Center for Biological Diversity v. Ross ( 2020 )


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  •                            UNITED STATES DISTRICT COURT
    FOR THE DISTRICT OF COLUMBIA
    CENTER FOR BIOLOGICAL
    DIVERSITY, et al.,
    Plaintiffs,
    v.                                         Civil Action No. 18-112 (JEB)
    WILBUR ROSS, in his official capacity as
    Secretary of Commerce, et al.,
    Defendants,
    and
    MASSACHUSETTS LOBSTERMEN’S
    ASSOCIATION, INC., et al.,
    Defendant-Intervenors.
    MEMORANDUM OPINION
    So named because for centuries they were easy to kill and strip for blubber, North
    Atlantic “right” whales have been hunted to the edge of extinction. One of the first animals to be
    protected under the Endangered Species Act, the population nonetheless hovers perilously
    around 400, fewer than 100 of which are breeding females. The largest modern threats to this
    species are ship strikes and fishing-gear entanglement, each of which also makes the whales
    more susceptible to the other.
    In 2014, Defendant National Marine Fisheries Service produced a Biological Opinion
    finding that, despite its potential to harm the species in unsustainable numbers, the American
    lobster fishery would not jeopardize the continued existence of the North Atlantic right whale.
    In so finding, however, the Service failed to include an “incidental take statement” as required
    1
    under the Act. In response to this suit brought by four conservation groups, the Court now
    concludes that the agency’s reasons for this signal omission are unavailing. It will thus hold the
    2014 Biological Opinion to be illegal under the Endangered Species Act and will order briefing
    as to further remedies.
    I.     Background
    The Court begins by laying out the statutory framework of the ESA, the Marine Mammal
    Protection Act, and the Administrative Procedure Act before proceeding to the factual and
    procedural background. Plaintiffs’ Complaint, as will be explained in more detail shortly, cites
    the ESA and APA for Count I, the ESA alone for Counts II and III, and the MMPA and APA for
    Count IV.
    A. Statutory Framework
    1. Endangered Species Act
    Congress enacted the ESA in 1973 “to halt and reverse the trend toward species
    extinction, whatever the cost.” Nat’l Ass’n of Home Builders v. U.S. Fish and Wildlife Serv.,
    
    786 F.3d 1050
    , 1052 (D.C. Cir. 2015) (quoting Tenn. Valley Auth. v. Hill, 
    437 U.S. 153
    , 184
    (1978)). The Act “constitutes ‘the most comprehensive legislation for the preservation of
    endangered species ever enacted by any nation.’” Ctr. for Biological Diversity v. EPA, 
    861 F.3d 174
    , 177 (D.C. Cir. 2017) (quoting Tenn. Valley Auth., 
    437 U.S. at 180
    ). To enforce its various
    provisions, the ESA contains a citizen-suit provision “of remarkable breadth.” Bennett v. Spear,
    
    520 U.S. 154
    , 164 (1997). It authorizes “any person . . . to enjoin any person, including the
    United States and any other governmental instrumentality or agency[,] . . . who is alleged to be in
    violation of any provision of [the ESA] or regulation issued under the authority thereof.” 16
    
    2 U.S.C. § 1540
    (g)(1)(A). It is under this provision that Plaintiffs in this case bring their first three
    claims. See ECF No. 1 (Complaint), ¶¶ 117–34 (Counts I–III).
    Of the various substantive provisions of the Act, the most relevant here is § 7(a)(2),
    which requires that “[e]ach Federal agency . . . insure that any action authorized, funded, or
    carried out by such agency . . . is not likely to jeopardize the continued existence of any
    endangered species.” 
    16 U.S.C. § 1536
    (a)(2). To achieve this end, the accompanying
    regulations specify that “[e]ach Federal agency shall review its actions at the earliest possible
    time to determine whether any action may affect listed species.” 
    50 C.F.R. § 402.14
    (a). If this
    preliminary “may affect” threshold is met, the agency (called the “action agency”) must engage
    in consultation with an “expert agency.” Id.; Conservation Law Found. v. Ross, 
    2019 WL 5549814
    , at *2 (D.D.C. Oct. 28, 2019). In this case, the “action agency” was NMFS’s
    Sustainable Fisheries Division (SFD), and the “expert agency” was its Protected Resources
    Division (PRD).
