Ecological Rights Foundation v. Pacific Gas & Electric Co. , 874 F.3d 1083 ( 2017 )


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  •                       FOR PUBLICATION
    UNITED STATES COURT OF APPEALS
    FOR THE NINTH CIRCUIT
    ECOLOGICAL RIGHTS                                  No. 15-15424
    FOUNDATION,
    Plaintiff-Appellant,                    D.C. No.
    3:10-cv-00121-RS
    v.
    PACIFIC GAS & ELECTRIC                                OPINION
    COMPANY,
    Defendant-Appellee.
    Appeal from the United States District Court
    for the Northern District of California
    Richard Seeborg, District Judge, Presiding
    Argued and Submitted February 17, 2017
    San Francisco, California
    Filed November 2, 2017
    Before: Marsha S. Berzon and Richard R. Clifton, Circuit
    Judges, and Kimberly J. Mueller,* District Judge.
    Opinion by Judge Berzon
    *
    The Honorable Kimberly J. Mueller, United States District Judge for
    the Eastern District of California, sitting by designation.
    2            ECOLOGICAL RIGHTS FOUND. V. PG&E
    SUMMARY**
    Environmental Law
    The panel affirmed in part and reversed in part the district
    court’s summary judgment in favor of the Pacific Gas &
    Electric Company in a citizen suit brought under the
    Resource Conservation and Recovery Act, seeking to limit
    PG&E’s indirect and direct stormwater discharges of wood
    treatment chemicals from various of its facilities into San
    Francisco and Humboldt Bays.
    First, the panel held that plaintiff Ecological Rights
    Foundation had organizational standing to sue PG&E
    regarding its disposal activities at its Hayward facility.
    Reversing in part, the panel held that RCRA’s anti-
    duplication provision, 
    42 U.S.C. § 6905
    (a), did not preclude
    RCRA’s application to the stormwater discharges at issue.
    The Clean Water Act allows but does not require the
    Environmental Protection Agency to require National
    Pollution Discharge Elimination permits before such
    discharges are allowed; EPA has decided not to require
    permits. The panel held that the language of the anti-
    duplication provision, its context, and persuasive authorities
    interpreting the provision required a determination of whether
    the CWA actually imposed any specific statutory
    requirements on PG&E’s stormwater discharges, and, if so,
    whether those requirements were inconsistent with any
    possible remedy under EcoRights’ RCRA suit. The panel
    **
    This summary constitutes no part of the opinion of the court. It has
    been prepared by court staff for the convenience of the reader.
    ECOLOGICAL RIGHTS FOUND. V. PG&E                  3
    held that, because the CWA and its implementing regulations
    did not require PG&E to obtain a permit for its stormwater
    discharges, there was no CWA-grounded requirement here
    imposed, and so none could be inconsistent with the RCRA
    citizen suit section. The panel further held that PG&E’s
    stormwater discharges were not subject to CWA requirements
    via the municipal storm sewer system permits required of and
    held by local government agencies.
    The panel affirmed the district court’s grant of summary
    judgment in favor of PG&E on EcoRights’ RCRA claim
    regarding pollutants dispersed by tracking on vehicle tires.
    The panel remanded for the district court to consider
    EcoRights’ arguments with respect to the stormwater
    pathway that the relevant wastes are “solid wastes” and that
    PG&E’s actions present an imminent and substantial
    endangerment to health or the environment under RCRA.
    COUNSEL
    Jason R. Flanders (argued), Aqua Terra Aeris Law Group,
    Oakland, California; Christopher Sproul, Environmental
    Advocates, San Francisco, California; for Plaintiff-Appellant.
    Bradley Rochlen (argued), J. Michael Showalter, and Russell
    B. Selman, Schiff Hardin LLP, Chicago, Illinois, for
    Defendant-Appellee.
    Judy B. Harvey (argued) and Aaron Avila, Environment &
    Natural Resources Division, United States Department of
    Justice, Washington, D.C., for Amicus Curiae United States.
    4         ECOLOGICAL RIGHTS FOUND. V. PG&E
    OPINION
    BERZON, Circuit Judge:
    According to the complaint in this case, the Pacific Gas
    & Electric Company (PG&E) disperses wood treatment
    chemicals from various of its facilities into San Francisco and
    Humboldt Bays via indirect and direct stormwater discharges.
    The Clean Water Act (“CWA”), 
    33 U.S.C. §§ 1251
     et seq.,
    allows but does not require the federal Environmental
    Protection Agency (“EPA”) to require permits before such
    discharges are allowed; EPA has decided not to require
    permits.
    Our principal question is whether the citizen suit
    provision of a different statute, the Resource Conservation
    and Recovery Act (“RCRA”), 
    42 U.S.C. §§ 6901
     et seq., may
    be applied to limit such discharges, or whether RCRA’s “anti-
    duplication” provision, 
    42 U.S.C. § 6905
    (a), precludes
    RCRA’s application because of EPA’s unexercised authority
    to regulate the discharges. The district court determined that
    RCRA’s anti-duplication provision does preclude that
    statute’s application to the stormwater discharges here at
    issue. We do not agree.
    I. Statutory Background
    At the heart of this case is the overlap between two
    statutory schemes, the Resource Conservation and Recovery
    Act and the Clean Water Act. We begin by outlining the
    statutes and identifying the provisions most relevant here.
    ECOLOGICAL RIGHTS FOUND. V. PG&E                   5
    A. The CWA and stormwater discharges
    The Clean Water Act, enacted in 1972 as an amendment
    to the Federal Water Pollution Control Act, was designed “to
    restore and maintain the chemical, physical, and biological
    integrity of the Nation’s waters.” 
    33 U.S.C. § 1251
    (a); see
    Federal Water Pollution Control Act Amendments of 1972,
    Pub. L. No. 92-500, 
    86 Stat. 816
    . The CWA generally
    prohibits the unregulated “discharge of any pollutant” from
    any “point sources” into the navigable waters of the United
    States, although such discharges are allowed if made in
    compliance with a CWA permit program. 
    33 U.S.C. § 1311
    (a), (e).
    The principal permitting program, the National Pollution
    Discharge Elimination System (“NPDES”), is defined in
    CWA section 402, 
    33 U.S.C. § 1342
    . EPA or EPA-
    authorized states, including California, issue and enforce
    permits under the program. See 
    33 U.S.C. § 1342
    (b); Nat.
    Res. Def. Council, Inc. v. Cty. of Los Angeles, 
    725 F.3d 1194
    ,
    1198 (9th Cir. 2013). California has authorized regional
    water boards to act as NPDES permitting authorities. 
    Id.
     at
    1198–99.
    After the CWA’s passage in 1972, EPA categorically
    exempted stormwater from NPDES permit regulations. In
    1977, however, the D.C. Circuit held that categorical
    exemption invalid. NRDC v. Costle, 
    568 F.2d 1369
    , 1377
    (D.C. Cir. 1977). Ten years after Costle, Congress amended
    the CWA to address the NPDES permitting of stormwater
    discharges. See Water Quality Act of 1987, Pub. L. No. 100-
    4 § 405, 
    101 Stat. 7
     , 69–71 (codified at 
    33 U.S.C. § 1342
    (p)).
    6            ECOLOGICAL RIGHTS FOUND. V. PG&E
    Specifically, the 1987 Act established a moratorium on
    NPDES permit requirements for most types of stormwater
    discharges. 
    33 U.S.C. § 1342
    (p)(1), (p)(2); see Decker v. Nw.
    Envtl. Def. Ctr., 
    568 U.S. 597
    , 603 (2013). Exempted from
    this moratorium were discharges from industrial activity,
    large and medium-sized municipal storm sewer systems, and
    sources previously subject to permits.1            
    33 U.S.C. § 1342
    (p)(2)(A)–(D). The Act also directed EPA to develop
    and implement permit procedures for exempted discharges.
    
