The claimed injury or death was actually  and proximately caused by that violation; and
      2. The violation was committed with intent  to deceive or injure consumers or with actual knowledge that the violation  was injurious to consumers.

History. Laws 2005, ch. 91, § 1.

Editor's notes. —

There is no paragraph (b)(ii) in this section as it appears in the printed acts.

Chapter 48 Feral Livestock

§ 11-48-101. Definitions.

  1. As used in this chapter:
    1. “Board” means the Wyoming livestock board;
    2. “Director” means the director of the Wyoming  livestock board;
    3. “Feral” means a domestic animal that is  not under the control of nor cared for by a person and which has returned  to a wild or semi-wild state. A feral animal may or may not be owned  by a person;
    4. Repealed by Laws 2011, ch. 21, § 2.
    5. “Disposal” means as defined in W.S. 11-24-101(a)(iv);
    6. “Livestock” means as defined in W.S. 23-1-102(a)(xvi).

History. Laws 2009, ch. 88, § 1; 2010, ch. 80, § 1; 2011, ch. 21, §§ 1, 2.

The 2010 amendment, effective July 1, 2010, added (a)(v) and (a)(vi).

The 2011 amendment, effective July 1, 2011, in (a)(iii), inserted “A feral animal may or may not be owned by a person,” repealed former (a)(iv) pertaining to definition of livestock, and made related changes.

Editor's notes. —

There is no subsection (b) in this section as it appears in the printed acts.

Effective dates. —

Laws 2009, ch. 88, § 2, makes the act effective immediately upon completion of all acts necessary for a bill to become law as provided by art. 4, § 8, Wyo. Const. Approved March 2, 2009.

§ 11-48-102. Disposition of feral livestock; penalty.

  1. Before any livestock can be declared feral,  a reasonable attempt shall be made by the director or the state veterinarian  to locate and identify the owner of the livestock and to notify the  owner to take possession of the livestock. If the owner repeatedly  refuses to take possession of the livestock, he shall be subject to  the provisions of subsection (g) of this section.
  2. If the state veterinarian or the director  are unable to identify and notify the owner of the livestock or the  owner refused to take possession for the livestock within five (5)  days after receiving notice, the livestock may be declared to be feral  livestock.
  3. If the director or the state veterinarian  determines that any feral livestock are damaging private or public  property, including grass, cultivated crops or stored crops, or determines  the feral livestock is on private or public property where the feral  livestock are not authorized to be and that capturing the feral livestock  is not feasible or is cost prohibitive, the director or the state  veterinarian may order the disposal of the feral livestock.
  4. If the state veterinarian determines or  suspects any feral livestock are likely to be infected with or able  to spread any infectious or contagious disease, the state veterinarian  may order the destruction of the feral livestock.
  5. There shall be no right for any future  indemnity or payment to the owner for the disposition of any feral  livestock disposed of in accordance with this section. Should the  owner of any feral livestock disposed of in accordance with this section  be subsequently identified, the board may seek reimbursement from  the owner for all costs associated with the disposal and removal of  the feral livestock.
  6. The Wyoming livestock board shall promulgate  rules necessary for the administration of this section.
  7. The owner of feral livestock shall be:
    1. Responsible for all damages caused by  the feral livestock; and
    2. Responsible for the costs of gathering,  feeding, veterinary services, transportation and other incidental  expenses relating to the feral livestock incurred by the Wyoming livestock  board.
  8. Any person failing to comply with this  section shall be punished as provided in W.S. 11-1-103 .

History. Laws 2009, ch. 88, § 1; 2010, ch. 80, § 1; 2011, ch. 21, § 1.

The 2010 amendment, effective July 1, 2010, substituted “disposal” for “destruction” in (c) and made similar changes in (e).

The 2011 amendment, effective July 1, 2011, in (a), added the second sentence; and added (g) and (h).

Effective dates. —

Laws 2009, ch. 88, § 2, makes the act effective immediately upon completion of all acts necessary for a bill to become law as provided by art. 4, § 8, Wyo. Const. Approved March 2, 2009.

Chapter 49 Marketing Homemade Foods

Effective date. — Laws 2015, ch. 121, § 1, makes the act effective March 3, 2015.

§ 11-49-101. Short title.

This act is known and may be cited as the “Wyoming Food Freedom Act.”

History. Laws 2015, ch. 121, § 1; 2017, ch. 111, § 1.

The 2017 amendment , effective July 1, 2017, substituted “act” for “article.”

§ 11-49-102. Definitions.

