Chemical Weapons Working Group, Inc. v. United States Department of Defense , 61 F. App'x 556 ( 2003 )


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  •                                                                         F I L E D
    United States Court of Appeals
    Tenth Circuit
    UNITED STATES COURT OF APPEALS
    MAR 18 2003
    TENTH CIRCUIT
    PATRICK FISHER
    Clerk
    CHEMICAL WEAPONS WORKING
    GROUP, INC.; SIERRA CLUB;
    VIETNAM VETERANS OF
    AMERICA FOUNDATION,
    Plaintiffs - Appellants,
    No. 00-4110
    v.                                              (D.C. No. 2:96-CV-425-C)
    (D. Utah)
    UNITED STATES DEPARTMENT
    OF DEFENSE; UNITED STATES
    DEPARTMENT OF THE ARMY;
    EG&G DEFENSE MATERIALS,
    INC.,
    Defendants - Appellees.
    ORDER AND JUDGMENT            *
    Before HENRY , McWILLIAMS , and LUCERO , Circuit Judges.
    The appellants are three non-profit public interest groups. The appellees
    are two federal agencies and a corporation retained by the Department of Defense
    *
    This order and judgment is not binding precedent, except under the
    doctrines of law of the case, res judicata, and collateral estoppel. The court
    generally disfavors the citation of orders and judgments; nevertheless, an order
    and judgment may be cited under the terms and conditions of 10th Cir. R. 36.3.
    to operate a chemical agent disposal facility. The appellants brought suit under
    the Resource Conservation and Recovery Act (RCRA), 
    42 U.S.C. § 6972
    , and
    other environmental statutes in federal district court, seeking legal and equitable
    relief based on alleged violations at the facility. After a bench trial, the district
    court dismissed the action. We exercise jurisdiction under 
    28 U.S.C. § 1291
           and,
    for the reasons described below, affirm.
    I. BACKGROUND
    The appellees jointly operate the Tooele Chemical Agent Disposal Facility
    (TOCDF) in Tooele, Utah.        TOCDF destroys dangerous chemical agents, using a
    variety of monitoring and alarm systems to prevent those agents from migrating to
    unsafe areas within the facility and from escaping into the atmosphere in
    dangerous concentrations. In denying preliminary injunctive relief, we described
    in some detail the technical and historical facts relevant to this case.   See
    Chemical Weapons Working Group, Inc. v. United States Department of the Army,
    
    111 F.3d 1485
     (10th Cir. 1997), aff’g 
    935 F. Supp. 1206
     (D. Utah 1996); see also
    Sierra Club v. Utah Solid and Hazardous Waste Control Bd., 
    964 P.2d 335
     (Utah
    Ct. App. 1998). We therefore need not repeat those facts here.
    In their initial complaint and three amended complaints, the appellants
    alleged that the operations at TOCDF violated various environmental statutes.
    -2-
    The appellants alleged that violations occurred from 1996 to 1999 and asserted
    generally that environmental harm would continue in the future. After a bench
    trial that included extensive expert testimony (most of which was offered by the
    appellees), the district court issued a judgment that included fifteen pages of
    findings of fact along with conclusions of law. The district court concluded that
    “the evidence at trial established that no agent-related injuries have been
    sustained and no agent has been released into the environment outside TOCDF.”
    Aplts’ App. at A-378 (Dist. Ct. Order, filed Apr. 14, 2000). The appellants assert
    that the district court erred in: (A) dismissing claims under 
    42 U.S.C. § 6972
    (a)(1)(A) as “wholly past,” (B) dismissing claims under 
    42 U.S.C. § 6972
    (a)(1)(B) as not posing an imminent or significant danger, (C) making
    inadequate findings under Fed. R. Civ. P. 52, (D) failing to consider certain
    “admissions” by appellees, and (E) failing to draw adverse inferences from the
    appellees’ failure to submit certain evidence during trial.   1
    1
    We note with disappointment that–of the five issues asserted on
    appeal–the appellants’ brief provided a standard of review only for the fourth of
    those issues. See Fed R. App. P. 28(a)(9)(B).