    The ESA regulations have created a few escape hatches allowing agencies, in a limited
    number of circumstances, to bypass this consultation requirement and instead engage in
    “informal consultation.” See 
    50 C.F.R. § 402.14
    (b). The parties in this case, however, do not
    dispute that SFD was required to engage in “formal consultation” — that is, the full consultation
    process contemplated by the Act.
    Broadly speaking, the object of consultation under the statute is for the expert agency to
    determine whether the project will violate § 7(a)(2)’s prohibition on jeopardizing the continued
    existence of endangered and threatened species. The “formal consultation” process laid out by
    the accompanying regulations, see generally 
    50 C.F.R. § 402.14
    (g), ultimately results in a
    “biological opinion.” 
    Id.
     § 402.14(e). The BiOp can either find that the action does violate
    3
    § 7(a)(2) — “a ‘jeopardy’ biological opinion” — or that it does not — “a ‘no jeopardy’
    biological opinion.” Id. § 402.14(h)(1). In the case of a “jeopardy” BiOp, if the expert agency
    “indicate[s] that to the best of its knowledge there are no reasonable and prudent alternatives”
    that would avoid jeopardizing the species, id. § 402.14(h)(2), the action stands in violation of
    § 7(a)(2) and cannot go forward. See 
    16 U.S.C. § 1536
    (a)(2); Tenn. Valley Auth., 
    437 U.S. at
    172–74.
    Where a “no jeopardy” BiOp issues — or where reasonable and prudent alternatives to
    the action exist — the Act then requires the project to meet several requirements regarding its
    potential to “take” the species. The Act defines “[t]he term ‘take’” as “to harass, harm, pursue,
    hunt, shoot, wound, kill, trap, capture, or collect, or to attempt to engage in any such conduct.”
    
    16 U.S.C. § 1532
    (19); see also 
    50 C.F.R. § 222.102
     (expanding that definition to include
    “significant habitat modification or degradation which actually kills or injures fish or wildlife by
    significantly impairing essential behavioral patterns, including, breeding, spawning, rearing,
    migrating, feeding or sheltering”). The statutory requirements regarding “take” are as follows:
    If after consultation under subsection (a)(2), the Secretary concludes
    that —
    (A) the agency action will not violate such subsection [i.e.,
    through a no-jeopardy BiOp], or offers reasonable and
    prudent alternatives which the Secretary believes would not
    violate such subsection [i.e., through a jeopardy BiOp
    finding such alternatives];
    (B) the taking of an endangered species or a threatened
    species incidental to the agency action will not violate such
    subsection; and
    (C) if an endangered species or threatened species of a
    marine mammal is involved, the taking is authorized
    pursuant to section 1371(a)(5) of [the MMPA, discussed
    below];
    the Secretary shall provide the Federal agency and the applicant
    concerned, if any, with a written statement that —
    (i) specifies the impact of such incidental taking on the
    species,
    4
    (ii) specifies those reasonable and prudent measures that the
    Secretary considers necessary or appropriate to minimize
    such impact,
    (iii) in the case of marine mammals, specifies those measures
    that are necessary to comply with section 1371(a)(5) of [the
    MMPA] with regard to such taking, and
    (iv) sets forth the terms and conditions (including, but not
    limited to, reporting requirements) that must be complied
    with by the Federal agency or applicant (if any), or both, to
    implement the measures specified under clauses (ii) and (iii).
    
    16 U.S.C. § 1536
    (b)(4). Subsections (i) through (iv) thus lay out the substantive requirements
    for this “written statement,” called an “incidental take statement” by the regulations. See 
    50 C.F.R. § 402.14
    (i). The content of an ITS is further dictated by regulation. See 
    50 C.F.R. § 402.14
    (i). Importantly, the regulations also make clear that an ITS must be produced whenever
    “[incidental] take is reasonably certain to occur.” 
