Saddleback Canyons Conservancy v. County of Orange CA4/3 ( 2015 )


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  • Filed 3/11/15 Saddleback Canyons Conservancy v. County of Orange CA4/3
    NOT TO BE PUBLISHED IN OFFICIAL REPORTS
    California Rules of Court, rule 8.1115(a), prohibits courts and parties from citing or relying on opinions not certified for
    publication or ordered published, except as specified by rule 8.1115(b). This opinion has not been certified for publication
    or ordered published for purposes of rule 8.1115.
    IN THE COURT OF APPEAL OF THE STATE OF CALIFORNIA
    FOURTH APPELLATE DISTRICT
    DIVISION THREE
    SADDLEBACK CANYONS
    CONSERVANCY et al.,
    G049040
    Plaintiffs and Respondents,
    (Super. Ct. Nos. 30-2012-00609766,
    v.                                                             30-2013-00625000)
    COUNTY OF ORANGE et al.,                                               OPINION
    Defendants;
    RUTTER SANTIAGO LP,
    Real Party in Interest and Appellant.
    Appeal from a judgment of the Superior Court of Orange County,
    Steven L. Perk, Judge. Reversed. Motion to strike section III.B.1.c. from appellant’s
    reply brief. Granted.
    Perkins Coie, Stephen L. Kostka, Barbara J. Schussman; Manatt, Phelps &
    Phillips, Susan Hori and Roger Grable for Real Party in Interest and Appellant.
    Shute, Mihaly & Weinberger, Ellison Folk and Edward T. Schexnayder for
    Plaintiffs and Respondents.
    *              *       *
    INTRODUCTION
    The Orange County Board of Supervisors (the Board) approved the Saddle
    Crest Homes area project (the Project), and also approved amendments to the Orange
    County general plan (the General Plan) and the “Foothill/Trabuco Specific Plan” (the
    Specific Plan), which covers the area in which the Project is to be built. Environmental
    and community groups brought suit. After a hearing, the court entered judgment against
    the County of Orange (the County) and the Board, preventing the Project from moving
    forward. Rutter Santiago LP (Rutter Santiago), the developer of the Project and a real
    party in interest, appeals from the judgment.
    We reverse. Having reviewed the Board’s actions in certifying an
    environmental impact report (EIR) for the Project, approving the Project, and amending
    the General Plan and the Specific Plan, we find no prejudicial abuse of discretion on the
    part of the Board. Its actions and findings were supported by substantial evidence, were
    not arbitrary or capricious, and were consistent with the General Plan.
    STATEMENT OF FACTS AND PROCEDURAL HISTORY
    The Project is located in an unincorporated portion of Orange County in an
    area subject to the Specific Plan. The Specific Plan was adopted in 1991. The General
    Plan designates the Project site as suburban residential, which allows development of 0.5
    to 18 dwelling units per acre. The Cleveland National Forest is north of the Project site.
    East of the Project site is a 78-residence development known as Santiago Canyon Estates,
    which was approved before the approval of the Specific Plan and was grandfathered into
    the Specific Plan. Santiago Canyon Road is immediately to the west of the Project, and
    2
    the Limestone-Whiting Wilderness Park and the Portola Hills residential community lie
    west and south of the Project site, on the other side of Santiago Canyon Road; Portola
    Hills, which is a part of the City of Lake Forest, was in existence before the Specific Plan
    was approved.
    In 2003, Rutter Santiago proposed to develop the Project site, as well as
    three other sites near Santiago Canyon Road. The Board approved the development plan,
    certified an EIR, and approved a zoning change to the Specific Plan. This court,
    however, set aside the Board’s approvals and certification. (Endangered Habitats
    League, Inc. v. County of Orange (2005) 
    131 Cal. App. 4th 777
    (Endangered Habitats
    League).)
    After this court’s opinion became final, Rutter Santiago sold over 300 acres
    of the Project site to The Conservation Fund, and about 84 acres of the Project site to the
    Orange County Transportation Authority. These areas are now designated as
    conservation sites.
    Rutter Santiago then designed a new project on a 113-acre parcel, which
    would have 65 homes on about 34 acres. The remainder of the parcel will be set aside for
    open space.
    In addition to requesting approval of the Project itself, Rutter Santiago had
    also sought approval of various amendments to the General Plan and the Specific Plan.
    These included:
    1. An amendment to the General Plan’s transportation implementation
    manual to change the methodology used to forecast the level of service on Santiago
    Canyon Road.
    2. An amendment to the General Plan to change the land use element to
    provide: “The purpose of the New Development Compatibility Policy is to ensure that
    new development is compatible with adjacent areas and that it provides either a land use
    buffer or transition to reduce the effects of one land use on the other. [¶] Sensitive
    3
    treatment is required where one urban use transitions to another and where an urban use
    is introduced into an essentially undeveloped area. [¶] New development within the
    Foothill-Trabuco Specific Plan planning area shall be designed to maintain a buffer
    between urban development and the Cleveland National Forest, to be compatible with the
    area, and to reflect the goals and objectives of that Plan.”
    3. An amendment to the General Plan regarding interpretation of the
    General Plan and the Specific Plan and consideration of environmental consequences of
    proposed development actions.
    4. An amendment to the Specific Plan acknowledging changes in the
    County and advances in scientific and technical information since the adoption of the
    Specific Plan.
    5. An amendment to the Specific Plan, which would allow alternative
    standards for grading and lot size to be approved if the alternative standards would
    implement the Specific Plan’s goals in ways that would provide greater overall protection
    of environmental resources than the default standards.
    6. Amendments to the Specific Plan to improve the effectiveness of its oak
    tree mitigation standards.
    7. An amendment to the open space regulation in the Specific Plan,
    providing that the 66 percent of land on a developed site, which must be preserved as
    open space, need not be only untouched “natural” open space, but may also include other
    open space as well.
    The County prepared a draft EIR and a final EIR, which included
    comments to the draft EIR and the County’s responses to those comments. The County’s
    planning commission held two hearings on the EIR and the Project. The planning
    commission ultimately recommended that the Board certify the final EIR, approve the
    amendments to the General Plan and the Specific Plan, and approve the Project.
    4
    On October 2, 2012, at a regularly scheduled meeting, the Board certified
    the final EIR (resolution No. 12-147), adopted the amendments to the General Plan
    (resolution No. 12-148) and the Specific Plan (ordinance No. 12-031), and approved the
    Project (resolution No. 12-149). As is relevant to the present appeal, the Board made the
    following specific findings:
    “1. Approval of the Saddle Crest Homes Area Plan (‘Area Plan’) is in
    compliance with the requirements of the California Environmental Quality Act.
    “2. The Area Plan is consistent with the objectives, policies and general
    land uses and programs of the General Plan.
    “3. The Area Plan is consistent with the Transportation Element of the
    General Plan, as amended, including, but not limited to, the Level of Service policy and
    Scenic Highways viewscape corridor component applicable to Santiago Canyon Road[.]