    33 U.S.C. § 1342
    (p)(3), (p)(4). EPA’s regulations under that
    directive became known as “Phase I Regulations.” See, e.g.,
    Envtl. Def. Ctr., Inc. v. U.S. EPA, 
    344 F.3d 832
    , 842 (9th Cir.
    2003).
    The 1987 Act also identified the next phase of stormwater
    requirements, which became known as “Phase II.” See 
    id. at 840
    . During that phase, EPA was required to “designate
    stormwater discharges . . . to be regulated” and then to
    “establish a comprehensive program to regulate such
    designated sources.” 
    33 U.S.C. § 1342
    (p)(6). EPA was
    directed to, “at a minimum, (A) establish priorities,
    (B) establish requirements for State stormwater management
    programs, and (C) establish expeditious deadlines.” 
    Id.
     The
    Act authorized EPA to implement this program by setting
    “performance standards, guidelines, guidance, and
    management practices and treatment requirements,” 
    id.,
     and,
    as needed, by imposing permit requirements, Envr. Def. Ctr.,
    
    344 F.3d at 844
    .
    1
    Additionally, EPA was authorized to require permits on a case-by-
    case basis for any source it determined to be a “contribut[or] to a violation
    of a water quality standard or . . . a significant contributor of pollutants to
    waters of the United States.” 
    33 U.S.C. § 1342
    (p)(2)(E).
    ECOLOGICAL RIGHTS FOUND. V. PG&E                   7
    EPA promulgated its “Phase II Regulations” in 1999. See
    National Pollutant Discharge Elimination System—
    Regulations for Revision of the Water Pollution Control
    Program Addressing Storm Water Discharges, 
    64 Fed. Reg. 68,722
     (Dec. 8, 1999) (“Phase II Regulations”). In those
    regulations, EPA designated only two categories of
    stormwater discharges as coming within its Phase II-required
    permitting program: discharges from small municipal sewer
    systems and discharges associated with small construction
    activity. 
    Id.
    PG&E’s stormwater discharges do not fall into either
    Phase II-regulated category. It is also common ground for
    purposes of this appeal that the Phase I Regulations—and all
    other relevant provisions in the CWA—do not require PG&E
    to get a permit for its stormwater discharges. See n. 6, infra.
    The upshot is that no CWA-grounded permit requirement
    applies to PG&E’s stormwater discharges.
    B. RCRA, citizen suits, and anti-duplication
    RCRA has a different focus than the CWA. RCRA “is a
    comprehensive environmental statute that governs the
    treatment, storage, and disposal of solid and hazardous
    waste.” Meghrig v. KFC W., Inc., 
    516 U.S. 479
    , 483 (1996).
    Enacted in 1976, RCRA aimed to
    eliminate[] the last remaining loophole in
    environmental law, that of unregulated land
    disposal of discarded materials and hazardous
    wastes. . . . [T]he [relevant] Committee
    believe[d] that [RCRA was] necessary if other
    environmental laws [were] to be both cost and
    environmentally effective. . . . [T]he federal
    8         ECOLOGICAL RIGHTS FOUND. V. PG&E
    government [was] spending billions of dollars
    to remove pollutants from the air and water,
    only to dispose of such pollutants on the land
    in an environmentally unsound manner . . . .
    often result[ing] in air pollution, subsurface
    leachate and surface run-off, which affect air
    and water quality.        [RCRA aimed to]
    eliminate this problem and permit the
    environmental laws to function in a
    coordinated and effective way.
    H.R. Rep. No. 94-1491, at 4 (1976), reprinted in 1976
    U.S.C.C.A.N. 6238, 6241–42.
    As here relevant, RCRA provides for private enforcement
    via citizen suit. It allows, first, for private actions against
    entities “alleged to be in violation of any permit, standard,
    regulation, condition, requirement, prohibition, or order
    which has become effective pursuant to [RCRA].” 
    42 U.S.C. § 6972
    (a)(1)(A). It also creates a private cause of action
    against a person “who has contributed or who is contributing
    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). We refer to the latter RCRA section in this
    opinion as the “endangerment provision.”
    The endangerment provision does not require a private
    plaintiff to show that the defendant’s actions violated any
    specific RCRA requirement or any RCRA-mandated order or
    permit. See Goldfarb v. Mayor & City Council of Baltimore,
    
    791 F.3d 500
    , 505 (4th Cir. 2015); see also AM Int’l, Inc. v.
    Datacard Corp., DBS, 
    106 F.3d 1342
    , 1349 (7th Cir. 1997).
    ECOLOGICAL RIGHTS FOUND. V. PG&E                          9
    Rather, the endangerment provision broadly permits relief
    “that ameliorates present or obviates the risk of future
    ‘imminent’ harms.” Meghrig, 
    516 U.S. at 486
    .
    Notwithstanding RCRA’s overarching goals and its
    expansive citizen suit provisions, RCRA does not supersede
    conflicting requirements established under other
    environmental statutes, including the CWA. Toward that
    end, RCRA section 1006 contains two provisions addressing
    the potential duplicative regulation that might otherwise
    result from RCRA’s application alongside substantively
    overlapping environmental statutes.
    First, the statute’s “integration”2 provision, RCRA
    section 1006(b)(1), requires:
    The [EPA] Administrator shall integrate all
    provisions of this chapter for purposes of
    administration and enforcement and shall
    avoid duplication, to the maximum extent
    practicable, with the appropriate provisions of
    the Clean Air Act, the Federal Water
    Pollution Control Act [i.e., CWA], the Federal
    Insecticide, Fungicide, and Rodenticide Act,
    the Safe Drinking Water Act, the Marine
    Protection, Research and Sanctuaries Act of
    1972, and such other Acts of Congress as
    2
    Although both RCRA section 1006 provisions, together, have
    sometimes been called RCRA’s “anti-duplication provisions,” see, e.g.,
    S.F. Herring Ass’n v. Pac. Gas & Elec. Co., 
    81 F. Supp. 3d 847
    , 865
    (N.D. Cal. 2015), we differentiate between the distinct provisions by
    referring only to section 1006(a) as RCRA’s “anti-duplication provision”
    and by using a separate moniker, “integration provision,” for RCRA
    section 1006(b)(1).
    10        ECOLOGICAL RIGHTS FOUND. V. PG&E
    grant regulatory authority to the
    Administrator. Such integration shall be
    effected only to the extent that it can be done
    in a manner consistent with the goals and
    policies expressed in this chapter and in the
    other acts referred to in this subsection.
    
    42 U.S.C. § 6905
    (b)(1) (emphasis added) (internal citations
    omitted).
    Second, the statute’s “anti-duplication” provision, RCRA
    section 1006(a), states:
    Nothing in this chapter shall be construed to
    apply to . . . any activity or substance which is
    subject to the Federal Water Pollution
    Control Act [i.e., CWA], the Safe Drinking
    Water Act, the Marine Protection, Research
    and Sanctuaries Act of 1972, or the Atomic
    Energy Act of 1954 except to the extent that
    such application (or regulation) is not
    inconsistent with the requirements of such
    Acts.
    