  1. As used in this act:
    1. “Delivery” means the transfer of a product resulting from a transaction between a producer and an informed end consumer. The delivery may occur by the producer’s designated agent at a farm, ranch, farmers market, home, office or any location agreed to between the producer and the informed end consumer;
    2. “Farmers market” means as defined in W.S. 35-7-110(a)(xxviii);
    3. “Home consumption” means consumed within a private home, or food from a private home that is only consumed by family members, employees or nonpaying guests;
    4. “Homemade” means food that is prepared or processed in a private home kitchen, that is not licensed, inspected or regulated;
    5. “Informed end consumer” means a person who is the last person to purchase any product, who does not resell the product and who has been informed that the product is not licensed, regulated or inspected;
    6. “Producer” means any person who grows, harvests, prepares or processes any food or drink products on the person’s owned or leased property, does not produce more than two hundred fifty thousand (250,000) individual food or drink products annually and does not exceed two hundred fifty thousand dollars ($250,000.00) in gross revenue annually from the food and drink products;
    7. “Transaction” means the exchange of buying and selling.
    8. “Process” means operations a producer performs in the making or treatment of the producer’s food or drink products;
    9. “Animal share” means an ownership interest in an animal or herd of animals created by a written contract between an informed end consumer and a farmer or rancher that includes a bill of sale to the consumer for an ownership interest in the animal or herd and a boarding provision under which the consumer boards the animal or herd with the farmer or rancher for care and processing and the consumer is entitled to receive a share of meat from the animal or herd;
    10. “Non-potentially hazardous food” means food that does not require time or temperature control for safety including limiting pathogenic microorganism growth or toxin formation. “Non-potentially hazardous food” includes, but is not limited to, jams, uncut fruits and vegetables, pickled vegetables, hard candies, fudge, nut mixes, granola, dry soup mixes excluding meat based soup mixes, coffee beans, popcorn and baked goods that do not include dairy or meat frosting or filling or other potentially hazardous frosting or filling;
    11. “Potentially hazardous food” means food that requires time or temperature control for safety including limiting pathogenic microorganism growth or toxin formation. “Potentially hazardous food” includes, but is not limited to, foods requiring refrigeration, dairy products, quiches, pizzas, frozen doughs, meat and cooked vegetables and beans;
    12. “This act” means W.S. 11-49-101 through 11-49-104 .

History. Laws 2015, ch. 121, § 1; 2017, ch. 111, § 1; 2020, ch. 69, § 1; ch. 119, § 2.

The 2017 amendment , effective July 1, 2017, in (a), substituted “act” for “article”; in (a)(iv), added “or processed”; in (a)(vi), substituted “grows, harvests, prepares or processes any food or drink products on the person’s owned or leased property” for “harvests or produces any product which may be consumed as food or drink”; and added (a)(viii) and (a)(ix).

The 2020 amendments. — The first 2020 amendment, by ch. 69, § 1, effective July 1, 2020, in (a)(vi) added “does not produce more than two hundred fifty thousand (250,000) individual food or drink products annually and does not exceed two hundred fifty thousand dollars ($250,000.00) in gross revenue annually from the food and drink products” at the end; added (a)(ix) and (a)(x); redesignated former (a)(ix) as (a)(xii).

The second 2020 amendment, by ch. 119, § 2, effective July 1, 2020, added (a)(ix); and redesignated former (a)(ix) as (a)(x) and substituted “11-49-104” for “11-49-103.”

This section is set out as reconciled by the Wyoming legislative service office.

§ 11-49-103. Wyoming Food Freedom Act; purpose; exemptions; assumption of risk.