    “4. The Area Plan is consistent with the Goals and Objectives of the
    Foothill/Trabuco Specific Plan, including, but not limited to the goals and objectives
    relating to preservation of the rural character of the area, the provision of a buffer
    between urban development and the Cleveland National Forest, the preservation of
    significant landform, biological and scenic resources.
    “5. The Area Plan is in compliance with all applicable Foothill/Trabuco
    Specific Plan Components and Regulations, as amended.
    “6. The Area Plan complies with the Foothill/Trabuco Specific Plan Upper
    Aliso Residential District regulations, as amended, and is consistent with the purpose and
    intent of the Upper Aliso Residential District regulations.
    “7. The Area Plan is inconsistent with some of the Foothill/Trabuco
    Specific Plan Guidelines, but is in over all compliance with the Foothill/Trabuco Specific
    Plan Guidelines.
    5
    “8. The uses, activities and improvements proposed, subject to the
    specified conditions of approval, are consistent with the provisions of the Zoning Code
    and the Foothill/Trabuco Specific Plan regulations applicable to the property.
    “9. The location, size, design and operating characteristics of the use
    proposed in the Area Plan will not create conditions or situations that may be
    incompatible with other permitted uses in the vicinity.”
    On October 31, 2012, Saddleback Canyons Conservancy, Rural Canyons
    Conservation Fund, Friends of Harbors, Beaches and Parks, and National Audubon
    Society, each of which is an unincorporated association, nonprofit organization, or
    corporation dedicated to protecting natural resources and the environment (collectively,
    Saddleback), filed a verified petition for a writ of mandate and complaint for injunctive
    relief, challenging the approval of amendments to the General Plan and the Specific Plan,
    the approval of the Project, and the certification of the EIR. A first amended petition and
    complaint was filed on December 5, 2012.
    On January 18, 2013, Saddleback filed a verified petition for a writ of
    mandate and a complaint for injunctive relief, challenging the approval of the tract map
    for the Project. Pursuant to a stipulation of the parties, the two cases were consolidated
    for all purposes.
    Following briefing and a hearing, the trial court granted the petition for a
    writ of mandate, ordered the County and the Board to vacate and set aside certification of
    the EIR, amendments to the General Plan and the Specific Plan, and approvals for the
    Project, and enjoined the County and the Board from further actions to implement the
    Project without complying with the California Environmental Quality Act (CEQA)
    (Pub. Resources Code, § 21000 et seq.). The peremptory writ issued, and judgment was
    entered. Rutter Santiago appealed; the County did not file its own appeal, nor did it join
    in Rutter Santiago’s appeal.
    6
    DISCUSSION
    I.
    STANDARD OF REVIEW AND POLICIES REGARDING GENERAL AND SPECIFIC PLANS
    A.
    Standard of Review
    “In reviewing a petition challenging the legality of a lead agency’s actions
    under CEQA, our role is the same as the trial court’s. We review the agency’s actions,
    not the trial court’s decision, and our inquiry extends ‘only to whether there was a
    prejudicial abuse of discretion’ on the part of the agency. [Citations.]” (Rialto Citizens
    for Responsible Growth v. City of Rialto (2012) 
    208 Cal. App. 4th 899
    , 923.) We review
    the Board’s decisions to determine “whether there was a prejudicial abuse of discretion.
    Abuse of discretion is established if the agency has not proceeded in a manner required
    by law or if the determination or decision is not supported by substantial evidence.”
    (Pub. Resources Code, § 21168.5; see Vineyard Area Citizens for Responsible Growth,
    Inc. v. City of Rancho Cordova (2007) 
    40 Cal. 4th 412
    , 426-427.) “For purposes of
    CEQA, substantial evidence ‘means enough relevant information and reasonable
    inferences from this information that a fair argument can be made to support a
    conclusion, even though other conclusions might also be reached.’ [Citation.]” (Rialto
    Citizens for Responsible Growth v. City of 
    Rialto, supra
    , at p. 923.)
    “Questions concerning the proper interpretation or application of the
    requirements of CEQA are matters of law. [Citation.] CEQA requires that an EIR
    include detailed information concerning, among other things, the significant
    environmental effects of the project under consideration. [Citations.] When the
    informational requirements of CEQA are not met but the agency nevertheless certifies the
    EIR as meeting them, the agency fails to proceed in a manner required by law and abuses
    its discretion. [Citation.] ‘“The EIR is the heart of CEQA,” and the integrity of the
    process is dependent on the adequacy of the EIR. [Citations.]’ [Citation.] [¶] In
    7
    reviewing the lead agency’s actions under CEQA, we do not ‘“‘“pass upon the
    correctness of the EIR’s environmental conclusions, but only upon its sufficiency as an
    informative document.”’ [Citation.] We may not set aside an agency’s approval of an
    EIR on the ground that an opposite conclusion would have been equally or more
    reasonable. ‘Our limited function is consistent with the principle that “The purpose of
    CEQA is not to generate paper, but to compel government at all levels to make decisions
    with environmental consequences in mind. CEQA does not, indeed cannot, guarantee
    that these decisions will always be those which favor environmental considerations.”’
    [Citations.] We may not, in sum, substitute our judgment for that of the people and their
    local representatives. We can and must, however, scrupulously enforce all legislatively
    mandated CEQA requirements.”’ [Citation.] [¶] The Legislature intended CEQA ‘“to be
    interpreted in such manner as to afford the fullest possible protection to the environment
    within the reasonable scope of the statutory language.”’ [Citation.] ‘The EIR is the
    primary means of achieving the Legislature’s considered declaration that it is the policy
    of this state to “take all action necessary to protect, rehabilitate, and enhance the
    environmental quality of the state.” [Citation.] . . . An EIR is an “environmental ‘alarm
    bell’ whose purpose it is to alert the public and its responsible officials to environmental
    changes before they have reached ecological points of no return.” [Citations.] The EIR
    is also intended “to demonstrate to an apprehensive citizenry that the agency has, in fact,
    analyzed and considered the ecological implications of its action.” [Citations.] Because
    the EIR must be certified or rejected by public officials, it is a document of
    accountability. If CEQA is scrupulously followed, the public will know the basis on
    which its responsible officials either approve or reject environmentally significant action,
    and the public, being duly informed, can respond accordingly to action with which it
    disagrees. [Citations.] The EIR process protects not only the environment but also
    informed self-government.’ [Citation.] [¶] An EIR is presumed legally adequate,
    however [citations], and the agency’s certification of an EIR as complying with the
    8
    requirements of CEQA is presumed correct [citation]. Persons challenging the EIR
    therefore bear the burden of proving it is legally inadequate, or that insufficient evidence
    supports one or more of its conclusions. [Citation.] [¶] ‘“[T]he ultimate decision of
    whether to approve a project, be that decision right or wrong, is a nullity if based upon an
    EIR that does not provide the decision-makers, and the public, with the information about
    the project that is required by CEQA.” [Citation.] The error is prejudicial “if the failure
    to include relevant information precludes informed decisionmaking and informed public
    participation, thereby thwarting the statutory goals of the EIR process.” [Citation.]’