    42 U.S.C. § 6905
    (a) (emphasis added) (internal citations
    omitted). The RCRA anti-duplication section is the statutory
    focus of this appeal.
    II. Factual and Procedural Background
    A. Pleadings and Fact Discovery
    Ecological Rights Foundation (“EcoRights”) filed suit
    against PG&E under the citizen suit provisions of both the
    ECOLOGICAL RIGHTS FOUND. V. PG&E                 11
    CWA and RCRA. See 
    33 U.S.C. § 1365
    (a); 
    42 U.S.C. § 6972
    (a)(1)(B). In its operative complaint, EcoRights
    alleged that PG&E violated the CWA and RCRA by
    discarding toxic wood treatment chemicals at thirty-one of its
    Northern California corporation yards and service centers.
    Those facilities “provide service and maintenance on
    [PG&E’s] electric and gas distribution system.” According
    to the complaint, PG&E uses the service yards to store and
    handle new, used, and discarded wooden utility poles that
    have been treated with a wood preservative called
    pentachloraphenol (“PCP”). PCP contains dioxins, chemical
    impurities known to increase cancer risk and cause “adverse
    non-cancer effects in animals and humans,” including
    reproductive harms.
    Drilling, cutting, moving, and storing the treated wood,
    EcoRights alleged, leads to the spread of chemically treated
    sawdust and woodchips on the PG&E facilities’ grounds.
    Additionally, at some service facilities, PG&E treats new
    poles with PCP-infused oils and then cleans or stores the
    newly treated poles in a manner that allows excess oil to drip
    to the pavement. EcoRights further identified several
    methods of dispersal, or “pathways,” by which PG&E
    allowed or encouraged the PCP-infused waste to migrate
    from its facilities into San Francisco and Humboldt Bays
    (“the Bays”).
    EcoRights claimed that PG&E’s activities violated (1) the
    CWA, by discharging pollution into the waters of the United
    States without a permit, and (2) RCRA, by contributing to the
    handling, storage, or disposal of solid waste disposal which
    may present an imminent and substantial endangerment to
    health and the environment in and around the Bays.
    EcoRights’ RCRA claim rests on the allegation that PG&E’s
    12         ECOLOGICAL RIGHTS FOUND. V. PG&E
    stormwater conveyance systems or vehicle tires carried the
    PCP-infused waste offsite, with the result that the waste
    ended up in the Bays.
    The district court confined initial fact discovery to four of
    the thirty-one Northen California facilities listed in
    EcoRights’ complaint. The parties accordingly proceeded
    with discovery only as to one PG&E facility in Oakland, one
    in Hayward, and two in Eureka.
    B. Summary Judgment Orders
    After discovery concerning the four facilities, the parties
    filed cross-motions for partial summary judgment as to
    EcoRights’ standing. EcoRights’ RCRA claim was founded
    on PG&E’s “on-site waste disposal practices [that] present an
    imminent and substantial endangerment to health or the
    environment with respect to . . . San Francisco and Humboldt
    Bays.” Members of EcoRights filed declarations attesting
    that their aesthetic and recreational enjoyment of the Bays
    had been and would continue to be impaired by pollution
    traceable to PG&E discharges. Based on the member
    declarations, the district court concluded that EcoRights had
    organizational standing to pursue the RCRA claim.
    The parties next filed cross-motions for summary
    judgment on EcoRights’ claim that stormwater discharges
    from the facilities violated the CWA. Citizen suits against
    private parties under the CWA are authorized only for alleged
    violations of an effluent standard or limitation imposed under
    the statute—here, an alleged failure to obtain required
    NPDES permits. See 
    33 U.S.C. § 1365
    (a). The district court
    held that, under EPA’s Phase I Regulations addressing
    industrial activity, 
    40 C.F.R. § 122.26
    (b)(14), PG&E was not
    ECOLOGICAL RIGHTS FOUND. V. PG&E                    13
    required to obtain NPDES permits for stormwater discharges
    from the four facilities. The district court therefore granted
    PG&E’s motion for summary judgment on the CWA claim.
    Cross-motions for summary judgment on the RCRA
    claim followed. The district court held “[t]he basic facts
    regarding PG&E’s handling of utility poles at its facilities . . .
    largely undisputed, at least for the purposes of [the]
    motion[s].” The undisputed evidence, the district court held,
    indicated that (1) PCP-laden oils drip off of new poles that
    are stored outdoors on uncovered racks; (2) used poles are
    sometimes cut into smaller pieces at the facilities, leaving
    PCP-treated sawdust on the ground; and (3) all retired,
    chopped-up poles are supposed to be stored in watertight
    waste bins, but such PCP-treated waste products are
    sometimes left directly on the ground. In sum, the district
    court concluded, PCP oils and PCP-treated wood waste end
    up on the ground at the PG&E facilities.
    The district court divided its analysis of the RCRA claim
    into two parts, based on the two different “pathways” by
    which PCP-infused wastes allegedly travel offsite and into the
    Bays. The district court held, first, that the tire-tracking
    theory failed because EcoRights had not “come forward with
    actual evidence, as opposed to speculation,” regarding vehicle
    tracking at PG&E sites. Second, the district court concluded
    that EcoRights’ stormwater-based pathway failed because
    “there is no question that stormwater discharged from point
    sources like the PG&E facilities is subject to regulation under
    the Clean Water Act,” and it interpreted RCRA’s anti-
    duplication provision to prevent the creation under RCRA of
    “an additional avenue to impose a different regulatory
    requirement.” These holdings applied only to the four
    facilities for which discovery had occurred, but the district
    14        ECOLOGICAL RIGHTS FOUND. V. PG&E
    court noted that “the conclusions presumptively apply equally
    to the remaining sites.” In so disposing of the case, the
    district court did not decide whether the PCP-infused
    materials were “solid wastes” within the meaning of RCRA,
    or whether PG&E’s handling or disposal of the materials may
    present an “imminent and substantial endangerment to health
    or the human environment.”
    C. Appeal
    EcoRights appeals the grant of summary judgment to
    PG&E on the RCRA claim only. Its primary assertion is that
    the district court erroneously interpreted RCRA’s anti-
    duplication provision, RCRA section 1006(a). See 42 U.S.C.
    6905(a). EcoRights also appeals the denial of its motion for
    summary judgment on the RCRA claim with respect to both
    the stormwater and tire-tracking pathways.
    EPA filed a brief as amicus curiae and appeared at
    argument in support of EcoRights. EPA maintains that
    PG&E did not identify an actual inconsistency between the
    CWA and RCRA, and that the district court therefore erred in
    holding that RCRA’s anti-duplication provision restricted the
    reach of EcoRights’ citizen suit under RCRA.
    In its answering brief, PG&E disagrees with EcoRights
    and EPA as to the impact of the RCRA anti-duplication
    provision. PG&E also renews, with respect to the Hayward
    facility only, its argument that EcoRights lacks organizational
    standing to sue.
    ECOLOGICAL RIGHTS FOUND. V. PG&E                            15
    III. Standing
    We consider first whether EcoRights has standing to sue
    PG&E regarding PG&E’s disposal activities at its Hayward
    facility. It does.3
    To have organizational standing, at least one EcoRights
    member must “have standing to sue in [his] own right.”
    Ecological Rights Found. v. Pac. Lumber Co., 
    230 F.3d 1141
    ,
    1147 (9th Cir. 2000); see also Warth v. Seldin, 
    422 U.S. 490
    ,
    511 (1975). Thus, EcoRights must show that (1) a member
    “has suffered an ‘injury in fact’ that is (a) concrete and
    particularized and (b) actual or imminent, not conjectural or
    hypothetical; (2) the injury is fairly traceable to the
    challenged action of the defendant; and (3) it is likely, as
    opposed to merely speculative, that the injury will be
    redressed by a favorable decision.” Friends of the Earth, Inc.
    v. Laidlaw Envtl. Servs., TOC, Inc., 
    528 U.S. 167
    , 180–81
    (2000) (citing Lujan v. Defs. of Wildlife, 
    504 U.S. 555
    ,