    50 C.F.R. § 402.14
    (g)(7).
    Subsections (A) through (C), conversely, lay out the prerequisites the agency must satisfy
    before even being permitted to produce an ITS and proceed with the project: (1) the project must
    not threaten the continued existence of the listed species; (2) any incidental take from the project
    must not threaten the continued existence of the species; and (3) any incidental take from the
    project must not violate § 101(a)(5) of the Marine Mammal Protection Act, discussed below,
    which requires that there be no more than a negligible impact on the species. See 
    16 U.S.C. §§ 1536
    (b)(4)(A)–(C), 1371(a)(5); see also 
    50 C.F.R. § 402.14
    (i)(1) (“In those cases where the
    [expert agency] concludes that an action (or the implementation of any reasonable and prudent
    alternatives) and the resultant incidental take of listed species will not violate section 7(a)(2) and,
    in the case of marine mammals, where the taking is authorized pursuant to section 101(a)(5) of
    the Marine Mammal Protection Act of 1972, [it] will provide with the biological opinion a
    statement concerning incidental take . . . .”) (emphasis added).
    5
    In sum: if take is reasonably certain, there must be an incidental-take statement, and that
    ITS must confirm that any take complies with both the ESA and the MMPA. The absence of an
    ITS is at the crux of this case.
    2. Marine Mammal Protection Act
    Plaintiffs’ fourth cause of action falls under the Marine Mammal Protection Act. See
    Compl., ¶¶ 135–39. Congress enacted the MMPA in 1972, see 
    86 Stat. 1027
    , in
    acknowledgment of the “great international significance” of marine mammals and its finding
    “that they should be protected and encouraged to develop to the greatest extent feasible.” 
    16 U.S.C. § 1361
    (6). In order to counteract “man’s activities” that placed marine mammals “in
    danger of extinction or depletion,” 
    id.
     § 1361(1), the Act’s stated aim is to keep all marine
    mammal populations at or above their “optimum sustainable population.” Id. § 1361(2). To
    achieve that goal, the MMPA “generally prohibits any individual from ‘taking’ a marine
    mammal.” Winter v. NRDC, 
    555 U.S. 7
    , 15 (2008) (quoting 
    16 U.S.C. § 1372
    (a)). The MMPA
    defines “take” similarly to the ESA, stating that the term “means to harass, hunt, capture, or kill,
    or attempt to harass, hunt, capture, or kill any marine mammal.” 
    16 U.S.C. § 1362
    (13); see also
    
    50 C.F.R. § 216.3
     (elaborating that “[t]ake” includes “the restraint or detention of a marine
    mammal, no matter how temporary,” as well as “the doing of any other negligent or intentional
    act which results in disturbing or molesting a marine mammal”).
    While the Act places a broad “moratorium on the taking and importation” of all marine
    mammals, see 
    16 U.S.C. § 1371
    (a), it also contains “several enumerated exceptions.” In re Polar
    Bear Endangered Species Act Listing and Section 4(d) Rule Litig., 
    720 F.3d 354
    , 357 (D.C. Cir.
    2013). One of these allows incidental takings by certain commercial fishing operations should
    they be approved by NMFS in compliance with the MMPA and its regulations. See 16 U.S.C.
    6
    § 1371(a)(1). If NMFS determines, “after notice and opportunity for public comment,” that “the
    incidental mortality and serious injury from commercial fisheries will have a negligible impact
    on such species or stock” and that the species is subject to recovery and monitoring plans, it must
    allow incidental take by such fisheries. Id. § 1371(a)(5)(E)(i) (emphasis added). NMFS must
    post a list of the fisheries permitted under these requirements, and any fishery not on the list that
    does “take” the marine mammal is subject to penalties. Id. §§ 1371(a)(5)(E)(i), 1387(h). As
    noted above, compliance with this section of the MMPA is also required by the ESA. Id.
    § 1536(b)(4)(C).