    [Citation.] [¶] Still, ‘“[a]bsolute perfection is not required,”’ and the level of analysis in
    an EIR ‘is subject to a rule of reason.’ [Citation.] The absence of information in an EIR
    does not per se constitute a prejudicial abuse of discretion. [Citation.] Instead, ‘“[a]
    prejudicial abuse of discretion occurs if the failure to include relevant information
    precludes informed decisionmaking and informed public participation, thereby thwarting
    the statutory goals of the EIR process. [Citation.]” [Citation.]’ [Citation.]” (Rialto
    Citizens for Responsible Growth v. City of 
    Rialto, supra
    , 208 Cal.App.4th at
    pp. 923-925.)
    B.
    General Plan
    “[T]he general plan [is] a ‘“constitution” for future development’ [citation]
    located at the top of ‘the hierarchy of local government law regulating land use’
    [citation]. [¶] The general plan consists of a ‘statement of development policies . . .
    setting forth objectives, principles, standards, and plan proposals.’ [Citation.] The plan
    must include seven elements—land use, circulation, conservation, housing, noise, safety
    and open space—and address each of these elements in whatever level of detail local
    conditions require [citation]. General plans are also required to be ‘comprehensive [and]
    long[]term’ [citation] as well as ‘internally consistent.’ [Citation.] The planning law thus
    compels cities and counties to undergo the discipline of drafting a master plan to guide
    9
    future local land use decisions.” (DeVita v. County of Napa (1995) 
    9 Cal. 4th 763
    ,
    772-773, fn. omitted.)
    C.
    Specific Plan
    A specific plan, such as the Specific Plan, is usually more detailed than a
    general plan, and covers specific parts of the community. The approval of a specific plan
    does not create a vested right to develop property in a manner consistent with the specific
    plan, or to prevent development inconsistent with it. (People v. County of Kern (1974) 
    39 Cal. App. 3d 830
    , 837-838.) A specific plan may be adopted or amended by resolution or
    ordinance of the appropriate legislative body. (Gov. Code, §§ 65358, 65453.)
    Sections 65358 and 65453 of the Government Code recognize that “[a] county’s needs
    necessarily change over time . . . . It follows that a county must have the power to
    modify its land use plans as circumstances require.” (Napa Citizens for Honest
    Government v. Napa County Bd. of Supervisors (2001) 
    91 Cal. App. 4th 342
    , 357-358.)
    A particular project must be “compatible with the objectives, policies,
    general land uses, and programs specified in” the general plan or any applicable,
    officially adopted specific plan. (Gov. Code, § 66473.5.) Government Code
    section 66473.5 has been interpreted “as requiring that a project be ‘“in agreement or
    harmony with”’ the terms of the applicable plan, not in rigid conformity with every detail
    thereof.” (San Franciscans Upholding the Downtown Plan v. City and County of San
    Francisco (2002) 
    102 Cal. App. 4th 656
    , 678.)
    II.
    DID THE BOARD’S CERTIFICATION OF THE EIR VIOLATE CEQA?
    Saddleback identifies three ways in which it claims certification of the EIR
    was not supported by substantial evidence: (a) failure to adequately analyze the Project’s
    traffic impacts; (b) failure to adequately analyze the Project’s traffic hazards on Santiago
    10
    Canyon Road; and (c) failure to analyze foreseeable environmental impacts of the
    amendments to the General Plan and the Specific Plan. We consider each contention in
    turn. When, as here, the issue is whether the EIR’s analysis complies with CEQA, we
    review to determine whether that analysis “reflects a reasonable, good faith effort to
    disclose and evaluate” the Project’s impacts. (Cleveland National Forest Foundation v.
    San Diego Assn. of Governments (2014) 
    231 Cal. App. 4th 1056
    , 1071.) In our substantial
    evidence review, we consider whether there is enough relevant information, and
    reasonable inferences that can be drawn from that information, to support a conclusion,
    whether or not other conclusions might also be reached. (Ibid.)
    A.
    Failure to Adequately Analyze the Project’s Traffic Impacts
    In this court’s prior opinion, the court concluded that the project, as then
    constituted, was inconsistent with the General Plan because it would cause an
    impermissible increase in the flow of traffic on Santiago Canyon Road. (Endangered
    Habitats 
    League, supra
    , 131 Cal.App.4th at p. 782.) Section VI.G. of the County’s
    Transportation Implement Manual (Mar. 15, 1994) of the transportation element of the
    General Plan read: “The majority of the road miles within the United States consist of
    two lane roadways. As a result, a great deal of work has been done throughout the
    country regarding the capacity of two lane roads. The most current information and
    practice are reflected in the 1997 ‘Highway Capacity Manual’. [¶] For G[rowth]
    M[anagement] Element traffic analyses of Santiago Canyon Road, the methodology
    described in the 1997 ‘Highway Capacity Manual’ (or any subsequent revisions) for rural
    two lane highways shall be used, based upon peak hour volumes. The directional splits
    shall be as measured during the peak hours. All other adjustment factors shall be as
    described in the manual.”
    The EIR certified in 2003 acknowledged that, using the Highway Capacity
    Manual (HCM) methodology, the project, as then proposed, would cause the level of
    11
    service on Santiago Canyon Road to fall to unacceptable levels. (Endangered Habitats
    
    League, supra
    , 131 Cal.App.4th at p. 783.) The EIR therefore used a different analysis,
    the volume-to-capacity-ratio (V/C) methodology, under which it found no significant
    impacts on Santiago Canyon Road caused by the proposed project. (Ibid.) In the prior
    opinion, we concluded the proposed project was not consistent with the General Plan
    because it would cause significant impacts under the HCM methodology. (Id. at
    pp. 783-784.)
    As part of its approval of the Project in 2012, the Board approved an
    amendment to that portion of the General Plan, which now reads as follows: “For
    Growth Management Element traffic analyses of Santiago Canyon Road, the traffic level
    of service policy shall be implemented by evaluating peak hour volumes in relation to the
    physical capacity of the roadway, using the Volume-to-Capacity methodology. A lane
    volume of 1,360 vehicles per hour, which is 0.80 times the maximum directional lane
    capacity of 1,700 vehicles per hour, represents Level of Service ‘C’. These lane capacity
    guidelines shall be used to ensure that the Level of Service ‘C’ capacity of 1,360 vehicles
    per hour per lane will be maintained.” This amendment was proposed by the County’s
    planning commission because (1) Santiago Canyon Road was the only road in the County
    to which the HCM rather than the V/C methodology applied, (2) the Cities of Lake Forest
    and Orange, which both control other parts of Santiago Canyon Road, use the V/C rather
    than the HCM methodology; and (3) the HCM methodology was not proper for use on
    Santiago Canyon Road because the physical layout of the road was so different from that
    of roads on which the HCM methodology is used, particularly with regard to the inability
    of cars to pass slower moving vehicles.