    560–51 (1992)); see also Spokeo, Inc. v. Robins, 
    136 S.Ct. 1540
    , 1547–50 (2016).
    3
    PG&E did not need to file a cross-appeal to raise this standing
    argument. Where an appellee properly raised an argument in the district
    court and raises it on appeal in an effort “seek[ing] to preserve, and not to
    change, the judgment,” it need not file a cross-appeal. See Lee v.
    Burlington N. Santa Fe Ry. Co., 
    245 F.3d 1102
    , 1107 (9th Cir. 2001)
    (internal quotation marks and citations omitted). PG&E properly raised
    its standing argument in the district court. Its reiterated argument on
    appeal, if meritorious, would support the district court’s judgment as to the
    Hayward facility. There is no persuasive basis for distinguishing this type
    of partial support for the judgment from the general rule regarding when
    cross-appeals are necessary. We therefore apply the rule stated in Lee.
    16        ECOLOGICAL RIGHTS FOUND. V. PG&E
    PG&E maintains that EcoRights failed to demonstrate
    that any of its members suffered an injury in fact with respect
    to the Hayward facility. Not so.
    EcoRights presented declarations from several of its
    members alleging particularized harms resulting from
    pollution in the San Francisco Bay. In these declarations,
    some EcoRights members reported they “avoid” local
    seafood “due to . . . concerns about pollution in San Francisco
    Bay.” A member identified “activities, such as wading or
    swimming in the Bay, that I will not do because I am
    concerned about being exposed to the pollutants in the Bay,”
    another expressed similar concerns about “risk to [her]
    daughter’s health in regularly swimming in San Francisco
    Bay given the presence of pollutants.” One member noted
    that alleged pollution in the Bay “decreases my enjoyment of
    sailing in San Francisco Bay and my enjoyment of viewing
    birds and other wildlife in the San Francisco Bay,” and other
    bird- and wildlife-watching members agreed. One member,
    summarizing her concerns, stated that despite “gain[ing]
    significant personal feelings of well-being, including
    relaxation and spiritual enrichment from time spen[t] in
    unspoiled natural environments,” her “enjoyment of the Bay
    and its tributaries has been substantially diminished by . . .
    increasing knowledge of how polluted the Bay is, including
    from storm water runoff pollution.”
    PG&E maintains that these injury allegations are too
    generalized, as such injuries may be shared by millions of
    people who live in or travel to the San Francisco Bay Area.
    That contention falls short.
    “[T]he fact that a harm is widely shared does not
    necessarily render it a generalized grievance.” Novak v.
    ECOLOGICAL RIGHTS FOUND. V. PG&E                  17
    United States, 
    795 F.3d 1012
    , 1018 (9th Cir. 2015) (internal
    citations and quotation marks omitted). Rather, a grievance
    too “generalized” for standing purposes is one characterized
    by its “abstract and indefinite nature—for example, harm to
    the common concern for obedience to law.” 
    Id.
     (internal
    citation and quotation marks omitted). Here, several
    EcoRights members have attested to concrete and
    particularized harm to their own “recreational, aesthetic, and
    spiritual” uses and enjoyment of “the waters of San Francisco
    Bay adjacent to Alameda County and Central San Francisco
    Bay.” That alleged injury is neither abstract nor indefinite, so
    the generalized grievance bar does not apply.
    PG&E also proposes that for the alleged injury to be
    “credible,” EcoRights’ members must demonstrate that their
    uses or enjoyment of San Francisco Bay are near PG&E’s
    facilities. That contention too misses the mark.
    “The ‘injury in fact’ requirement in environmental cases
    is satisfied if an individual adequately shows that she has an
    aesthetic or recreational interest in a particular place, or
    animal, or plant species and that that interest is impaired by
    a defendant’s conduct.” Pac. Lumber Co., 
    230 F.3d at 1147
    .
    A proximity concern arises only where “a plaintiff claiming
    injury from environmental damage [fails to demonstrate] use
    [of] the area affected by the challenged activity,” and instead
    only shows that she uses “an area roughly ‘in the vicinity’ of
    it.” Lujan, 
    504 U.S. at
    565–66 (citation omitted) (emphasis
    added). Whether the members use an area near the source of
    environmental damage elsewhere is of no moment.
    Here, EcoRights’ RCRA suit is based on alleged
    endangerment to San Francisco Bay as a whole posed by
    PG&E’s onsite waste disposal practices at its facilities. So it
    18        ECOLOGICAL RIGHTS FOUND. V. PG&E
    suffices for EcoRights to demonstrate concrete and
    particularized injuries to its members’ aesthetic and
    recreational enjoyment of San Francisco Bay as a whole.
    At bottom, PG&E’s arguments appear to challenge as
    implausible the notion that polluted stormwater from the
    Hayward facility could possibly have an environmental
    impact on a body of water as large as San Francisco Bay.
    “Requiring the plaintiff to show actual environmental harm
    as a condition for standing,” however, “confuses the
    jurisdictional inquiry (does the court have power under
    Article III to hear the case?) with the merits inquiry (did the
    defendant violate the law?).” Pac. Lumber Co., 
    230 F.3d at 1151
    .
    Moreover, “[t]he ‘injury in fact’ requirement in
    environmental cases is not . . . reducible to inflexible,
    judicially mandated time or distance guidelines. . . .” 
    Id. at 1148
    . For instance, in Laidlaw, a Sierra Club member who
    “claimed only that he ‘had canoed’ on the river some
    40 miles downstream from the incinerator” afforded the
    Sierra Club standing to bring a CWA action against the
    incinerator’s owner. Pac. Lumber Co., 
    230 F.3d at
    1149
    (citing Laidlaw, 
    528 U.S. at 183
    ).
    By attesting to their reduced ability to enjoy eating local
    seafood in Bay Area restaurants, observing birds and other
    wildlife from the air or from the wetlands around Oakland
    Airport, or sailing and swimming safely in San Francisco
    Bay, among other harms, EcoRights members have alleged
    concrete and particularized injuries from the alleged
    migration of PCP and dioxins from PG&E’s Hayward facility
    to the affected area, San Francisco Bay. Whether that inflow
    of pollutants from PG&E’s Hayward facility is actually
    ECOLOGICAL RIGHTS FOUND. V. PG&E                19
    significant enough to harm the affected area is a merits
    question, not a standing question.
    IV. Stormwater Pathway
    We turn now to the core of this appeal—whether PG&E
    was entitled to summary judgment with respect to EcoRights’
    stormwater RCRA claim in light of RCRA’s anti-duplication
    provision. The district court reasoned that stormwater
    discharge into navigable waters is “subject to [the CWA]”
    under RCRA’s anti-duplication provision, 
    42 U.S.C. § 6905
    (a), in the sense that EPA could require NPDES
    permits for the types of stormwater discharges like those
    challenged here, although it has not.
    The anti-duplication provision in RCRA section 1006(a)
    does not reach so far. The language, context, and persuasive
    authorities interpreting that provision, we conclude, require
    us to determine whether the CWA actually imposes any
    specific statutory “requirements” on PG&E’s stormwater
    discharges, and, if so, whether those “requirements” are
    “inconsistent” with any possible remedy under EcoRights’
    RCRA citizen suit. 
    42 U.S.C. § 6905
    (a). That inquiry
    reveals that, because the CWA and its implementing
    regulations do not require PG&E to obtain a permit for its
    stormwater discharges, there is no CWA-grounded
    requirement here imposed, and so none can be inconsistent
    with the RCRA citizen suit section.
    A. Insufficiency of Potential Regulation As a Trigger of
    RCRA’s Anti-Duplication Provision
    To construe RCRA’s anti-duplication provision, we first
    consider whether its meaning is clear. See Avila v. Spokane
    20         ECOLOGICAL RIGHTS FOUND. V. PG&E
    Sch. Dist. 81, 
    852 F.3d 936
    , 941 (9th Cir. 2017). “The
    plainness or ambiguity of statutory language is determined by
    reference to the language itself, the specific context in which
    the language is used, and the broader context of the statute as
    a whole.” Geo–Energy Partners–1983 Ltd. v. Salazar,
    