  1. The purpose of the Wyoming Food Freedom Act is to allow for a producer’s production and sale of homemade food or drink products for an informed end consumer and to encourage the expansion of agricultural sales at farmers markets, ranches, farms and producers’ homes by:
    1. Facilitating the purchase and consumption of fresh and local agricultural products;
    2. Enhancing the agricultural economy;
    3. Providing Wyoming citizens with unimpeded access to healthy food from known sources.
  2. Unless otherwise provided in this section, homemade food products produced, sold and consumed in compliance with the Wyoming Food Freedom Act shall be exempt from state licensure, permitting, inspection, packaging and labeling requirements.
  3. Transactions under this act shall:
    1. Be directly between the seller and the informed end consumer, except as otherwise provided by this act. The seller of eggs or a homemade food product consisting of non-potentially hazardous food may be the producer of the item, an agent of the producer or a third party vendor including a retail shop or grocery store as long as the sale is made in compliance with this act. The seller of a homemade food item consisting of potentially hazardous food, except eggs, shall be the producer of the item;
    2. Repealed by Laws 2020, ch. 69, § 2.
    3. Occur only in Wyoming;
    4. Not involve interstate commerce;
    5. Not involve the sale of meat products, with the following exceptions:
      1. The sale of poultry and poultry products provided:
        1. The producer slaughters not more than one thousand (1,000) poultry of his own raising during any one (1) calendar year;
        2. The producer does not engage in buying or selling poultry products other than those produced from poultry of his own raising; and
        3. The poultry product is not adulterated or misbranded.
      2. The sale of live animals;
      3. The sale of portions of live animals before slaughter for future delivery;
      4. The sale of domestic rabbit meat;
      5. The sale of farm raised fish provided:
        1. The fish is raised in accordance with title 23 of the Wyoming statutes; and
        2. The fish is not catfish.
      6. The sale of meat pursuant to an animal share under W.S. 11-49-104 .
    6. Only occur at farmers markets, farms, ranches, producer’s homes or offices, the retail location of the third party seller of non-potentially hazardous foods or any location the producer and the informed end consumer agree to.
  4. Except for raw, unprocessed fruits and vegetables, food shall not be sold or used in any commercial food establishment unless the food has been labeled, licensed, packaged, regulated or inspected as required by law. Nothing in this section shall prohibit the sale of homemade food from a retail space located at the ranch, farm or home where the food is produced or at the retail location of a third party seller for non-potentially hazardous food. A retail space selling homemade food under this section shall inform the end consumer that the homemade food has not been inspected and shall display a sign indicating that the homemade food has not been inspected. If a retail space selling potentially hazardous food is in any way associated with a commercial food establishment or offers for sale any inspected product, the retail space selling potentially hazardous homemade food shall comply with rules adopted by the department of agriculture which shall require:
    1. That the retail space be physically separated from the commercial food establishment with a separate door and separate cash register or point of sale;
    2. That each separate space shall include signs or other markings clearly indicating which spaces are offering inspected items for sale and which spaces are uninspected;
    3. Separation of coolers, freezers and warehouse or other storage areas to prohibit the intermingling of inspected and uninspected products;
    4. Any other requirements specified by the department of agriculture to ensure the sale of homemade foods is made to an informed end consumer.
  5. The producer shall inform the end consumer that any food product or food sold at a farmers market or through ranch, farm or home based sales pursuant to this act is not certified, labeled, licensed, packaged, regulated or inspected. A third party seller offering non-potentially hazardous food for sale pursuant to this act shall inform the end consumer that the homemade food is not certified, labeled, licensed, packaged, regulated or inspected.
  6. Repealed by Laws 2017, ch. 111, §  2.
  7. Nothing in this act shall be construed to impede the Wyoming department of health in any investigation of food borne illness.
  8. Nothing in this act shall be construed to change the requirements for brand inspection or animal health inspections.
  9. Nothing in this act shall preclude an agency from providing assistance, consultation or inspection, at the request of the producer.
  10. In addition to the requirements of this section, for sales of non-potentially hazardous food at a retail location or grocery store the food shall not be displayed or offered for sale on the same shelf or display as food produced in a licensed establishment and shall be clearly and prominently labeled with “this food was made in a home kitchen, is not regulated or inspected and may contain allergens”.
  11. In addition to the transactions permitted under this act, homemade food producers may sell homemade food and drink products or eggs to the maximum extent permitted by federal law. Nothing in this article shall be construed to be more restrictive than applicable federal requirements.

History. Laws 2015, ch. 121, § 1; 2017, ch. 56, § 1; ch. 111, §§ 1, 2; 2020, ch. 69, §§ 1, 2; ch. 119, § 2; 2021, ch. 42, § 1.

The 2017 amendments. — The first 2017 amendment, by ch. 56, § 1, effective July 1, 2017, in (d), added last three sentences, and added (d)(i) through (d)(iv).

The second 2017 amendment, by ch. 111, § 1, effective July 1, 2017, rewrote (a) and (b); in (c), substituted “act” for “section”, in (c)(v), substituted “with the following exceptions” for “except”; in (c)(v)(A), substituted “consistent with this article” for “provided”; added (c)(v)(A)(I) through (c)(v)(A)(III); in (c)(v)(B), deleted “intended for slaughter”; in (c)(v)(C), added “live” and “before slaughter”, deleted “provided that the processing of the animals is done by the purchaser or by a Wyoming or federally licensed processing facility”; added (c)(v)(D) through (c)(v)(D)(II) and (c)(vi); in (e), substituted “act” for “section”; in (g) and (h), substituted “act” for “article”; added (j); and made a stylistic change.