    The capacity of Santiago Canyon Road is 1,700 vehicles per hour in each
    direction; on average only 20 percent of the road’s capacity is used. The estimated 780
    additional daily trips created by the Project is less than 1 percent of the total capacity of
    the road, and will have a negligible impact on traffic. However, using the old HCM
    12
    methodology, Santiago Canyon Road is currently operating at too low a level of service,
    and would continue to do so after the Project was built. The traffic engineers provided
    their expert opinion that the V/C methodology would give more accurate and realistic
    forecasts than the HCM methodology, based on their experience, as well as on the
    firsthand comparison of the results of current traffic patterns using the V/C rather than the
    HCM methodology. The County’s traffic engineering division agreed with that opinion.
    In light of all the foregoing, we conclude substantial evidence supported the
    County’s certification of the EIR based on the amendment to the traffic analysis
    methodology in the General Plan.
    B.
    Failure to Adequately Analyze Traffic Hazards
    The draft EIR noted that, based on the CEQA guidelines and the County’s
    environmental analysis checklist, a project has a significant adverse effect on
    transportation if it would “[s]ubstantially increase hazards due to a design feature (e.g.,
    sharp curves or dangerous intersections) or incompatible uses (e.g., farm equipment).”
    The draft EIR concluded the Project would not introduce any hazardous design features
    or uses, and mitigation measures would reduce any potential impacts.
    In response to public comment, traffic safety at the access site for the
    Project from Santiago Canyon Road was reviewed, and the final EIR reiterated that no
    traffic safety issues were likely as a result of the Project. Specifically, the final EIR
    responds to the public comment as follows: “The commenter states the Draft EIR fails to
    adequately analyze the project’s potential to increase traffic hazards, but provides no
    analysis or evidence to support the conclusion. The comment also refers to 2010
    newspaper article that demonstrates potential accidents . . . . The project impact on
    traffic safety is assessed in terms of project-caused changes to roadway configurations
    and/or to the characteristics of traffic flow, and in terms of the effect of introducing added
    traffic volumes with the prevailing roadway features (e.g., available sight distance). A
    13
    key consideration when judging traffic safety impacts is whether the project would
    change the rate of accidents. Without a change to the physical character of a roadway, or
    to the mix of vehicles (autos and trucks) on a roadway, the accident rate (i.e., accidents
    per number of vehicles, or accidents per million vehicle miles traveled) will not change.
    The proposed project would neither introduce dangerous road design features, nor
    generate traffic that is incompatible with existing traffic patterns. Available sight
    distance for motorists wishing to turn from the project site access onto Santiago Canyon
    Road would be sufficient. [¶] In addition, a 2010 evaluation of five years of collision
    data on Santiago Canyon Road by the Orange County Department of Public Works (Road
    Division) indicates that the prevailing accident rate on Santiago Canyon Road just north
    of the project site is substantially below the State Expected Rate for similar type
    roadways.” (Fn. omitted.)
    Saddleback criticizes the certification of the EIR because the 2010
    evaluation referenced in response to public comment was not included, and because that
    evaluation apparently did not consider the accident rate south of the Project site. That the
    final EIR did not include the 2010 report referenced ante, or that the report apparently
    considers the accident rate north of the Project site, and not south of the Project site, does
    not matter. The draft EIR sufficiently met the County’s requirements under CEQA, and
    the comments to the draft EIR did not require the County to do anything more.
    C.
    Failure to Analyze Foreseeable Environmental Impacts of the Amendments to the
    General Plan and the Specific Plan
    Saddleback contends the EIR fails to analyze foreseeable environmental
    impacts of the amendments to the General Plan and the Specific Plan. The amendment of
    a general plan or specific plan may require an environmental review. (Pub. Resources
    Code, § 21100; Cal. Code Regs., tit. 14, § 15378, subd. (a)(1).) The draft EIR
    acknowledged that the amendments being contemplated by the Board would have
    14
    environmental impacts: “These Specific Plan amendments would result in a direct
    growth inducing impact because the amendments would remove obstacles to
    development on the project site posed by the existing plan provisions; however, the
    amendments would not change the density allowed on the site beyond the maximum
    density permitted in the [Specific Plan], and would not change the uses allowed on the
    site.” The draft EIR and the final EIR directly addressed the environmental impacts of
    the General Plan and the Specific Plan amendments on the Project site, and concluded the
    amendments would have no impact, or would have a positive impact.
    Saddleback’s argument, however, is that the amendments will have
    environmental impacts by making it easier for other developments in other areas of the
    County or the Specific Plan area, which impacts must be addressed in the EIR for the
    Project. The County conceded the amendments would facilitate new development. The
    question is whether the County was required to analyze the environmental impacts of
    potential future developments that would take advantage of the amendments to the
    General Plan and the Specific Plan.
    Environmental effects of amendments to a general plan or a specific plan,
    which would be indirect and which would be difficult to predict with any accuracy, need
    not be analyzed in detail. (Banning Ranch Conservancy v. City of Newport Beach (2012)
    
    211 Cal. App. 4th 1209
    , 1229-1230; Napa Citizens for Honest Government v. Napa
    County Bd. of 
    Supervisors, supra
    , 91 Cal.App.4th at p. 369.) The effect of future projects
    that will use the amendments to the General Plan or the Specific Plan is completely
    speculative. Both the draft EIR and the final EIR explain that in many instances, the
    environmental effects of the amendments will be positive, rather than negative.
    The cases cited by Saddleback are distinguishable. In Inyo Citizens for
    Better Planning v. Inyo County Bd. of Supervisors (2009) 
    180 Cal. App. 4th 1
    , 17, the
    appellate court directed the trial court to set aside a county’s general plan amendments
    that had been approved subject to a negative declaration, and to require the county to
    15
    prepare an EIR if it desired to amend the general plan. Unlike the present case, in Inyo
    Citizens for Better Planning, the environmental impacts that could reasonably be
    anticipated if the amendments to the general plan were approved, were concrete and well
    established. (Id. at pp. 8-10.) In City of Redlands v. County of San Bernardino (2002) 
    96 Cal. App. 4th 398
    , 409, the court held that an environmental analysis must be performed
    on a general plan amendment where “[t]he record . . . clearly indicates the existence of
    not only potential future development, but at least one existing project undergoing
    separate environmental review.” Nothing in the record before us clearly shows potential
    future development exists, much less specific development, other than the Project.
    In City of Carmel-by-the-Sea v. Board of Supervisors (1986) 
    183 Cal. App. 3d 229
    , 241, the court concluded that the rezoning of a particular area was a
    “project” that required the preparation of an EIR, and that the county erred in issuing a
    negative declaration. In that case, the rezoning was the first part of a larger development
    project; in fact, a development proposal was submitted to the county before the board of
    supervisors approved the rezoning. (Id. at pp. 243-244.)