    We also feel compelled to point out that the appellants cited at least one
    unpublished opinion in their brief. See Aplts’ Br. at 43 (citing Jordan F. Miller
    Corp. v. Mid-Continent Aircraft Service Inc., 
    1998 WL 68879
     (10th Cir. Feb. 20,
    1998)). As our rules specify, citation to unpublished cases is disfavored. See
    10th Cir. R. 36.3(B) (specifying two circumstances under which unpublished
    opinions may be cited, neither of which apply here). Having chosen to violate
    that rule, the appellants then failed to attach a copy of the unpublished opinion to
    (continued...)
    -3-
    II. ANALYSIS
    On appeal from a bench trial, we review de novo the district court’s
    conclusions of law. Dang v. UNUM Life Ins. Co. of Am., 
    175 F.3d 1186
    , 1189
    (10th Cir. 1999). But unsurprisingly, “[f]indings of fact, whether based on oral or
    documentary evidence, shall not be set aside unless clearly erroneous, and due
    regard shall be given to the opportunity of the trial court to judge of the
    credibility of the witnesses.” Fed. R. Civ. P. 52(a). “[R]eview under the ‘clearly
    erroneous’ standard is significantly deferential.” Concrete Pipe & Prods. of Cal.
    v. Constr. Laborers Pension Trust, 
    508 U.S. 602
    , 623 (1993).
    A.    “Wholly Past” Violations
    The appellants assert that the district court erroneously dismissed four of
    their claims for failing to meet the standards set forth in RCRA, which authorizes
    citizen suits against “any person (including (a) the United States, and (b) any
    other governmental instrumentality or agency . . .) who is alleged to be in
    violation of any permit, standard, regulation, condition, requirement, prohibition,
    1
    (...continued)
    the document in which it was cited, in violation of 10th Cir. R. 36.3(C).
    -4-
    or order which has become effective pursuant to this chapter.” 
    42 U.S.C. § 6972
    (a)(1)(A).
    The wording of this and other environmental statutes–specifically, the
    phrase “is alleged to be in violation”–creates some uncertainty as to whether the
    violation must be ongoing at the time of the allegation. In Gwaltney of
    Smithfield, Ltd. v. Chesapeake Bay Foundation, Inc., 
    484 U.S. 49
     (1987), the
    Supreme Court addressed this issue in the context of the Clean Water Act, 
    33 U.S.C. § 1365
    (a). 
    484 U.S. at 56
    . There, the Supreme Court interpreted “alleged
    to be in violation” to require that appellants allege a state of “continuous or
    intermittent violation.” 
    Id. at 57
    . “Wholly past violations” are not covered by the
    phrase, and citizen suits for wholly past violations are therefore not authorized by
    the statute. 
    Id. at 64
    . The Court noted that identical language was used in RCRA.
    
    Id. at 57
    .
    The district court observed that the Tenth Circuit has not yet addressed the
    question of whether the “wholly past” doctrine applies to RCRA; but it pointed
    out that every other circuit to have addressed the issue (and every district court in
    the circuits that have not addressed the issue) has held that Gwaltney applies to
    RCRA. Aplts’ App. at A-394 to A-395; 
    id.
     at A-395 n.13. The appellants here,
    in fact, do not dispute Gwaltney’s applicability to their RCRA claims. We
    therefore need not address that issue, and we assume that the legal standard
    -5-
    employed by the district court now constitutes the law of the case. See, e.g.,
    Coca-Cola Bottling Co. of Ogden v. Coca-Cola Co., 
    4 F.3d 930
    , 933 n.3 (10th
    Cir. 1993).