    613 F.3d 946
    , 956 (9th Cir. 2010) (internal quotation marks
    and citation omitted).
    1. Text of RCRA’s Anti-Duplication Provision
    RCRA’s anti-duplication provision, section 1006(a),
    initially curtails RCRA’s application with respect to “any
    activity or substance which is subject to” the CWA, the Safe
    Drinking Water Act, the Atomic Energy Act, and the Marine
    Protection, Research and Sanctuaries Act. 
    42 U.S.C. § 6905
    (a). The provision then goes on to carve out a
    substantial exception: RCRA can overlap with the four named
    statutes to the extent that its application is “not inconsistent
    with the requirements” of those other statutes. See 
    id.
    “[I]nconsistent” is not defined in section 1006(a) or
    anywhere else in RCRA. See Goldfarb, 791 F.3d at 509–10.
    After consulting the dictionary definition of the term, the
    Fourth Circuit concluded that the “CWA must require
    something fundamentally at odds with what RCRA would
    otherwise require” to be “inconsistent” for the purposes of
    RCRA’s anti-duplication provision. Id. at 510 (citations
    omitted). We agree. According to the dictionary definition
    of “inconsistent,” the application of RCRA must be
    “incompatible, incongruous, [or] inharmonious” with CWA
    requirements for the anti-duplication provision to apply.
    Webster’s Third New Int’l Dictionary (1971) at 1144; accord
    Webster’s Third New Int’l Dictionary (2002) at 1144. Put
    another way, section 1006(a) does not bar RCRA’s
    ECOLOGICAL RIGHTS FOUND. V. PG&E                21
    application unless requirements under RCRA and the CWA
    are “[m]utually repugnant or contradictory,” such that the
    application of “one implies the abrogation or abandonment of
    the other.” Black’s Law Dictionary 907 (4th ed. rev. 1968);
    see also Black’s Law Dictionary (10th ed. rev. 2014)
    (defining “inconsistent” as “[l]acking agreement among parts;
    not compatible with another fact or claim”).
    The anti-duplication provision also does not provide a
    definition of the term “requirements.” But the reference to
    the “requirements” of certain statutes must refer to legal
    requirements. A legal requirement is “a rule of law that must
    be obeyed,” Gorman v. Wolpoff & Abramson, LLP, 
    584 F.3d 1147
    , 1171 (9th Cir. 2009) (quoting Bates v. Dow
    Agrosciences LLC, 
    544 U.S. 431
    , 445 (2005)) (internal
    quotation marks omitted)—in other words, “[s]omething that
    must be done because of a law or rule; something legally
    imposed, called for, or demanded.” Black’s Law Dictionary
    (10th ed. 2014); see also Black’s Law Dictionary 1468 (4th
    ed. rev. 1968) (defining “require” as “[t]o direct, order,
    demand, instruct, command, claim, compel, request, need,
    exact”).
    Taking the terms together, then, RCRA’s anti-duplication
    provision does not bar RCRA’s application unless that
    application contradicts a specific mandate imposed under the
    CWA (or another statute listed in RCRA section 1006(a)).
    2. Context of RCRA’s Anti-Duplication Provision
    The pertinent contexts—RCRA section 1006 as a whole
    and RCRA’s overall statutory scheme—support this reading.
    Two provisions in RCRA are meaningful only if the CWA’s
    22           ECOLOGICAL RIGHTS FOUND. V. PG&E
    potential application to a waste product does not, on its own,
    bar RCRA’s application.
    First, the CWA and two other statutes listed in RCRA
    section 1006(a) are also listed in RCRA section 1006(b)(1),
    RCRA’s “integration” provision.4          See 
    42 U.S.C. § 6905
    (b)(1). This provision requires EPA to administer
    RCRA in a coordinated manner, “avoid[ing] duplication, to
    the maximum extent practicable, with the appropriate
    provisions” of the CWA, the Safe Drinking Water Act, the
    Marine Protection, Research and Sanctuaries Act of 1972,
    and other environmental statutes. 
    Id.
     But the provision
    directs EPA to integrate application or enforcement of the
    various statutes only when doing so is “consistent with the
    goals and policies expressed” in RCRA and the other
    environmental statutes. 
    Id.
    By including the CWA in the integration provision,
    Congress recognized that there would be overlapping
    coverage between the CWA and RCRA, the anti-duplication
    provision notwithstanding. This understanding of RCRA’s
    4
    The integration provision directs the EPA to administer and enforce
    RCRA provisions in a manner that “integrate[s]” them and “avoid[s]
    duplication, to the maximum extent practicable, with the appropriate
    provisions of [the CWA]” and other EPA-enabling statutes. 
    42 U.S.C. § 6905
    (b)(1). The provision has no direct application here, as it addresses
    the EPA Administrator and concerns the EPA’s internal management of
    its various statutory mandates. See 
    id.
     In an endangerment citizen suit
    such as this one, no violation of a RCRA permit, regulation, or other EPA-
    administered requirement need be alleged. See 
    42 U.S.C. § 6972
    (a)(1)(B);
    Ecological Rights Found. v. Pac. Gas & Elec. Co., 
    713 F.3d 502
    , 514 (9th
    Cir. 2013) (“ERF I”) (summarizing the components of an endangerment
    suit). EPA’s administration and enforcement of its various statutory
    mandates are thus not directly pertinent. Instead, RCRA section
    1006(b)(1) is relevant only for statutory context.
    ECOLOGICAL RIGHTS FOUND. V. PG&E                 23
    integration provision is hard to reconcile with PG&E’s
    proposed interpretation of the anti-duplication provision. If
    RCRA’s application were prohibited as to all matters
    potentially regulable under the CWA, as PG&E supposes, the
    integration clause in RCRA section 1009(b)(1) would serve
    little purpose.
    Second, PG&E’s interpretation would also render
    meaningless specific exclusions from RCRA coverage.
    RCRA extends only to “solid wastes.” 
    42 U.S.C. § 6903
    (27);
    see also 
    42 U.S.C. § 6903
    (5) (defining hazardous waste as a
    type of solid waste); Meghrig, 
    516 U.S. at 483
    . The statute’s
    definition of “solid wastes” specifically excludes “industrial
    discharges which are point sources subject to permits under
    [CWA section 402] or source, special nuclear, or byproduct
    material as defined by the Atomic Energy Act of 1954. . . .”
    