    In Laurel Heights Improvement Assn. v. Regents of University of California
    (1988) 
    47 Cal. 3d 376
    , 396, the California Supreme Court held that “an EIR must include
    an analysis of the environmental effects of future expansion or other action if: (1) it is a
    reasonably foreseeable consequence of the initial project; and (2) the future expansion or
    action will be significant in that it will likely change the scope or nature of the initial
    project or its environmental effects. Absent these two circumstances, the future
    expansion need not be considered in the EIR for the proposed project. Of course, if the
    future action is not considered at that time, it will have to be discussed in a subsequent
    EIR before the future action can be approved under CEQA.” Future unspecified
    development in the Specific Plan area, much less in the County as a whole, is not a
    reasonably foreseeable consequence of the amendments, and there is nothing from which
    we can surmise that any future development will change the scope or nature of the
    16
    General Plan or the Specific Plan. Therefore, under the rule of Laurel Heights
    Improvement Assn., the County was not required to specifically address the
    environmental effects of the amendments on future development.
    We conclude the County properly certified the EIR, and no further analysis
    of future development using the amendments to the General Plan and the Specific Plan
    was required.
    III.
    ARE THE AMENDMENTS TO THE SPECIFIC PLAN INCONSISTENT WITH
    THE GENERAL PLAN AND THE SPECIFIC PLAN?
    Amendments to a specific plan must be consistent with the general plan as
    well as with other elements of the specific plan. (Families Unafraid to Uphold Rural etc.
    County v. Board of Supervisors (1998) 
    62 Cal. App. 4th 1332
    , 1336.) Consistency
    requires that the amendment or project, “‘considering all its aspects, . . . will further the
    objectives and policies of the general plan and not obstruct their attainment.’”
    (Corona-Norco Unified School Dist. v. City of Corona (1993) 
    17 Cal. App. 4th 985
    , 994.)
    If an agency finds that the amendments to a specific plan are consistent with the general
    plan, we review the agency’s quasi-legislative acts to determine whether they are
    arbitrary, capricious, or without evidentiary support. (Endangered Habitats 
    League, supra
    , 131 Cal.App.4th at p. 782.) We defer to the agency’s findings unless no
    reasonable person could have reached the same result based on the evidence before him
    or her. (Ibid.)
    A.
    Oak Tree Mitigation Standards
    The General Plan does not contain any specific goals or elements relating to
    oak trees. The preservation of biological resources is one of the goals of the Specific
    Plan, and preserving oak woodlands is one of the Specific Plan’s objectives.
    17
    Ordinance No. 12-031 amended section II.C.3.3.a. of the Specific Plan’s
    resources overlay component, relating to tree management and preservation of the oak
    woodlands within the Specific Plan area, to read as follows: “a. Any oak tree removed
    which is greater than five (5) inches in diameter at 4.5 feet above the existing grade shall
    be transplanted. If any oak tree over 5 inches in diameter is either in poor health and or
    would not survive transplantation, as certified by an arborist, said tree shall be replaced
    either according to the replacement scale indicated below or as provided in an approved
    Tree Management and Preservation Plan designed to provide more extensive and
    effective mitigation. If any oak tree dies within five years of the initial transplantation, it
    shall also be replaced according to the replacement scale indicated below or as provided
    in an approved Tree Management and Preservation Plan designed to provide more
    extensive and effective mitigation. In the event that a proposal includes an alternative
    oak tree replacement mitigation, the Approving Authority shall make the following
    additional finding prior to approval of the Tree Management and Preservation Plan: [¶]
    1) The oak tree replacement mitigation proposed in the Tree Management and
    Preservation Plan is more extensive and effective than if oak trees were to be replaced at
    a 15-gallon minimum size and by using the ‘Tree Replacement Scale’ indicated below.”1
    The appropriateness of the amendment was supported by substantial evidence.
    Specifically, Rutter Santiago and the County provided expert studies evaluating the
    survival rate of transplanted mature oak trees, and supporting the need to use different
    mitigation measures for the removal of oak trees.
    Contrary to Saddleback’s protestations, ordinance No. 12-031’s amendment
    of the portion of the Specific Plan relating to tree management and preservation of the
    Specific Plan does not permit destruction of healthy trees. The amendment is consistent
    with the Specific Plan’s directive to preserve oak woodlands “in an undisturbed state to
    1
    The language deleted by the amendment is reflected by a strikethrough,
    while the language added by the amendment is underscored.
    18
    the greatest extent possible while still allowing for reasonable development.” The
    amendment was not arbitrary, capricious, or without evidentiary support.
    B.
    Grading and Lot Size Regulations
    Ordinance No. 12-031 adds subsection n. to section III.D.8.8 of the Specific
    Plan, regarding site development standards in the “Upper Aliso Residential . . . District
    Regulations”:
    “n. Alternative Site Development Standards [¶] 1) Alternatives to the Site
    Development Standards in section 8.8(a) (building site area) and section 8.8 (h) (grading
    standards) may be approved for an Area Plan if the Area Plan would result in greater
    overall protection of environmental resources than would be provided through
    compliance with those standards. Such alternatives may be approved if it is determined
    that the Area Plan or other plan for development implements the Foothill/Trabuco
    Specific Plan’s goals relating to protection of biological resources, preservation of open
    space, provision of a buffer between development and the Cleveland National Forest, and
    protection of significant land form features in a manner that would provide greater
    overall environmental protection than would compliance with the Site Development
    Standards in sections 8.8(a) and 8.8(h). Approval of such alternative standards shall not
    be subject to the provisions of section III G 2.0 d. [¶] 2) To the extent that alternative site
    development standards relating to building site area and grading are approved for an Area
    Plan as provided in subsection (1), above, those alternative site development standards
    shall serve as the development and design guidelines for the development in place of the
    Development and Design Guidelines in section IV C that would otherwise apply. [¶]
    3) In the event that a proposal utilizes the Alternative Site Development Standards within
    this Section, the Approving Authority shall make the following additional finding prior to
    approval of the Area Plan: [¶] a) The alternative site development standards result in
    greater overall protection of environmental resources than would be the case if the
    19
    proposal fully complied with the Site Development Standards in sections 8.8(a) and
    8.8(h).”
    Section III.D.8.8.a. of the Specific Plan provides minimum acreages for
    building sites,2 and section III.D.8.8.h. sets limits on grading, and specifies the type of
    grading that may be used.3
    2
    Section III.D.8.8.a. of the Specific Plan provides: “a. Building site area.
    [¶] 1) Building sites created prior to the effective date of the Specific Plan shall be
    considered legal, conforming building sites. [¶] 2) For subdivision maps creating a single
    building site. Minimum of one (1) acre. [¶] 3) For subdivision maps creating more than
    one building site. Minimum of one-half (0.5) acre; however, building sites shall average
    a minimum of one (1) acre for each subdivision map.”
    3
    Section III.D.8.8.h. of the Specific Plan provides: “Grading. Per Zoning
    Code section 7-9-139, except as indicated below. Items 1 through 6 below shall apply
    only to residential development (including private roads providing access to residential
    development). [¶] 1) Grading shall be limited to an average of 3,000 cubic yards of
    grading per dwelling unit permitted by the development cap on the property (either cut or
    fill, whichever is greater), excluding grading required for access roads or driveways
    serving two or more parcels and any remedial grading required, as certified by a
    geologist. [¶] 2) For development of a single building site existing prior to adoption of
    the Specific Plan, grading shall be limited to 3,000 cubic yards of cut or fill on the
    individual lot (not an average) with the same exclusions provided above. [¶] 3) If a
    property owner develops fewer dwelling units than permitted by the development cap, the
    grading allocation for the un-built dwelling units may be applied to those that are built[.]