    The appellants argue instead that the claims rejected by the district court
    were not wholly past violations. They claim that the violations could not have
    been wholly past because none of them had yet occurred as of the filing date of an
    earlier version of their complaint. See Aplts’ Br. at 31-35. That is, in their
    second amended complaint, the appellant’s alleged in general terms that
    violations were likely to occur in the future. The appellants then waited until–as
    is all but inevitable in an imperfect world, and under the overlapping safety
    systems in place at TOCDF–an alarm went off, at which point they filed their
    third amended complaint. They now attempt to insulate themselves from
    Gwaltney by noting that their second amended complaint was filed on a date
    before the violation, and they justify their lack of specificity therein by noting
    that they are not “psychic” and thus could not predict the exact date of the
    violation. Id. at 31.
    The appellants misconstrue Gwaltney, where the Court understood that a
    plaintiff’s case might be frustrated by a “suddenly repentant defendant,” 
    484 U.S. at
    67 n.6, one who predictably begins to comply with the law only after the onset
    of the litigation. Here, by contrast, the appellants argue that their predictions of
    -6-
    future violations in one iteration of their complaint were borne out years later and
    were then included in a later iteration of their complaint. This, the appellants
    seem to suggest, prevents the specific violation from ever being deemed “wholly
    past,” because it was not “past” when they predicted it in their earlier complaint.
    This is an inventive argument, but it is ultimately unpersuasive. The
    district court was simply correct in determining that the alleged violations are
    neither continuous nor intermittent violations. All of the appellants’ specific
    claims involved discrete past incidents of alleged misconduct–incidents that were,
    we note, followed not only by efforts to assess whether any damage was done, but
    also by improvements in the facility’s procedures to prevent even those
    (thankfully) harmless violations from occurring again. These violations,
    therefore, are “wholly past” in the sense that the Gwaltney court used the term:
    violations that have ceased, not because of the onset of litigation but because the
    defendants had already corrected what they were doing. 2
    2
    The appellants also reassert a separate claim that the appellees
    violated relevant permit requirements by not including the private contractor
    EG&G on the original permit. Appellants are correct that Gwaltney does not
    apply to this claim, because the violation was ongoing when the original
    complaint was filed (and the original complaint specifically alleged this
    violation). In a separate proceeding, the district court dismissed this claim on the
    grounds of collateral estoppel. Chemical Weapons Working Group, Inc. v. U.S.
    Dept. of the Army, 
    990 F. Supp. 1316
    , 1320 (D. Utah 1997). Subsequently, the
    Utah Court of Appeals held that–although the Utah Solid and Hazardous Waste
    Control Board erred in concluding that EG&G did not need a permit–the Board
    (continued...)
    -7-
    B.    Imminent or Significant Danger
    The Act also authorizes citizen suits “against any person, including the
    United States . . . who has contributed . . . to the past or present handling, storage,
    treatment, transportation, or disposal of any solid or hazardous waste which may
    present an imminent and substantial endangerment to health or the environment.”
    
    42 U.S.C. § 6972
    (a)(1)(B).   The appellants assert that the district court erred in
    requiring them to prove that the appellees’ actions “present an imminent and
    substantial endangerment to health or the environment” because this phrase
    in RCRA is prefaced by the word “may.” According to the appellants, the word
    “may” in this sentence allows for allegations of potential or future harm, such that
    a showing of actual harm is not required. See Aplts’ Br. at 19-21; Dague v. City
    of Burlington, 
    935 F.2d 1343
    , 1355 (2d Cir. 1991) (stating that “may” is
    “expansive language”).
    That the district court omitted the word “may” in its order does not,
    however, demonstrate that it applied a test requiring actual current harm, as the
    2
    (...continued)
    was not unreasonable in declining to punish EG&G for the violation. See Sierra
    Club, 
    964 P.2d at 346
    . Therefore, the appellants are estopped from relitigating
    the issue in search of a different remedy. See Harline v. Barker, 
    912 P.2d 433
    ,
    442 (Utah 1996) (“Issue preclusion prevents the relitigation of issues that have
    once been adjudicated even though the claims for relief in the separate actions
    may be different.”)
    -8-
    appellants claim. Rather, the district court’s language suggests that it was
    thinking not only about harm that had occurred, but about the possibility that
    harm would occur in the future. In its discussion of the § 6972(a)(1)(B) claims,
    for example, the district court discussed safety measures implemented “to prevent
    similar incidents from occurring.” Aplts’ App. at A-396.