The third 2017 amendment, by ch. 111, § 2, effective July 1, 2017, deleted (f), which read “Not potentially hazardous food as defined by W.S. 35-7-110(a)(xxx) shall not be required to be labeled, licensed, regulated or inspected if it is sold at a farmers market or sold from a producer to an informed end consumer.”.

While none of the amendments gave effect to the others, all have been given effect in the section as set out as directed by the legislative service office.

The 2020 amendments. — The first 2020 amendment, by ch. 69, §§ 1, 2, effective July 1, 2020, in the introductory language of (a) substituted “consumer” for “consumer's home consumption”; in (b) added “Unless otherwise provided in this section” at the beginning; in (c)(i) substituted “seller” for “producer” and added the last two sentences; repealed (c)(ii), which read “Only be for home consumption”; in (c)(vi) added “the retail location of the third party seller of non-potentially hazardous foods” following “or offices”; in the introductory language of (d) deleted “for home consumption” preceding “from a retail space,” added “or at the retail location of a third party seller for non-potentially hazardous food” at the end of the second sentence, and substituted “If a retail space selling potentially hazardous food is” for “If the retail space is” and “selling potentially hazardous homemade food” for “selling homemade food”; in (e) added the last sentence; and added (k).

The second 2020 amendment, by ch. 119, § 2, effective July 1, 2020, added (c)(v)(F).

While neither amendment gave effect to the other, both have been given effect in this section as set out above.

The 2021 amendment , effective July 1, 2021, in (c)(i), added ", except as otherwise provided by this act" in the first sentence, "eggs or" following "seller of" in the second sentence, ", except eggs," following "hazardous food"; and added (m).

§ 11-49-104. Animal shares.

  1. The acquisition of meat from animals by an informed end consumer shall not constitute the sale of meat products in contravention of this act and shall not be prohibited if all of the following conditions are met:
    1. The meat is delivered pursuant to an animal share and is:
      1. Received from the farm or ranch where an animal or herd subject to the animal share is located;
      2. Received by or on behalf of an owner of an animal share;
      3. Obtained from the particular animal or herd subject to the animal share.
    2. Ownership of each animal is established prior to slaughter and the slaughter is conducted pursuant to W.S. 11-23-102(a), if applicable;
    3. A prominent warning statement that the meat has not been inspected is delivered to the informed end consumer with the meat or is displayed on a label affixed to the meat packaging;
    4. Information describing the standards used by the farm or ranch with respect to herd health, and in the processing of meat from the herd, is provided to the informed end consumer by the farmer or rancher.
  2. No person who obtains meat in accordance with this section shall sell, donate or commercially redistribute the meat.
  3. No farmer or rancher shall publish any statement that implies the department of agriculture’s approval or endorsement of meat delivered pursuant to an animal share.

History. Laws 2020, ch. 119, § 1.

Effective date. — Laws 2020, ch. 119, § 3, makes the act effective July 1, 2020.

Chapter 50 Bean Research

Effective date. — Laws 2015, ch. 148, § 1 makes the act effective July 1, 2015.

§ 11-50-101. Definitions.

  1. As used in this act:
    1. “Commission” means the bean commission established under W.S. 11-50-102 ;
    2. “Department” means the state department of agriculture;
    3. “Director” means the director of the state department of agriculture or his designee;
    4. “Dry edible beans” includes all market classes and varieties of dry edible beans produced in Wyoming including beans intended for use as seed;
    5. “Grower” means any person engaged in growing, or causing to be grown, dry edible beans on one (1) acre or more in Wyoming. “Grower” may include an owner and tenant jointly or a partnership, association, corporation, cooperative, trust, sharecropper or any other business unit, device or arrangement;
    6. “Handler” means any person, no matter where the person is located, who is engaged in the operation of buying, selling, shipping or distributing dry beans grown in Wyoming which he has purchased or acquired from a grower or which he is shipping on behalf of a grower;
    7. “This act” means W.S. 11-50-101 through 11-50-108 .

History. Laws 2015, ch. 148, § 1.

§ 11-50-102. Dry bean commission established; composition; appointment; term; removal; vacancies; reimbursement for expenses.