    However, in no case shall the number of cubic yards of grading for the project exceed an
    average of 9,000 cubic yards per building site. For example, if the development cap
    permits two dwelling units on a property and only one building site is established, the
    property owner may grade up to 6,000 cubic yards. However, if the development cap
    permits 4 dwelling units on a property and only one building site is established, the
    property owner may only grade up to a maximum of 9,000 cubic yards. Where this
    provision is utilized, a resource or scenic preservation easement (or other restriction)
    shall be required over the remainder of the property to preclude the development of the
    un-built units. [¶] 4) Except for grading required for roads and driveways providing
    access to two or more dwelling units, in no case shall the height of cut or fill slopes
    exceed ten (10) vertical feet. [¶] 5) Except for grading required for roads and driveways
    providing access to two or more dwelling units, in no case shall the difference between
    the existing and proposed contour elevations exceed ten (10) vertical feet. [¶] 6) For
    private roads and driveways providing access to two or more dwelling units, in no case
    shall the height of cut or fill slopes exceed thirty (30) vertical feet. [¶] 7) For
    non-residential development (but excluding roads to serve residential development), in no
    20
    The amendment of the Specific Plan to modify the lot size and grading
    regulations is within the authority of the Board. (Gov. Code, § 65453, subd. (a) [“A
    specific plan shall be . . . amended in the same manner as a general plan . . . and may be
    amended as often as deemed necessary by the legislative body.”].)
    Saddleback correctly notes that the Specific Plan’s goals include
    “preserv[ing] the rural character of the area and provid[ing] a buffer between urban
    development and the Cleveland National Forest,” and “preserv[ing] significant
    landform[s].” The amendments to the Specific Plan do not frustrate those goals,
    however, under the substantial evidence standard.
    In resolution No. 12-149, the Board approved “the Area Plan for Saddle
    Crest Homes contained in Planning Application PA 110027.” The findings for the
    Planning Application PA 110027 included a finding that: “The proposed alternative site
    development standards (specifically grading and lot size) would result in greater overall
    protection of environmental resources as the project would cluster the development and
    provide more contiguous open space than if the project fully complied with the Site
    Development Standards found in Sections III.D.8.8(a) and III.D.8.8(h) of the
    Foothill/Trabuco Specific Plan.”
    case shall the height or cut or fill slopes exceed thirty (30) vertical feet. [¶] 8) Except for
    the two situations listed below, contour grading techniques shall be used to provide
    varying slope percentages and slope direction in three-dimensional, undulating patterns,
    similar to the natural terrain. The following concepts shall be utilized: [¶] a) Hard edges
    left by cut and fill operations shall be given a rounded appearance which closely
    resembles the natural contours. Rounding of cut or fill edges shall extend a minimum of
    two feet on either side of any daylight line or hinge point located at the top of a
    manufactured slope or natural slope. [¶] b) The angle of any graded slope shall be
    gradually adjusted to the angle of the natural terrain. c) Conventional grading techniques
    may be utilized in the following two situations: [¶] (1) Where geological hazards exist
    that are best mitigated by more conventional grading methods utilizing linear slopes to
    best complement required stabilization devices. [¶] (2) When contour grading would
    result in more significant impacts to natural resources than would conventional grading
    methods. [¶] 9) The Planning Commission may approve Alternative Grading Standards
    provided specific findings are made by the Commission pursuant to Section III.G.2.d.”
    21
    The finding that the use of the alternative site development standards
    regarding lot size and grading would result in greater overall environmental protection is
    supported by substantial evidence. The Orange County Fire Authority supported the
    alternative standards because there would be less brush between structures to burn, and
    response times would be better. The alternative standards also allow for greater amounts
    of open space by clustering the residences together, while also clustering the open space.
    According to the director of biological and regulatory services for PCR Services
    Corporation (which performed various assessments and provided information used in the
    EIR), doing so would allow the County to “retain greater biological diversity because
    you’re setting aside more open space, in this case native open space. You minimize
    habitat fragmentation, which occurs when you spread development out and connect it
    with roads and utilities and fuel modification. [¶] You preserve to a greater extent habitat
    connectivity where you’ve got blocks of habitat and ways for the populations of each to
    exchange with one another. It’s easier to mitigate for edge effects and those are things
    like the trespass of noise and light into adjacent habitat areas. The more edge you have,
    the greater the chances you’re going to have those indirect effects on the habitat and its
    use by the wildlife. [¶] And it’s much better respecting the species area relationship
    that’s commonly referred to in conversation planning where the larger, unbroken blocks
    of habitat—it’s the larger that you have of that, the higher number of species that you can
    support within there.” This amendment to the Specific Plan was neither arbitrary nor
    capricious.
    C.
    Open Space Preservation Regulation
    The trial court found that the amendment to the Specific Plan, which
    changed references from “natural open space” to simply “open space” was inconsistent
    with the General Plan and the Specific Plan. Rutter Santiago explains in its opening brief
    why the amendment was not arbitrary or capricious. In its respondent’s brief, Saddleback
    22
    did not address this issue. This court is reviewing the Board’s underlying decision, not
    the trial court’s decision. Because there is no argument against the Board’s decision on
    appeal, we need not address this issue.
    IV.
    IS THE BOARD’S FINDING THAT THE PROJECT IS CONSISTENT WITH THE SPECIFIC PLAN
    SUPPORTED BY THE EVIDENCE, OR IS IT ARBITRARY?
    Saddleback argues that even if the amendments to the Specific Plan were
    properly adopted, the Project is not consistent with the Specific Plan, and therefore
    should not have been approved by the Board. The Board’s decision of consistency is a
    quasi-legislative act, “and the inquiry is whether the decision is arbitrary, capricious,
    entirely lacking in evidentiary support, unlawful, or procedurally unfair. [Citations.]
    Under this standard, we defer to an agency’s factual finding of consistency unless no
    reasonable person could have reached the same conclusion on the evidence before it.”
    (Endangered Habitats 
    League, supra
    , 131 Cal.App.4th at p. 782.)
    Saddleback first argues that the Project does not contain at least 66 percent
    open space, as required by the Specific Plan; Rutter Santiago contends that 70 percent of
    the Project site will be left as open space. The difference lies in how the parties define
    “open space.” Saddleback contends that the graded areas within the Project site cannot
    be part of the required open space because they do not fit within the General Plan’s
    definition of open space. The General Plan cites Government Code section 65560,
    subdivision (b), which defines “‘open-space land’” as “any parcel or area of land or water
    that is essentially unimproved and devoted to an open-space use as defined in this
    section” (Gov. Code, § 65560, subd. (b), italics added), and which is designated as being
    “for the preservation of natural resources,” “for outdoor recreation,” or “for public health
    and safety,” among other things (id., § 65560, subd. (b)(1), (3) & (4)). The language of
    the statute is broad, and gives multiple examples of the types of open space land uses by
    23
    using the phrase “including, but not limited to” (ibid.). The Legislature did not intend to
    create a narrow definition of the term “open space,” and the necessarily broad definition
    of the term must therefore be read into the General Plan.