    Moreover, although such a reading of the statute implies future orientation,
    that orientation cannot be very far into the future. “Imminent” harm by definition
    will occur almost immediately if action is not taken to prevent it. See Meghrig v.
    KFC Western, Inc., 
    516 U.S. 479
    , 485 (1996). A vague possibility of future harm
    cannot satisfy the statute, which applies to dangers that are both “imminent and
    substantial.” 
    42 U.S.C. § 6972
    (a)(1)(B). For example, the appellants assert in
    their third amended complaint that “it is expected that such incidents will
    continue to occur,” Aplts’ App. at A-361, an open-ended allegation that simply
    does not satisfy the standards in RCRA. Finally, although the appellants cite
    caselaw from other circuits, they do not cite the more recent Meghrig decision,
    where the Supreme Court held that “[a]n endangerment can only be imminent if it
    threaten[s] to occur immediately[, which] implies that there must be a threat
    which is present now, although the impact of the threat may not be felt until
    later.” 
    Id. at 485-86
     (quotations omitted).
    -9-
    The appellants’ argument, if adopted, would threaten to convert RCRA into
    a strict liability statute. However, Congress expressly limited citizen suits to
    cases of “imminent and substantial endangerment to health or the environment.”
    
    42 U.S.C. § 6972
    (a)(1)(B). We agree with the district court that the appellants
    did not show imminent danger and that their claims therefore lacked merit.
    C.    Adequacy of Findings
    The appellants assert that the district court failed to rule on and/or did not
    make adequate findings with respect to various claims, in violation of Fed. R.
    Civ. P. 52(a). That rule does not, however, require “elaborate and detailed
    findings and conclusions.” Woods Constr. Co. v. Pool Constr. Co., 
    314 F.2d 405
    ,
    406 (10th Cir. 1963). In a case as complex as this one, made more difficult by the
    length of the various complaints, the district court should not be required to
    respond to every specific factual allegation made by the appellants. 3 Some issues
    are sufficiently disposed of in general terms. See, e.g., Anthony v. Texaco, Inc.,
    
    803 F.2d 593
    , 600 (10th Cir. 1986) (approving lack of specific findings were “the
    3
    We do not, of course, intend to condemn the appropriate use of the
    procedure to amend complaints. See Fed. R. Civ. P. 15(a) (leave to amend “shall
    be freely given when justice so requires”). Nor do we suggest that lengthy
    complaints are never necessary. We do, however, find the various iterations of
    the appellants’ complaint here to be needlessly confusing and
    overlapping–especially given the appellants’ attempt to rely on different versions
    of their complaint to support their legal argument.
    -10-
    record on appeal supports the court’s order and indicates the court heard evidence
    on each element”). We hold that the findings and conclusions of the district court
    were “sufficiently detailed and exact to permit an intelligent review.” Med. Dev.
    Co. v. Ind. Molding Corp., 
    479 F.2d 345
    , 349 (10th Cir. 1973).
    D.    Failure to Consider Appellees’ “Admissions”
    The appellants further claim that the district court failed to consider certain
    “admissions” by the appellees. We note initially that some of the supposed
    “admissions” involve possible harm to workers at the facility. The appellants
    lack standing to make these claims because no TOCDF worker is a named
    plaintiff and appellants have demonstrated no direct injury to themselves. See
    Friends of the Earth, Inc. v. Laidlaw Envtl. Servs. (TOC), 
    528 U.S. 167
    , 181–82
    (2000). Other “admissions” involve instances when trace amounts of agent
    migrated into different areas of TOCDF, the implications of which are certainly
    open to plausible alternative interpretations. The appellants point to nothing in
    the record that would indicate that the district court’s interpretation of these
    “admissions” was implausible–especially given that the migrations were within
    the plant and thus do not unequivocally evidence a danger to the public.
    Accordingly, the district court did not clearly err in concluding that these
    “admissions” did not involve substantial harm to health or the environment.