  1. There is created the Wyoming bean commission. For administrative purposes the commission shall be within the department of agriculture. The commission shall be composed of six (6) members initially appointed by the governor. The director or his designated representative shall serve ex officio without vote. The appointed commission members shall consist of four (4) growers residing in Wyoming with at least one (1) of the members residing in Laramie, Platte or Goshen County, Wyoming. Two (2) members shall be handlers with dry bean processing facilities located in Wyoming. The governor may remove any member he appoints as provided in W.S. 9-1-202 .
  2. The terms of office for the initial appointments to the commission shall be two (2) terms of four (4) years and two (2) terms of two (2) years for the grower members. The initial terms of office for the handler members shall be one (1) term of four (4) years and one (1) term of two (2) years. Upon the expiration of each of these terms, the commission shall conduct by mail an election to fill the open membership. After initial terms, elected members shall serve for a term of four (4) years. Only growers and handlers who paid dry bean assessments in the previous two (2) calendar years shall be eligible to vote in or stand for election, which shall be conducted in March of each odd-numbered year. If a vacancy occurs, the governor shall appoint a person for the unexpired term.
  3. The governor shall declare the office of any appointed or elected member of the commission vacant when he finds that the member:
    1. Is no longer a grower or handler;
    2. Is unable to perform his duties; or
    3. Has become a resident of another state.
  4. Members of the commission shall serve without compensation but shall receive mileage and per diem as provided by law for state employees.

History. Laws 2015, ch. 148, § 1; 2017, ch. 4, § 1.

The 2017 amendment , in (b), added the fourth sentence.

Laws 2017, ch. 4, § 2, makes the act effective immediately upon completion of all acts necessary for a bill to become law as provided by art. 4, § 8, Wyo. Const. Approved February 13, 2017.

§ 11-50-103. Powers and duties of the commission.

  1. The commission shall:
    1. Receive and disburse funds under the provisions of this act to be used in administering the provisions of this act;
    2. Annually elect a chairman and vice chairman from among its members. No chairman shall succeed himself more than once;
    3. Meet not less than two (2) times each year in conjunction with the crop research foundation of Wyoming and at such other times as called by the chairman or when requested by three (3) or more members of the commission;
    4. Keep a permanent record of its proceedings and report annually to the governor and the joint agriculture, state and public lands and water resources interim committee respecting its activities as provided in W.S. 9-2-1014 ;
    5. If the commission determines that it is advisable to implement a research, promotion or market program, prepare and submit a proposed program to the director together with a budget and cash flow statement. Funds shall only be dispersed to the crop research foundation in accordance with the submitted budget and cash flow statement.
  2. The commission may:
    1. Conduct or contract for scientific research to discover and develop improved varieties, production techniques and end-use products;
    2. Conduct or contract for programs of consumer education and market development;
    3. Disseminate information on dry edible beans based on scientific research;
    4. Study state and federal legislation with respect to matters concerning the dry edible bean industry;
    5. Sue and be sued as a commission, without individual liability, for acts of the commission within the scope of the powers and duties conferred upon it by this act;
    6. Enter into contracts to carry out the purpose of the commission as provided in this act;
    7. Appoint advisory groups composed of representatives from organizations, institutions or business related to or interested in the welfare of the dry edible bean industry;
    8. Make grants to research agencies for financing special or emergency studies, or for purchase or acquisition of facilities necessary to carry out the purposes of the commission;
    9. Appoint subordinate officers and employees of the commission, prescribe their duties and fix their compensation;
    10. Cooperate with any local, state or nationwide organization or agency engaged in work or activities similar to or related to those of the commission, and enter into contracts with those organizations or agencies for carrying on joint programs;
    11. Adopt rules and regulations necessary to carry out the provisions of this act;
    12. Adopt, rescind, modify or amend all proper regulations, orders and resolutions for the exercise of its powers and duties.

History. Laws 2015, ch. 148, § 1.

§ 11-50-104. Authority to accept grants.

The commission may accept grants, donations, contributions or gifts from any source for expenditures for any purpose consistent with the powers and duties conferred on the commission.

History. Laws 2015, ch. 148, § 1.

§ 11-50-105. Contributions allowed.

From the funds it receives, the commission may pay or contribute to outside organizations to carry out work and programs approved by the commission.

History. Laws 2015, ch. 148, § 1.

§ 11-50-106. Dry bean commission account; assessment rate; collection and payment of assessment.