    42 U.S.C. § 6903
    (27) (emphasis added). If any potential
    regulation of any substance under the CWA or the Atomic
    Energy Act were enough to trigger the RCRA anti-
    duplication provision and so bar RCRA coverage, RCRA’s
    narrower exclusion of certain substances actually “subject to
    permits under” the CWA and the Atomic Energy Act would
    be superfluous. 
    Id. 3
    . Persuasive Authorities
    In line with our analysis of the statute’s language and
    context, most other courts have applied RCRA’s anti-
    duplication provision only where there is an inconsistency
    with specific mandates, such as permit requirements and
    consent orders, imposed under a listed statute. See Edison
    Elec. Inst. v. U.S. EPA, 
    996 F.2d 326
    , 337 (D.C. Cir. 1993);
    S.F. Herring Ass’n v. Pac. Gas & Elec. Co., 
    81 F. Supp. 3d 847
    , 866 (N.D. Cal. 2015); Cmty. Ass’n for Restoration of the
    24        ECOLOGICAL RIGHTS FOUND. V. PG&E
    Env’t, Inc. v. George & Margaret LLC, 
    954 F. Supp. 2d 1151
    ,
    1160 (E.D. Wash. 2013); Raritan Baykeeper, Inc. v. NL
    Indus., Inc., No. 09-cv-4117, 
    2013 WL 103880
    , at *27
    (D.N.J. Jan. 8, 2013) (unpublished).
    Similarly, courts generally have held that there is no
    “inherent inconsistency of applying RCRA to activities
    already regulated by [one of the statutes listed in RCRA
    section 1006(a)].” Vernon Vill., Inc. v. Gottier, 
    755 F. Supp. 1142
    , 1154 (D. Conn. 1990) (emphasis omitted). For
    example, in Edison Electric Institute, the D.C. Circuit
    rejected the defendant’s “generalized claim that the Agency’s
    interpretation [which applied RCRA to “impose additional
    burdens on nuclear power generators”] interferes with the
    ‘primary purpose’ of the AEA.” 
    996 F.2d at 337
     (citations
    omitted).
    Additionally, in 1984, the Department of Justice’s
    (“DOJ”) Office of Legal Counsel (“OLC”) determined that
    RCRA’s anti-duplication provision does not come into play
    simply because there are “overlapping regulatory schemes.”
    See Application of the Res. Conservation and Recovery Act to
    the Dep’t of Energy’s Atomic Energy Act Facilities, 
    8 Op. O.L.C. 6
    , 11, 13, 
    1984 WL 178349
     (1984) (“OLC Opinion”).
    The OLC Opinion was issued to address a disagreement
    between EPA and the Department of Energy concerning
    whether waste treatment and disposal activities at the
    Department of Energy’s nuclear facilities were subject to
    RCRA regulation. 
    Id. at 6
    . The OLC sided with EPA,
    concluding that the “requirements” language of RCRA
    section 1006(a) “implies some prescriptive content, i.e.,
    specific directives that require an agency or a person to take
    or refrain from taking certain actions, to follow certain
    procedures, or to meet certain standards and regulations.” 
    Id.
    ECOLOGICAL RIGHTS FOUND. V. PG&E                           25
    at 16. And, said OLC, section 1006(a)’s “not inconsistent”
    language requires determining whether there is a conflict
    “between individual regulations or requirements imposed by”
    the statutes listed in section 1006(a) and the would-be
    requirements imposed under RCRA. 
    Id. at 11, 13, 16
    . Under
    the OLC interpretation—as under ours—the potential for
    inconsistent overlap is insufficient; only an actual, and
    actually inconsistent, requirement triggers the RCRA anti-
    duplication provision.5
    These persuasive authorities support our reading of the
    text of RCRA section 1006(a) and its statutory context.
    RCRA’s anti-duplication provision does not bar RCRA’s
    application unless the specific application would conflict with
    identifiable legal requirements promulgated under the CWA
    or another listed statute.
    5
    DOJ, not EPA, issued the OLC Opinion. As that opinion is not an
    agency interpretation of its own enabling statute, we do not afford it
    Chevron deference. See Ass’n of Civilian Technicians, Silver Barons
    Chapter v. Fed. Labor Relations Auth., 
    200 F.3d 590
    , 592 (9th Cir. 2000).
    And, under Auer v. Robbins, while “we defer to an agency’s interpretation
    of its own regulation, advanced in a legal brief, unless that interpretation
    is ‘plainly erroneous or inconsistent with the regulation,’” “no deference
    [is] warranted to an agency interpretation of what [are], in fact, Congress’
    words.” Chase Bank USA, N.A. v. McCoy, 
    562 U.S. 195
    , 208, 210 (2011)
    (citing Gonzales v. Orgeon, 
    546 U.S. 243
    , 257 (2006)). It is thus not
    enough to trigger Auer deference that DOJ, acting as counsel for EPA in
    its amicus appearance in this case, favorably cites the OLC Opinion. And
    we are not aware of any EPA regulations, rulings, or specific
    administrative practices that rely on the OLC’s 1984 interpretation. We
    therefore treat the OLC Opinion similarly to the persuasive authority
    provided in decisions from other courts—that is, as some corroboration
    that our own reasoning is sound. Cf. Andersen v. DHL Ret. Pension Plan,
    