    -11-
    E.    Failure to Draw Adverse Inferences
    Finally, the appellants argue that the district court erred in not drawing an
    adverse inference from the appellees’ failure to offer into evidence at trial the
    results of laboratory tests of certain air monitoring devices in the facility. The
    appellants assert that the report was listed as an exhibit in the pre-trial order but
    was “not offered at trial after Plaintiffs’ counsel . . . elicited admissions from
    Defendants’ employees that . . . the chain of custody was intentionally not
    maintained when it could have been.” Aplts’ Br. at 42. The appellants argue that
    the district court “should have drawn an adverse inference to the effect that . . .
    the results would have confirmed that a [violation occurred].” Id. at 43.
    The appellants’ cited authority on this point is inapposite. They first cite
    Ready Mixed Concrete v. National Labor Relations Board, 
    81 F.3d 1546
     (10th
    Cir. 1996), where we simply approved of the NLRB’s use of the adverse inference
    rule and noted in passing that the rule had also been applied in other civil
    contexts. 
    Id. at 1552
    . Moreover, in that opinion we cited with approval a case
    from a sister circuit for the proposition that the “decision whether to draw the
    adverse inference lies with the factfinder.” Ready Mixed Concrete, 
    81 F.3d at
    1552 (citing United Auto Workers Int’l Union v. National Labor Relations Board,
    
    459 F.2d 1329
    , 1339 (D.C. Cir. 1972)). The factfinder here was, of course, the
    -12-
    court itself, which makes the appellants’ citation to another of our cases still more
    confusing. In Gilbert v. Cosco, Inc., 
    989 F.2d 399
     (10th Cir. 1993), we reviewed
    a trial court’s decision not to instruct a jury on the adverse inference rule. We
    noted that the adverse inference rule merely permits a jury to draw adverse
    inferences, 
    id. at 405
    , and we approved the judge’s decision not to accept the
    plaintiffs’ proposed jury instruction on adverse inferences. 
    Id. at 406
    . Most
    importantly, we stated that the adverse inference rule should only be invoked
    when, among other requirements, “the evidence is available to the suppressing
    party, but not to the party seeking production [and] it appears that there has been
    actual suppression or withholding of evidence.” 
    Id.
     4
    We thus find no error in the district court’s determination that the
    appellees’ failure to present certain evidence did not mandate a verdict for the
    appellants. The appellants possessed and could have offered into evidence the
    appellee’s documentation of that analysis. Their decision not to do so cannot
    constitute error on the part of the district court.
    4
    Even the unpublished case to which the appellants refer, Jordan F.
    Miller Corp. v. Mid-Continent Aircraft Service Inc., 
    1998 WL 68879
     (10th Cir.
    Feb. 20, 1998), notes that “an adverse inference instruction would not have been
    appropriate [where] there was no evidence of bad faith.” 
    Id. at **7
    .
    -13-
    ***
    We are cognizant of the serious nature of the appellants’ allegations in this
    case. It is understandable that people living near TOCDF would be worried about
    the possibility of poisonous gases escaping into their immediate environment.
    Therefore, it is entirely appropriate to scrutinize carefully the activities at TOCDF
    and similar facilities , and to deal with violations properly. The issues that the
    appellants raise on this appeal, and the laws and precedents under which we must
    evaluate those issues, however, clearly require us to affirm the district court’s
    ruling. 5
    III. CONCLUSION
    For the reasons discussed above, we AFFIRM the district court’s judgment
    for the appellees and its dismissal of the cause of action.
    ENTERED FOR THE COURT
    Robert Henry
    Circuit Judge
    5
    We note also that a complaint relying on a more appropriate
    environmental statute might have better served the appellants’ apparent purposes.
    “Unlike the Comprehensive Environmental Response, Compensation, and
    Liability Act of 1980 (CERCLA), RCRA is not principally designed to effectuate
    the cleanup of toxic waste sites or to compensate those who have attended to the
    remediation of environmental hazards.” Meghrig, 
    516 U.S. at 483
     (citation
    omitted).
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