    3. Administrative Procedure Act
    The Administrative Procedure Act, passed in 1946, “sets forth the full extent of judicial
    authority to review executive agency action for procedural correctness.” FCC v. Fox Television
    Stations, Inc., 
    556 U.S. 502
    , 513 (2009) (citing Vermont Yankee Nuclear Power Corp. v. NRDC,
    
    435 U.S. 519
    , 545–49 (1978)). It subjects to judicial review “final agency action for which there
    is no other adequate remedy in a court.” 
    5 U.S.C. § 704
    . The statute also sets out the standard
    for such review, requiring courts to “hold unlawful and set aside agency action, findings, and
    conclusions” that are “arbitrary, capricious, an abuse of discretion, or otherwise not in
    accordance with law.” 
    5 U.S.C. § 706
    (2)(A).
    While Plaintiffs’ first claim purports to “lie both under the ESA and the APA, . . . the
    APA by its terms independently authorizes review only when ‘there is no other adequate remedy
    in a court.’” Bennett, 
    520 U.S. at
    161–62 (quoting 
    5 U.S.C. § 704
    ); see also Conservation Force
    v. Salazar, 
    715 F. Supp. 2d 99
    , 104 n.6 (D.D.C. 2010) (“[T]he APA permits courts to review
    ‘final agency action for which there is no other adequate remedy in a court.’” Here, the ESA’s
    citizen-suit provision provides an adequate remedy.”) (citation omitted) (quoting 
    5 U.S.C. §
                                                    7
    704). The Court will thus treat this first count as arising under only the ESA. Confusingly,
    however, while the APA does not provide a cause of action for ESA claims, it does provide the
    standard of review. Nat’l Ass’n of Home Builders v. Norton, 
    415 F.3d 8
    , 13 (D.C. Cir. 2005);
    see also Cabinet Mountains Wilderness/Scotchman’s Peak Grizzly Bears v. Peterson, 
    685 F.2d 678
    , 685 (D.C. Cir. 1982) (“Since the ESA does not specify a standard of review, judicial review
    is governed by section 706 of the [APA].”). For all three ESA claims, consequently, “[w]hile the
    subject of review is whether NMFS has violated the ESA, the standard of review is thus found in
    APA precedent.” CLF, 
    2019 WL 5549814
    , at *10. This standard will be laid out in a future
    section. See infra Section II.
    Plaintiffs’ fourth claim, on the other hand, is properly pled as arising under the APA,
    since the MMPA, unlike the ESA, does not have a citizen-suit provision. See 
    16 U.S.C. §§ 1371
    ,
    1387; accord NRDC v. Evans, 
    279 F. Supp. 2d 1129
    , 1142 (N.D. Cal. 2003) (“Citizens
    challenging actions done under the MMPA must sue under the APA.”); Didrickson v. U.S. Dep’t
    of Interior, 
    982 F.2d 1332
    , 1338 (9th Cir. 1992) (noting “that the MMPA does not provide for
    citizen enforcement of the Act”). While all four claims must thus be reviewed under the APA
    standard of review, only the last of them properly derives its cause of action from that statute.
    B. Factual History
    Lest this Opinion get too dry, let us head back out to sea. NMFS supervises multiple
    fisheries along the continental coastline. This case concerns the American lobster fishery, which
    consists of seven areas spanning the East Coast from Maine to North Carolina, American
    Lobster, NOAA Fisheries (last visited Apr. 8, 2020), https://www.fisheries.noaa.gov/species/
    american-lobster, and most abundantly between Maine and New Jersey. See C1 26727. It is
    “one of the most valuable fisheries along the Atlantic coast,” raking in hundreds of millions of
    8
    dollars and lobsters every year. American Lobster, Atlantic States Marine Fisheries Commission
    (last visited Apr. 8, 2020), http://www.asmfc.org/species/american-lobster. The fishery is
    managed pursuant to a Fishery Management Plan (FMP) created by the New England Fishery
    Management Council, one of eight regional councils created by the Magnuson-Stevens Act and
    managed by NMFS. Oceana, Inc. v. Pritzker, 
    26 F. Supp. 3d 33
    , 36–37 (D.D.C. 2014).