    766 F.3d 1205
    , 1213 (9th Cir. 2014) (relying on a government amicus
    brief’s position as “reasonable and persuasive” even though not entitled
    to deference).
    26           ECOLOGICAL RIGHTS FOUND. V. PG&E
    B. Application of RCRA’s Anti-Duplication Provision
    Here
    We next consider whether PG&E has identified such legal
    requirements.
    What CWA legal requirements might apply here? PG&E
    has not identified any CWA permits that establish particular
    requirements for its stormwater discharges. That gap is not
    an oversight. The Clean Water Act does not require PG&E
    to get a permit for these discharges.6 And, although the CWA
    provides EPA authority to require such permits under its
    Phase II authority, the Agency, following the protocol set out
    by Congress for making decisions, see 
    33 U.S.C. § 1342
    , has
    decided not to require such permits.
    Given these circumstances, PG&E’s argument centers on
    EPA’s decision not to impose a Phase II CWA permit
    requirement on discharges like its own. That decision, PG&E
    maintains, bars any application of RCRA, including the
    RCRA endangerment provision. We cannot agree.
    CWA section 402(p)(6) directed EPA to establish a
    “comprehensive program” for Phase II-covered stormwater
    6
    The district court’s determination that PG&E’s stormwater
    discharges do not fall within the ambit of EPA’s regulations of industrial
    sources (so-called Phase I regulations) has not been appealed. We
    therefore assume it correct for purposes of this case. See, e.g., Wagner v.
    Prof’l Eng’s in Cal. Gov’t, 
    354 F.3d 1036
    , 1040–41 (9th Cir. 2004)
    (assuming the district court’s unappealed merits determination was correct
    and proceeding to the remaining remedies question on appeal).
    ECOLOGICAL RIGHTS FOUND. V. PG&E                           27
    discharges 
    33 U.S.C. § 1342
    (p)(6).7 But the reach of that
    “comprehensive program” was limited to the discharges EPA
    “designate[s] . . . to be regulated.” 
    Id.
     The CWA instructs
    EPA to “establish priorities” for implementing the
    comprehensive program. 
    Id.
     The statute thus authorizes EPA
    to develop a stormwater discharge regulatory program by
    regulating Phase II-covered stormwater sources in stages,
    relegating some sources to a lower regulatory “priorit[y],”
    and leaving some un-“designated” altogether. Id.; see Envtl.
    Def. Ctr., 
    344 F.3d at 875
    . Under such an incremental
    regulatory structure, EPA’s decision not to impose a permit
    requirement on stormwater discharges like PG&E’s is not a
    “rule of law that must be obeyed,” Gorman, 
    584 F.3d at 1171
    (internal quotation marks and citation omitted). It is, instead,
    a decision to impose no such “rule of law,” 
    id.,
     even though
    EPA is empowered to do so. There is no “mutual[]
    repugnan[cy]” between the current absence of a permit
    requirement and compliance with RCRA as enforced through
    a citizen suit. Black’s Law Dictionary 907 (4th ed. rev.
    1968).
    7
    CWA section 402(p)(6) provides in full: “Not later than October 1,
    1993, the Administrator, in consultation with State and local officials,
    shall issue regulations (based on the results of the studies conducted under
    paragraph (5) [of CWA section 402(p)]) which designate stormwater
    discharges, other than those discharges described in paragraph (2) [of
    CWA section 402(p)], to be regulated to protect water quality and shall
    establish a comprehensive program to regulate such designated sources.
    The program shall, at a minimum, (A) establish priorities, (B) establish
    requirements for State stormwater management programs, and
    (C) establish expeditious deadlines. The program may include
    performance standards, guidelines, guidance, and management practices
    and treatment requirements, as appropriate.” 
    33 U.S.C. § 1342
    (p)(6).
    28        ECOLOGICAL RIGHTS FOUND. V. PG&E
    Notably, the Phase II Regulations indicate that EPA
    considered RCRA’s application to stormwater discharges
    while deciding the types of stormwater given priority for
    designation. The agency decided to exclude at least some
    discharges from its Phase II Regulations because RCRA and
    other statutes would still apply to those discharges.
    In EPA’s final Phase II Regulations, the Agency
    designated two types of stormwater discharges as subject to
    permits: discharges from small municipal sewer systems and
    discharges associated with small construction activity. See
    Phase II Regulations, 64 Fed. Reg. at 68,722. In the lead up
    to those regulations, EPA considered whether it should also
    designate other types of industrial and commercial sources as
    requiring permits. Because the Phase I Regulations classified
    “industrial sources” based on standardized industry
    classifications, EPA first considered the industrial sources
    with environmental impacts most similar to the sources
    regulated under Phase I. See id. at 68,779–80.
    The agency determined that many of these “unregulated”
    industrial and commercial sources had “a high likelihood of
    exposure of pollutants.” Id. at 68,780. Nevertheless,
    EPA assessed the likelihood that pollutant
    sources are regulated in a comprehensive
    fashion under other environmental protection
    programs, such as programs under the
    Resource Conservation and Recovery Act
    (RCRA) or the Occupational Health and
    Safety Act (OSHA). If EPA concluded that
    the category of sources was sufficiently
    addressed under another program, the Agency
    ECOLOGICAL RIGHTS FOUND. V. PG&E                       29
    rated that source category as having “low”
    potential for adverse water quality impact.
    Id. Ultimately, EPA did
    not designate any additional industrial or
    commercial category of sources [in its Phase
    II Regulation,] either because EPA currently
    lack[ed] information indicating a consistent
    potential for adverse water quality impact or
    because of EPA’s belief that the likelihood of
    adverse impacts on water quality is low, with
    some possible exceptions on a more local
    basis.
    Id.8
    The Phase II Regulations’ preamble further underscores
    that the Regulations addressed undesignated sources only to
    the extent that they “encourage[d] control of storm water
    discharges from [undesignated industrial and commercial
    sources] through self-initiated, voluntary [best management
    practices], unless the discharge (or category of discharges) is
    designated for permitting by the permitting authority.” Id. A
    policy of encouraging voluntary practices imposes no legal
    requirement. See Gorman, 
    584 F.3d at 1171
    .
    In sum, neither CWA section 402(p)(6) nor the Phase II
    Regulations promulgated under it impose any legal
    8
    EPA, appearing in this case as amicus curiae, relies on this
    rulemaking history in support of its position that RCRA can and does
    apply to point-source industrial stormwater discharges not subject to CWA
    permit requirements under the Phase II Regulations.
    30           ECOLOGICAL RIGHTS FOUND. V. PG&E
    requirement on undesignated sources of stormwater
    discharges. Instead, the Regulations rest in part on the
    assumption that RCRA and other statutes would still apply to
    undesignated sources. As there is no requirement, there can
    be no inconsistent requirement barring RCRA’s application.
    C. Municipal Permits
    Our principal question answered, we proceed to the
    remaining issues on appeal. We consider PG&E’s alternative
    anti-duplication contention—that its stormwater discharges
    are subject to CWA requirements via the municipal storm
    sewer system permits required of and held by local
    government agencies—and conclude it fares no better than
    the broader position we have rejected.9
    As a preliminary matter, EcoRights points to evidence
    that at least some PG&E discharges at its Oakland facility do
    not flow through municipal storm sewer systems at all.
    According to EcoRights’ expert, the facility’s drainage map
    indicates two points at which its stormwater discharges enter
    navigable waters, including one point that “discharges
    directly into San Leandro Bay.” PG&E’s Environmental
    Operations Supervisor for the Oakland facility similarly
    testified that the facility’s storm drain “feeds directly into the
    bay.” This evidence indicates that any potential requirements
    9
    In its answering brief, PG&E makes this municipal permit argument
    only obliquely. Although we consider the argument on the merits, we
    note PG&E came close to waiving it through inadequate briefing. See
    Greenwood v. F.A.A., 
    28 F.3d 971
    , 977 (9th Cir. 1994) (holding that “[w]e