    The amendment of the General Plan to remove the word “natural,” thereby
    requiring that each project include the necessary amount of open space and not
    necessarily natural open space, is not inconsistent with the definition of open space from
    Government Code section 65560. The Project’s level of open space is a buffer between
    developed areas and the Cleveland National Forest, which is a goal of the Specific Plan,
    and preserves natural resources. Further, as noted during the public hearings on the
    Project, remedial grading is a public safety issue, and the Project’s use of open space is
    therefore for public health and safety. Therefore, the grading falls within the definition of
    open space set forth in the General Plan. The Board’s finding that the Project is
    consistent with the Specific Plan is supported by substantial evidence, and is not
    arbitrary.
    V.
    DID THE BOARD IMPROPERLY ADD A PRECEDENCE CLAUSE TO THE GENERAL PLAN
    IN VIOLATION OF STATE LAW?
    One of the amendments to the General Plan adopted by the Board in
    resolution No. 12-148 provides: “The Board of Supervisors (‘Board’) as the legislative
    body of the County of Orange, has adopted the General Plan and supporting Specific
    Plans. As such, the Board retains authority to interpret the General Plan and supporting
    Specific Plans and all of their constituent provisions, including their goals, objectives,
    policies and implementation measures, such as programs, regulations, standards and
    guidelines. The provisions of the General Plan and each Specific Plan are to be
    interpreted in a manner that harmonizes their goals, objectives, policies and
    implementation measures in light of the purposes of those plans. [¶] It is recognized that
    24
    in determining plan consistency, no action is likely to be entirely consistent with each and
    every goal and objective contained in the General Plan or a Specific Plan and that the
    Board may give greater weight to some goals and objectives over other goals and
    objectives in determining whether an action is in overall harmony with the General Plan
    and any applicable Specific Plan in light of the plan’s purpose. [¶] In its decisionmaking,
    the Board shall also consider the environmental consequences associated with a proposed
    action in applying provisions of the General Plan or a Specific Plan and whether the
    action will protect resources in a manner it determines best advances that plan’s goals
    relating to environmental resources.”
    Rutter Santiago characterizes this language as a summary of “general
    principles of interpretation applying to the County’s General Plan and all adopted specific
    plans.” To the contrary, Saddleback characterizes the language as an illegal modification
    giving one element of the General Plan precedence over another, which “directly
    contravenes the consistency doctrine.”
    A precedence clause in a general plan is impermissible. In Sierra Club v.
    Board of Supervisors (1981) 
    126 Cal. App. 3d 698
    , 703, the open space-conservation
    element of the county’s general plan was adopted in June 1972. The next year, the
    county adopted a land use element of the general plan which read, in relevant part: “‘If
    any conflict exists between the adopted open space and conservation elements and this
    land use element, this element should take precedence until the open space and
    conservation can be reevaluated and amended, if necessary.’” (Ibid.) The court
    concluded that “the precedence clause under consideration is void as not permitted under
    [Government Code] sections 65300.5,[4] 65566,[5] 65567[6] and 65860.[7]” (Sierra Club v.
    Board of 
    Supervisors, supra
    , at p. 708.)
    4
    “In construing the provisions of this article, the Legislature intends that
    the general plan and elements and parts thereof comprise an integrated, internally
    25
    The amendment to the General Plan under consideration here, however,
    does not give precedence to one element of the General Plan over another. The
    amendment recognizes that a single project may not be consistent with all elements of the
    General Plan, and that the Board may deem some elements to be more or less important
    in the decisionmaking process to determine whether the project as a whole is consistent
    with the General Plan and any applicable specific plans, as a whole.
    The amendment is consistent with California case law. In Sequoyah Hills
    Homeowners Assn. v. City of Oakland (1993) 
    23 Cal. App. 4th 704
    , 719, the Oakland City
    Council found a project under consideration to be fully consistent with 14 of the 17
    pertinent policies set forth in the Oakland Comprehensive Plan (OCP), although it was in
    conflict with three other policies. The appellate court concluded approval of the project
    did not require consistency with every possible policy set forth in the city’s general plan.
    “Respondents also argue that none of the policies on which appellant relies is mandatory,
    and that a given project need not be in perfect conformity with each and every OCP
    policy. We agree. Indeed, it is beyond cavil that no project could completely satisfy
    every policy stated in the OCP, and that state law does not impose such a requirement.
    [Citations.] A general plan must try to accommodate a wide range of competing
    consistent and compatible statement of policies for the adopting agency.” (Gov. Code,
    § 65300.5.)
    5
    “Any action by a county or city by which open-space land or any interest
    therein is acquired or disposed of or its use restricted or regulated, whether or not
    pursuant to this part, must be consistent with the local open-space plan.” (Gov. Code,
    § 65566.)
    6
    “No building permit may be issued, no subdivision map approved, and no
    open-space zoning ordinance adopted, unless the proposed construction, subdivision or
    ordinance is consistent with the local open-space plan.” (Gov. Code, § 65567.)
    7
    “(a) County or city zoning ordinances shall be consistent with the general
    plan of the county or city by January 1, 1974. A zoning ordinance shall be consistent
    with a city or county general plan only if both of the following conditions are met: [¶]
    (1) The city or county has officially adopted such a plan. [¶] (2) The various land uses
    authorized by the ordinance are compatible with the objectives, policies, general land
    uses, and programs specified in the plan.” (Gov. Code, § 65860, subd. (a).)
    26
    interests—including those of developers, neighboring homeowners, prospective
    homebuyers, environmentalists, current and prospective business owners, jobseekers,
    taxpayers, and providers and recipients of all types of city-provided services—and to
    present a clear and comprehensive set of principles to guide development decisions.
    Once a general plan is in place, it is the province of elected city officials to examine the
    specifics of a proposed project to determine whether it would be ‘in harmony’ with the
    policies stated in the plan. [Citation.] It is, emphatically, not the role of the courts to
    micromanage these development decisions.” (Ibid.)
    In San Franciscans Upholding the Downtown Plan v. City and County of
    San 
    Francisco, supra
    , 102 Cal.App.4th at page 687, the appellate court upheld the board
    of supervisors’ express determination that the project in question was consistent with the
    city’s general plan and its priority policies. “[C]ourts accord great deference to a local
    governmental agency’s determination of consistency with its own general plan,
    recognizing that ‘the body which adopted the general plan policies in its legislative
    capacity has unique competence to interpret those policies when applying them in its
    adjudicatory capacity. [Citations.] Because policies in a general plan reflect a range of
    competing interests, the governmental agency must be allowed to weigh and balance the
    plan’s policies when applying them, and it has broad discretion to construe its policies in
    light of the plan’s purposes. [Citations.] A reviewing court’s role “is simply to decide
    whether the city officials considered the applicable policies and the extent to which the
    proposed project conforms with those policies.” [Citation.]’ [Citation.] [¶] Moreover,
    state law does not require precise conformity of a proposed project with the land use
    designation for a site, or an exact match between the project and the applicable general
    plan. [Citations.] Instead, a finding of consistency requires only that the proposed
    project be ‘compatible with the objectives, policies, general land uses, and programs
    specified in’ the applicable plan. [Citation.] The courts have interpreted this provision as
    27
    requiring that a project be ‘“in agreement or harmony with”’ the terms of the applicable
    plan, not in rigid conformity with every detail thereof. [Citations.]” (Id. at pp. 677-678.)