  1. All monies received by the commission shall be deposited in the state treasury. The state treasurer shall deposit the monies to the credit of the dry bean commission account which is hereby created. Interest earned on monies in the account shall be deposited to the credit of the account. All monies in the account including earned interest shall be expended only for the purposes authorized by this act.
  2. Assessments collected by department under this section shall be deposited with the state treasurer to the credit of the account created by subsection (a) of this section. Monies received by the commission under this subsection shall be used to administer this act.
  3. The commission shall at the end of each quarter reimburse the department for collection and administrative costs incurred by the department in collecting the assessment under subsection (b) of this section. The amount reimbursed shall equal one percent (1%) of the assessments collected during the quarter and shall be deposited with the state treasurer.
  4. The amount of the assessment collected under this section shall be as follows:
    1. For growers, thirty-four hundredths percent (0.34%) of the value of the settlement to the grower;
    2. For handlers, seventeen hundredths percent (0.17%) of the value of the settlement to the grower;
    3. After July 1, 2017, the commission by rule may change the assessment levied under this section provided that the proportion shall be two-thirds (2/3) on the grower and one-third (1/3) on the handler and the total levy shall not exceed one percent (1%) of the value of the settlement to the grower.
  5. The assessment rate as determined under subsection (d) of this section shall be paid by the respective grower and handler who are primarily liable. The first handler of beans sold or contracted in a commercial channel shall collect the required assessment from the grower and shall remit the assessment from the grower and the handler to the department not later than the fifteenth day of the month immediately following the quarter in which the beans were sold or contracted. The first time each year that a handler submits assessments under this section, the handler shall also submit a list of the name and address of all growers that the handler collected assessments from in the immediately preceding year.
  6. If dry beans are mortgaged or pledged as security for a loan from a governmental agency, the assessment under this section shall be deducted from the proceeds of the loan at the time of the disbursement of the loan. If there is an overage of dry beans at the time of settlement of the loan, the over payment shall be credited to the account of the grower.
  7. Dry beans stored in private or public storage within the state shall not be liable for an assessment under this section until a sale of the beans is made.
  8. A grower who through his activities also qualifies as a handler under this act or a grower who ships, sells or otherwise disposes of beans to a handler or for storage outside of the jurisdiction of this act shall remit to the department the full amount of the assessment due under this section. Dry beans which originate from any other state that collects a similar assessment and the state bases the assessment on the location of the first sale shall be treated as if they were grown within Wyoming if the beans are handled first by a Wyoming handler. Not later than November 1 each year, the commission shall determine any states that collect a similar assessment as provided under this section and shall notify all handlers of those states.

History. Laws 2015, ch. 148, § 1.

§ 11-50-107. Refund.

  1. Any person who has paid any assessment as provided in this act is entitled to a prompt refund of the contribution from the commission upon request. A claim for a refund shall be made to the commission not less than thirty (30) nor more than ninety (90) days from the date of the sale upon which the assessment was based. The claim shall be made on a form prescribed and furnished by the commission. No assessment paid by a handler is refundable under this section unless the grower has also claimed a refund under this section for the matching portion of the assessment.
  2. Before processing any claim for refund under this section, the commission may require any additional information or affirmation under penalty of perjury it deems necessary to determine the validity of the claim.

History. Laws 2015, ch. 148, § 1.

§ 11-50-108. Surety bond required to receive or disburse funds.

Any person authorized by the commission to receive or disburse funds, as provided by this act, shall post with the commission a surety bond in an amount the commission determines sufficient, for which the cost or premium shall be paid by the commission.

History. Laws 2015, ch. 148, § 1.

Chapter 51 Hemp Production

Effective date. —

Laws 2019, ch. 173, § 5, makes the act effective immediately upon completion of all acts necessary for a bill to become law as provided by art. 4, § 8 of the Wyo. Const. Approved March 8, 2019.

§ 11-51-101. Definitions.

  1. As used in this chapter:
    1. “Corrective action plan” means a plan the department develops in consultation with a licensee to correct any violation of this chapter;
    2. “Disposal” means activities to alter or treat hemp or hemp products that contain an amount of THC in excess of the amount authorized in this chapter to ensure that the THC is reduced to bring the hemp or hemp product into compliance with this chapter or, if compliance is not attainable, that the THC is rendered inaccessible;
    3. “Hemp” or “hemp product” means all parts, seeds and varieties of the plant cannabis sativa l., whether growing or not, or a product, derivative, extract, cannabinoid, isomer, acid, salt or salt of isomer made from that plant with a THC concentration of not more than three-tenths of one percent (0.3%) on a dry weight basis when using post-decarboxylation or another similarly reliable testing method;
    4. “Licensee” means a person licensed under this chapter to produce, process or test hemp;
    5. “Produce” means all acts necessary to produce and market hemp including, without limitation, planting, cultivating, harvesting, cloning, producing seeds, handling, transporting and selling;
    6. “Process” means converting hemp into another product that contains no more than three-tenths of one percent (0.3%) THC on a dry weight basis when using post-decarboxylation or another similarly reliable testing method;
    7. “THC” means tetrahydrocannabinol, the psychoactive component of the cannabis plant, with the scientific name trans-delta 9-tetrahydrocannabinol.