    review only issues which are argued specifically and distinctly in a party’s
    . . . brief,” and finding the plaintiff’s broad challenge to a provision of the
    Federal Aviation Act “waived due to his failure to present a specific,
    cogent argument for our consideration”).
    ECOLOGICAL RIGHTS FOUND. V. PG&E                 31
    under Oakland’s storm water permit are not relevant to
    RCRA’s application to the Oakland facility.
    In any event, although the permits and ordinances to
    which PG&E alludes are judicially noticeable public records,
    see Fed. R. Evid. 201(b), PG&E has not in its briefs presented
    any specific factual or legal argument concerning
    requirements—consistent or inconsistent with
    RCRA—imposed on it under those permits and ordinances.
    We “will not do an [appellee’s] work for it, either by
    manufacturing its legal arguments, or by combing the record
    on its behalf for factual support.” W. Radio Servs. Co. v.
    Qwest Corp., 
    678 F.3d 970
    , 979 (9th Cir. 2012) (citations
    omitted).
    PG&E highlights a few requirements that the San
    Francisco Bay Region Municipal Regional Stormwater
    Permit imposes on the cities of Oakland and Hayward as
    permittees. Under the regional permit, PG&E states, the
    cities must “implement an industrial and commercial site
    control program” and develop “an Enforcement Response
    Plan (ERP) to prevent discharge of pollutants and impact on
    beneficial uses of receiving waters.” PG&E also points to a
    Eureka ordinance enacted as part of that city’s compliance
    with California’s general NPDES permit for small municipal
    storm systems; that ordinance prohibits “illicit connections”
    and “establishes requirements for reducing pollutants in storm
    water.”
    At this level of generality, such requirements are not
    inconsistent with the injunctive relief EcoRights seeks under
    RCRA against PG&E. Nor is it obvious how some of these
    NPDES requirements for municipalities would be relevant to
    a private party’s—here, PG&E’s—legal responsibilities. As
    32         ECOLOGICAL RIGHTS FOUND. V. PG&E
    PG&E has not pointed to any specific stormwater discharge
    requirement with which it must comply imposed by or
    pursuant to any CWA municipal storm system permits, it was
    not entitled to summary judgment on the basis of those
    permits.
    V. Tire Tracking Pathway
    Finally, we address the district court’s conclusion that
    EcoRights “failed to come forward with evidence sufficient
    to create a triable issue of fact that the waters of San
    Francisco or Humboldt Bays are endangered by [PCP]
    dispersed from the corporation and service yards by tracking
    on vehicle tires,” as there was “no evidence of actual
    transmission of the pollutants from PG&E’s facilities to
    municipal stormwater systems via the . . . tire tracking
    [pathway], much less of resulting Bay pollution at a level
    sufficient to support a RCRA claim.” We agree with this
    assessment of the summary judgment record.
    In a RCRA endangerment citizen suit like this one, the
    plaintiff must show: [1] the defendant is “any past or present
    generator, past or present transporter, or past or present owner
    or operator of a treatment, storage, or disposal facility,
    [2] who has contributed or who is contributing to the past or
    present handling, storage, treatment, transportation, or
    disposal of any solid or hazardous waste [3] which may
    present an imminent and substantial endangerment to health
    or the environment.” 
    42 U.S.C. § 6972
    (a)(1)(B); see also
    ERF I, 713 F.3d at 514. Whether PG&E allowed PCP-
    infused wastes to travel offsite via vehicle tires implicates the
    second prong of EcoRights’ RCRA substantial endangerment
    claim—i.e., whether PG&E contributed to the handling or
    ECOLOGICAL RIGHTS FOUND. V. PG&E                  33
    transporting of PCP-infused waste through attachment to
    vehicle tires.
    The second endangerment prong requires the plaintiff to
    show “that a defendant be actively involved in or have some
    degree of control over the waste disposal process.” Hinds
    Invs., L.P. v. Angioli, 
    654 F.3d 846
    , 851 (9th Cir. 2011). So
    EcoRights had to present evidence showing that PG&E is
    involved in or has control over the actual waste disposal
    activities challenged as imminently dangerous. Only at the
    third prong, with regard to the likely health or environmental
    impact of those activities, does a risk-based
    showing—whether the activities “may present an imminent
    and substantial endangerment to health or the
    environment”—suffice. 
    42 U.S.C. § 6972
    (a)(1)(B) (emphasis
    added).
    Viewing the facts in the light most favorable to
    EcoRights, there is no evidence that PG&E trucks actually
    picked up contaminants on their tires and carried them offsite.
    EcoRights’ expert witness on the matter testified only that
    tire-tracking “could be a concern,” based on his “experience
    at other facilities where tracking is an issue.” Those other
    sites, which were undergoing cleanup processes for dioxin
    contamination, had controls in place to reduce tire-tracking.
    Such controls included rumble strips—to vibrate off
    accumulated materials as trucks pass over them—and wheel
    washing. The EcoRights expert witnessed no rumble strips
    or wheel washing while onsite at the PG&E facilities.
    Moreover, although company policy recommends wheel-
    washing as a best practice, PG&E employees admitted that
    the practice is rarely implemented.
    34           ECOLOGICAL RIGHTS FOUND. V. PG&E
    But EcoRights’ expert did not observe any trucks driving
    through areas where there may have been contaminants. Nor
    did he witness any tire track-marks that indicated the spread
    of contaminated soils or water. Finally, EcoRights’ expert
    did not sample for contamination the areas where trucks were
    likely to pass. Moreover, he provided no standard for the
    level of contamination necessary to require tire-tracking
    controls.
    Given these investigatory gaps and the “could have”
    language used by its expert, we conclude that EcoRights’
    evidence identified tire-tracking only as a potential
    mechanism by which PG&E might have contributed to the
    transportation and dispersal of PCP-infused wastes. That
    showing does not establish that PG&E actually contributed to
    the handling, transportation, or disposal of solid waste via
    vehicle tire-tracking. Summary judgment for PG&E was
    warranted as to that aspect of EcoRights’ RCRA claim.
    VI. EcoRights’ Motion for Summary Judgment
    The district court did not decide whether the PCP-infused
    wood or oil wastes at PG&E sites were “solid wastes” subject
    to RCRA. It also did not determine whether PG&E’s present
    or past handling, storage, treatment, transportation, or
    disposal of those wastes, overall, creates an imminent and
    substantial endangerment to health or the environment
    because of its impact on the Bays.10 Because the district court
    did not reach these merits-related questions, we remand so
    10
    In particular, the district court did not address the admissibility or
    persuasiveness of expert evidence concerning PCP-contamination levels
    at PG&E’s sites.
    ECOLOGICAL RIGHTS FOUND. V. PG&E               35
    that they may be considered. See Voggenthaler v. Maryland
    Square LLC, 
    724 F.3d 1050
    , 1066 (9th Cir. 2013).
    VII. Conclusion
    The district court erred in applying RCRA’s anti-
    duplication provision, RCRA section 1006(a), with respect to
    the stormwater pathway. The absence of a CWA permit
    requirement does not trigger RCRA’s anti-duplication
    provision. Further, PG&E has failed to identify any legal
    requirements under municipal permits applicable to it and
    inconsistent with EcoRights’ requested RCRA relief. We
    therefore reverse the district court’s grant of summary
    judgment to PG&E and denial of summary judgment to
    EcoRights with respect to the stormwater pathway. We
    remand for the district court to consider EcoRights’
    arguments with respect to the stormwater pathway that the
    relevant wastes are “solid wastes” and that PG&E’s actions
    present an imminent and substantial endangerment to health
    or the environment under RCRA. Finally, we affirm the
    district court’s grant of partial summary judgment as to the
    tire-tracking pathway.
    AFFIRMED IN PART, REVERSED IN PART, and
    REMANDED.
    

Document Info

Docket Number: 15-15424

Citation Numbers: 874 F.3d 1083

Judges: Marsha, Berzon, Clifton, Mueller

Filed Date: 11/2/2017

Precedential Status: Precedential

Modified Date: 10/19/2024

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