    And in Sierra Club v. County of Napa (2004) 
    121 Cal. App. 4th 1490
    , 1511,
    the appellate court upheld the county’s approval of a project, despite the fact it would be
    inconsistent with a wetlands protection element in the applicable specific plan. “A
    project is consistent with a county’s general plan (and any specific plan adopted to further
    the objectives of the general plan) ‘“‘if, considering all its aspects, it will further the
    objectives and policies of the general plan and not obstruct their attainment.’” [Citation.]
    A given project need not be in perfect conformity with each and every general plan
    policy. [Citation.] To be consistent, a [project] must be “compatible with” the
    objectives, policies, general land uses and programs specified in the general plan.
    [Citation.]’ [Citation.] [¶] In reviewing an agency’s decision for consistency with its
    own plan, ‘we accord great deference to the agency’s determination. This is because the
    body which adopted the general plan policies in its legislative capacity has unique
    competence to interpret those polices when applying them in its adjudicatory capacity.
    [Citation.] Because policies in a general plan reflect a range of competing interests, the
    governmental agency must be allowed to weigh and balance the plan’s policies when
    applying them, and it has broad discretion to construe its policies in light of the plan’s
    purposes. [Citations.] A reviewing court’s role “is simply to decide whether the city
    officials considered the applicable policies and the extent to which the proposed project
    conforms with those policies.” [Citation.]’ [Citation.] [¶] . . . [¶] . . . [G]eneral and
    specific plans attempt to balance a range of competing interests. It follows that it is
    nearly, if not absolutely, impossible for a project to be in perfect conformity with each
    and every policy set forth in the applicable plan. An agency, therefore, has the discretion
    to approve a plan even though the plan is not consistent with all of a specific plan’s
    policies. It is enough that the proposed project will be compatible with the objectives,
    28
    policies, general land uses and programs specified in the applicable plan. [Citations.]”
    (Id. at pp. 1509-1511.)
    VI.
    MOTION TO STRIKE PORTION OF REPLY BRIEF
    Saddleback filed a motion to strike a portion of Rutter Santiago’s reply
    brief on appeal. In its reply brief, Rutter Santiago argues Saddleback did not raise the
    issue of the impropriety of the amendment to the open space portion of the Specific Plan
    in its comments to the draft EIR; according to Rutter Santiago, this issue was first raised
    in Saddleback’s filings in the trial court. Therefore, Rutter Santiago claims in its reply
    brief that Saddleback failed to exhaust its administrative remedies, and this issue cannot
    be considered on appeal.
    “In an action or proceeding to attack, review, set aside, void, or annul a
    finding, determination, or decision of a public agency made pursuant to this title at a
    properly noticed public hearing, the issues raised shall be limited to those raised in the
    public hearing or in written correspondence delivered to the public agency prior to, or at,
    the public hearing . . . .” (Gov. Code, § 65009, subd. (b)(1).)
    Saddleback argues that because exhaustion of administrative remedies is a
    defense belonging to the County, Rutter Santiago is not permitted to raise it on appeal.
    While the purpose of the exhaustion doctrine is to apprise the governmental agency of all
    relevant legal contentions before litigation begins (Mani Brothers Real Estate Group v.
    City of Los Angeles (2007) 
    153 Cal. App. 4th 1385
    , 1394), it is not necessarily true that a
    nongovernmental agency defending the agency’s actions on appeal cannot raise the
    defense. Azusa Land Reclamation Co. v. Main San Gabriel Basin Watermaster (1997) 
    52 Cal. App. 4th 1165
    , cited by Saddleback, is not on point. In that case, the governmental
    agency conceded that all administrative remedies had been exhausted. (Id. at p. 1216.)
    29
    Saddleback also argues the issue of the open space amendment was fully
    litigated in the trial court, at which time Rutter Santiago never raised the failure to
    exhaust administrative remedies as a defense. Rutter Santiago counters that the specific
    issue for which, it claims, Saddleback failed to exhaust its remedies is that the
    amendment to the open space component conflicts with the General Plan’s open space
    component.
    The administrative record contains: (1) testimony that the use of man-made
    slopes as open space is not consistent with the definition of open space in current use;
    (2) a question at a public hearing on whether the County would prepare a new EIR for the
    amendments to the Specific Plan; (3) a comment at the public hearing that the change in
    terminology from “natural open space” to “open space” would have environmental
    impacts and was completely different from what had been understood about open space
    in the Specific Plan; (4) a written comment on the draft EIR by one of the petitioners,
    which criticizes the draft EIR on the open space issue because the Specific Plan requires
    at least 66 percent of the site to be maintained as “permanent, natural open space”
    (boldface & italics omitted), which implies the petitioner disagreed with the Specific
    Plan’s amendment deleting the reference to “natural open space”; (5) a written comment
    from another of the petitioners, noting that “Section III.D.8.8.i. is attempting to get rid of
    the term “NATURAL” to allow for grading within the 66% of open space dedication,
    then after the development is built it can [be] called ‘open space’. ‘OPEN SPACE’ is
    correct . . . open . . . space . . . nothing of value on it . . . dead space with removed natural
    habitat!” (boldface & underscoring omitted); (6) a written comment from one of the
    petitioners with the heading “The proposed [Specific Plan] amendment eliminating the
    word ‘natural’ from the open-space dedication requirement will produce significant,
    long-term environmental impacts that have not been adequately analyzed” (boldface &
    some capitalization omitted); and (7) written comments from homeowners, expressing
    concern over deleting the word “natural” from the open space portion of the Specific
    30
    Plan. Based on the foregoing, we conclude the issue was adequately raised during the
    comment period, and Saddleback exhausted its administrative remedies regarding this
    issue. We therefore grant the motion to strike section III.B.1.c. from Rutter Santiago’s
    reply brief.
    DISPOSITION
    The judgment is reversed. We direct the trial court to deny the petition for
    a writ of mandate and to enter judgment in favor of the County and the Board, and to
    vacate the peremptory writ of mandate. In the interests of justice, no party shall recover
    costs on appeal.
    FYBEL, J.
    WE CONCUR:
    ARONSON, ACTING P. J.
    IKOLA, J.
    31
    

Document Info

Docket Number: G049040

Filed Date: 3/11/2015

Precedential Status: Non-Precedential

Modified Date: 4/17/2021