History. Laws 2019, ch. 173, § 1; 2020, ch. 149, § 1.

Effective date. —

Laws 2019, ch. 173, § 5, makes the act effective immediately upon completion of all acts necessary for a bill to become law as provided by art. 4, § 8 of the Wyo. Const. Approved March 8, 2019.

The 2020 amendment, in the introductory language of (a), (a)(i), (a)(ii), and (a)(iv), substituted “chapter” for “article” throughout.

Laws 2020, ch. 149, § 3, makes the act effective immediately upon completion of all acts necessary for a bill to become law as provided by art. 4, § 8, Wyo. Const. Approved March 24, 2020.

§ 11-51-102. Hemp as agricultural crop; use of hemp.

  1. Hemp is an agricultural crop in this state. Upon meeting the requirements of this chapter, a person may produce or process hemp.
  2. Notwithstanding the requirements of this chapter, the possession, purchase, sale, transportation and use of hemp and hemp products by any person is allowable without restriction.

History. Laws 2019, ch. 173, § 1; 2020, ch. 149, § 1.

Effective date. —

Laws 2019, ch. 173, § 5, makes the act effective immediately upon completion of all acts necessary for a bill to become law as provided by art. 4, § 8 of the Wyo. Const. Approved March 8, 2019.

The 2020 amendment, substituted “chapter” for “article” throughout.

Laws 2020, ch. 149, § 3, makes the act effective immediately upon completion of all acts necessary for a bill to become law as provided by art. 4, § 8, Wyo. Const. Approved March 24, 2020.

§ 11-51-103. Licensing.

  1. No person shall produce or process hemp unless the person has obtained a license from the department on a form provided by the department.
  2. The application for a license under this section shall include:
    1. The name and address of the applicant;
    2. The physical address and legal description of all land and property where the production or processing will occur;
    3. A statement that the applicant has not been convicted of or pled nolo contendre to a controlled substance felony within the past ten (10) years, or in the event the applicant is not an individual, a statement that no member, principal, officer or director of the applicant has been convicted of or pled nolo contendre to a controlled substance felony;
    4. Authorization for reasonable access by the department for inspections and verifications related to production or processing activities for which a licensee shall be assessed fees under W.S. 11-51-104(a); and
    5. Verification that the applicant is a business entity organized under the laws of Wyoming or a Wyoming resident, as defined by rule of the department.
  3. The department shall issue a license, or renewal thereof, which is valid for one (1) year if:
    1. The requirements of subsection (b) of this section are met including that the applicant has not been convicted of or pled nolo contendre to a controlled substance felony within the past ten (10) years; and
    2. Seven hundred fifty dollars ($750.00) is received for each annual license or renewal application. This fee shall be reduced to five hundred dollars ($500.00) for a nonprofit or educational organization.
  4. Licenses under this section may authorize producing hemp and processing hemp products at more than one (1) location for the same licensee.
  5. Any person possessing hemp or hemp products only for the purpose of testing THC levels may, but shall not be required to, obtain a license under this chapter.

History. Laws 2019, ch. 173, § 1; 2020, ch. 149, § 1.

Effective date. —

Laws 2019, ch. 173, § 5, makes the act effective immediately upon completion of all acts necessary for a bill to become law as provided by art. 4, § 8 of the Wyo. Const. Approved March 8, 2019.

The 2020 amendment, in (b)(iv) substituted “for inspections and verifications” for “for random inspections” and “activities for which a licensee shall be assessed fees under W.S. 11-51-104(a)” for “activities”; and in (e) substituted “chapter” for “article.”

Laws 2020, ch. 149, § 3, makes the act effective immediately upon completion of all acts necessary for a bill to become law as provided by art. 4, § 8, Wyo. Const. Approved March 24, 2020.

§ 11-51-104. Enforcement; fees; penalties.