    The North Atlantic right whale, which has “been listed as endangered under the [ESA]
    since its passage in 1973,” C1 6807, “is one of the world’s most endangered large whale species,
    with only about 400 whales remaining.” North Atlantic Right Whale, NOAA Fisheries (last
    visited Apr. 8, 2020), https://www.fisheries.noaa.gov/species/north-atlantic-right-whale. This
    highly migratory species feeds and mates in New England and Canadian waters but may travel as
    far south as Florida each year to calve. 
    Id.
     The two largest factors preventing this whale
    population from recovering to a sustainable level are “vessel collisions and entanglement in
    fishing gear.” C1 6807.
    Fishing gear with a vertical line poses an especially grave danger to the species, since
    such gear has ropes stretching from the surface to the ocean floor into which the whales may
    swim and become entangled. See C1 26781. Two types of vertical-line gear are lobster pot/trap
    gear and gillnets used to fish non-crustaceans. This Court previously invalidated NMFS’s
    opening of a large area to gillnet fishing. CLF, 
    2019 WL 5549814
    , at *14–16. In that litigation,
    the Service’s own expert claimed that “[t]he risk of entanglement mortality to right whales is
    much higher in trap/pot gear, particularly lobster gear, because lobster fishing accounts for over
    97% of the vertical lines on the east coast.” Conservation Law Found. v. Ross, No. 18-1087,
    ECF No. 40-4 (Declaration of Michael Asaro), ¶ 7; see CLF, 
    2019 WL 5549814
    , at *15 (quoting
    same). “Pot/trap gear,” the type used in the American lobster fishery, “is known to entangle
    9
    ESA-listed cetaceans” such as the North Atlantic right whale, “with some events resulting in
    injuries and death.” C1 26726. It has “been identified as a gear type causing injuries and
    mortality of right, humpback, and fin whales.” 
    Id.
    On July 31, 2014, NMFS issued its newest Biological Opinion for the American lobster
    fishery, see C1 26652–28422 (2014 BiOp), finding that the fishery “may adversely affect, but is
    not likely to jeopardize, the continued existence of North Atlantic right whales.” C1 26811. As
    to incidental take, Defendants mince no words: “NMFS anticipated take would occur as the
    result of the action, but did not include an ITS in the 2014 BiOp.” ECF No. 81 (Defs. Opp. and
    Cross-Motion for SJ) at 17. Specifically, the 2014 BiOp found that “the lobster fishery ha[d] the
    potential to seriously injure or kill an average of 3.25 right whales per year.” C1 26787. The
    BiOp arrived at this number because 3.25 had been “the average reported mortality or serious
    injury to right whales due to fishery entanglement from U.S. gear” each year “[f]rom 2007 to
    2011.” C1 26786. The figure was well over the whale’s “potential biological removal level” —
    that is, “the maximum number of animals, not including natural mortalities, that may be removed
    from a marine mammal stock while allowing that stock to reach or maintain its optimum
    sustainable population.” 
    50 C.F.R. § 229.2
    ; see C1 26796 (2014 BiOp reciting same definition).
    The PBR for North Atlantic right whales, in fact, “is 0.9 whales.” C1 26796; see C1 26686
    (same).
    Despite finding that the American lobster fishery had the potential to “take” North
    Atlantic right whales within the meaning of the ESA, the 2014 BiOp explained that it did “not
    includ[e] an incidental take authorization for right . . . whales in connection with this biological
    opinion because (1) an incidental take statement cannot be lawfully issued under the ESA for a
    marine mammal unless incidental take authorization exists for that marine mammal under the
    10
    MMPA and (2) the incidental take of ESA-listed whales by the American lobster fishery has not
    been authorized under section 101(a)(5) of the MMPA.” C1 26812 (citation omitted) (citing 
    16 U.S.C. § 1536
    (b)(4)(C)). Because of this, “no incidental take by the American lobster fishery is
    authorized under the ESA.” 
    Id.
     Instead of an ITS, NMFS “included numerical ‘triggers’ for
    reinitation of ESA section 7 consultation.” 
    Id.
     For right whales, this number was an annual
    average of 3.25 incidents of serious injury or mortality within a five-year period. 
    Id.
     “[I]f the
    average number of serious injuries or mortalities were to occur for the whale species at a number
    ≤ the species’ trigger, it would not likely reduce appreciably the likelihood of both survival and
    recovery of the whale species.” 
    Id.
    NMFS concluded by “recogniz[ing] that further efforts among stakeholders are necessary
    to reduce interactions between authorized federal fisheries and right, humpback, fin, and sei
    whales in order to achieve the MMPA’s goal of insignificant levels of incidental mortality and
    serious injury of marine mammals . . . .” C1 28422. And “[a]lthough NMFS ha[d] concluded
    that the American lobster fishery is not likely to jeopardize the continued survival or recovery of
    right . . . whales for purposes of ESA Section 7, the need for further efforts among stakeholders
    to reduce whale/fishery interactions and achieve the zero mortality goal of the MMPA is not
    diminished by this no-jeopardy conclusion.” 
    Id.
    C. Procedural History
    In January 2018, Plaintiffs Center for Biological Diversity, Defenders of Wildlife, and
    The Humane Society of the United States filed suit in this Court, challenging the 2014 BiOp and
    subsequent agency action on four grounds. See Compl., ¶¶ 117–39. First, they claimed that the
    2014 BiOp was deficient under the ESA for a number of reasons, including for “fail[ing] to
    include an incidental take statement” and instead including the “numeric trigger,” an “unlawful
    11
    substitute for an incidental take statement.” 
    Id.,
     ¶¶ 123–24. Plaintiffs’ second allegation is that
    NMFS violated the ESA by “rely[ing] on this legally invalid opinion to meet its substantive
    obligations under Section 7(a)(2) of the ESA.” Id., ¶ 128. Their third claim asserted that the
    agency was running afoul of an altogether different provision of the ESA, Section 9, which
    makes it “unlawful for any person subject to the jurisdiction of the United States to . . . cause to
    be committed,” 
    16 U.S.C. § 1538
    (g), the “take [of] any [listed] species within the United States
    or the territorial sea of the United States.” 
    Id.
     § 1538(a)(1)(B); see Compl., ¶¶ 131–34 (so
    alleging). And finally, Plaintiffs maintained that “NMFS’s continued authorization, permitting,
    and management of the American lobster fishery in absence of an MMPA take authorization”
    was “not in accordance with the MMPA, in violation of the APA.” Compl., ¶ 139 (citing 
    5 U.S.C. § 706
    (2)).
    NMFS, for its part, answered the Complaint but moved to transfer the case to the District
    of Massachusetts. See ECF Nos. 10, 12. After consolidating the case with one alleging the same
    four claims and brought by Plaintiff Conservation Law Foundation, see ECF No. 19; see also
    Conservation Law Found. v. Ross, No. 18-283, ECF No. 1 (Complaint), ¶¶ 118–48, the Court
    denied the transfer motion, finding this “a case of national, rather than local, importance.” Ctr.
    for Biological Diversity v. Ross (CBD I), 
    310 F. Supp. 3d 119
    , 127 (D.D.C. 2018). Shortly
    thereafter, both the Maine Lobstermen’s Association and the Massachusetts Lobstermen’s
    Association successfully moved to intervene as defendants. See ECF Nos. 24, 31 (motions to
    intervene); Minute Order of June 4, 2018 (granting Maine); Minute Order of Aug. 3, 2018
    (granting Massachusetts). Plaintiffs had moved for discovery back in May, and Defendants had
    opposed. The Court “attempted to assist the parties in reaching a compromise on this issue, but
    apparently to no avail.” Ctr. for Biological Diversity v. Ross (CBD II), 
    349 F. Supp. 3d 38
    , 40
    12
    (D.D.C. 2018). In October 2018, “forced to address the merits of the discovery dispute,” the
    Court granted discovery on two of Plaintiffs’ four counts. 
    Id.
     The Court then also granted the
    parties’ joint request “that discovery and briefing should both be bifurcated, with the first phase
    to address liability and a second, future phase to address remedy, if necessary.” ECF No. 48
    (Joint Mot. to Clarify), ¶ 2; see Minute Order of Nov. 13, 2018.