  1. The department shall perform inspections and provide chemical sampling and analysis of production or processing activities by licensees to determine compliance with this chapter. The department may require verification of effective disposal by licensees of hemp or hemp products that contain in excess of three-tenths of one percent (0.3%) THC on a dry weight basis. For any sample, analysis or verification conducted under this subsection, the department shall assess the licensee fees as established by rule of the department, not to exceed the following:
    1. Two hundred dollars ($200.00) per sample conducted by the department;
    2. Two hundred dollars ($200.00) per analysis conducted by the department;
    3. Two hundred fifty dollars ($250.00) for verification of effective disposal of hemp or hemp products that contain in excess of three-tenths of one percent (0.3%) THC on a dry weight basis.
  2. Any licensee who violates any provision of this chapter or any regulation promulgated pursuant to this chapter shall be subject to a corrective action plan. The corrective action plan may include reporting requirements, additional inspections, suspension of a license, steps necessary to restore a license, requirements related to disposal of hemp or hemp products that contain in excess of three-tenths of one percent (0.3%) THC on a dry weight basis or providing notice of the violation to the licensee’s known creditors. The plan may require rendering THC inaccessible by using hemp or hemp products as a soil amendment material or by destruction of the hemp or hemp product as authorized by rule of the department.
  3. Any person who intentionally violates this chapter is guilty of a misdemeanor punishable by a fine of not more than seven hundred fifty dollars ($750.00), imprisonment for not more than six (6) months, or both.
  4. If any person has three (3) or more violations of this chapter or any regulation promulgated pursuant to this chapter within five (5) years, the department shall revoke the license and the person shall be ineligible for licensure under this article for five (5) years.

History. Laws 2019, ch. 173, § 1; 2020, ch. 149, § 1.

Effective date. —

Laws 2019, ch. 173, § 5, makes the act effective immediately upon completion of all acts necessary for a bill to become law as provided by art. 4, § 8 of the Wyo. Const. Approved March 8, 2019.

The 2020 amendment, in (a) redesignated (a) as the introductory language of (a) and substituted “chemical sampling and analysis of production or processing activities by licensees” for “chemical analysis of a random sample of licensees” and added the last two sentences; added (a)(i) through (a)(iii); in (b) through (d) substituted “chapter” for “article” throughout; and in (b) added “or providing notice of the violation to the licensee's known creditors” following “dry weight basis” and made a related change.

Laws 2020, ch. 149, § 3, makes the act effective immediately upon completion of all acts necessary for a bill to become law as provided by art. 4, § 8, Wyo. Const. Approved March 24, 2020.

§ 11-51-105. Rules; agreements; research activities.

  1. The department shall adopt rules necessary to implement the provisions of this chapter.
  2. The department may enter into agreements with tribal governments related to hemp production and the processing of hemp products.
  3. The department, the University of Wyoming and Wyoming community colleges may produce or process hemp for research purposes.

History. Laws 2019, ch. 173, § 1; 2020, ch. 149, § 1.

Effective date. —

Laws 2019, ch. 173, § 5, makes the act effective immediately upon completion of all acts necessary for a bill to become law as provided by art. 4, § 8 of the Wyo. Const. Approved March 8, 2019.

The 2020 amendment, in (a) substituted “chapter” for “article.”

Laws 2020, ch. 149, § 3, makes the act effective immediately upon completion of all acts necessary for a bill to become law as provided by art. 4, § 8, Wyo. Const. Approved March 24, 2020.

§ 11-51-106. Disposition of fees.

All fees collected under this chapter shall be deposited with the state treasurer in a separate account which is continuously appropriated to the department for the administration of this chapter.

History. Laws 2019, ch. 173, § 1; 2020, ch. 149, § 1.

Effective date. —

Laws 2019, ch. 173, § 5, makes the act effective immediately upon completion of all acts necessary for a bill to become law as provided by art. 4, § 8 of the Wyo. Const. Approved March 8, 2019.

The 2020 amendment, substituted “chapter” for “article” throughout.

Laws 2020, ch. 149, § 3, makes the act effective immediately upon completion of all acts necessary for a bill to become law as provided by art. 4, § 8, Wyo. Const. Approved March 24, 2020.

§ 11-51-107. Exception if this chapter is not implemented.

Nothing in this chapter shall preclude any person from applying for and receiving authorization to produce and process hemp from another authorized entity if the department does not receive authority to do so or is otherwise not implementing this chapter.

History. Laws 2019, ch. 173, § 1; 2020, ch. 149, § 1.

Effective date. —

Laws 2019, ch. 173, § 5, makes the act effective immediately upon completion of all acts necessary for a bill to become law as provided by art. 4, § 8 of the Wyo. Const. Approved March 8, 2019.

The 2020 amendment, substituted “chapter” for “article” throughout.

Laws 2020, ch. 149, § 3, makes the act effective immediately upon completion of all acts necessary for a bill to become law as provided by art. 4, § 8, Wyo. Const. Approved March 24, 2020.