    After discovery closed at the end of May 2019, see Minute Order of Apr. 22, 2019,
    Plaintiffs filed a motion for summary judgment, and NMFS responded by moving to stay the
    case. Ctr. for Biological Diversity v. Ross (CBD III), 
    419 F. Supp. 3d 16
    , 19 (D.D.C. 2019).
    This request arose from the agency’s “intent to issue, by July 31, 2020, both (1) a new BiOp for
    the American lobster fishery and (2) a regulation amending the Atlantic Large Whale Take
    Reduction Plan (TRP).” 
    Id.
     A TRP is required by a different section of the MMPA not
    challenged by Plaintiffs in this case. 
    Id.
     The Court denied the stay, finding the TRP process
    irrelevant to this case and the new BiOp not at all certain to moot Plaintiffs’ claims, particularly
    in the interim before the BiOp is issued. 
    Id.
     at 22–23.
    With the motion to stay resolved, Defendants filed their Oppositions to Plaintiffs’ Motion
    for Summary Judgment and Cross-Motions for Summary Judgment. Briefing is now complete,
    and the Court is ready to rule on the Motions.
    II.    Legal Standard
    Upon a party’s motion, Federal Rule of Civil Procedure 56(a) requires the Court to “grant
    summary judgment if the movant shows that there is no genuine dispute as to any material fact
    and the movant is entitled to judgment as a matter of law.” A fact is material if it would change
    the outcome of the litigation, Anderson v. Liberty Lobby, Inc., 
    477 U.S. 242
    , 248 (1986);
    Holcomb v. Powell, 
    433 F.3d 889
    , 895 (D.C. Cir. 2006), and a dispute is genuine if the evidence
    13
    is such that a reasonable jury could return a verdict for the non-moving party. Scott v. Harris,
    
    550 U.S. 372
    , 380 (2007); Holcomb, 
    433 F.3d at 895
    . In the event of conflicting evidence on a
    material issue, the Court is to construe the conflicting evidence in the light most favorable to the
    non-moving party. Sample v. Bureau of Prisons, 
    466 F.3d 1086
    , 1087 (D.C. Cir. 2006).
    “Factual assertions in the moving party’s affidavits or declarations may be accepted as true
    unless the opposing party submits its own affidavits[,] . . . declarations[,] or documentary
    evidence to the contrary.” Defs. of Wildlife v. U.S. Border Patrol, 
    623 F. Supp. 2d 83
    , 87
    (D.D.C. 2009) (citing Neal v. Kelly, 
    963 F.2d 453
    , 456 (D.C. Cir. 1992)).
    As noted above, however, all four claims in this case are to be reviewed under the APA’s
    judicial-review standard. See supra Section I.A.3. That standard, set out below, applies in place
    of the typical summary-judgment standard of Rule 56: “[W]hen a party seeks review of agency
    action under the APA, . . . the district judge sits as an appellate tribunal.” Rempfer v. Sharfstein,
    
    583 F.3d 860
    , 865 (D.C. Cir. 2009) (quoting Am. Bioscience, Inc. v. Thompson, 
    269 F.3d 1077
    ,
    1083 (D.C. Cir. 2001)). In other words, “[t]he entire case on review is a question of law.” 
    Id.
    (quoting Marshall Cty. Health Care Auth. v. Shalala, 
    988 F.2d 1221
    , 1226 (D.C. Cir. 1993)).
    As noted above, the APA requires courts to “hold unlawful and set aside agency action,
    findings, and conclusions” that are “arbitrary, capricious, an abuse of discretion, or otherwise not
    in accordance with law.” 
    5 U.S.C. § 706
    (2)(A). Agency action is arbitrary and capricious if, for
    example, the agency “entirely failed to consider an important aspect of the problem, offered an
    explanation for its decision that runs counter to the evidence before the agency, or is so
    implausible that it could not be ascribed to a difference in view or the product of agency
    expertise.” Motor Vehicle Mfrs. Ass’n v. State Farm Mut. Auto. Ins. Co., 
    463 U.S. 29
    , 43
    (1983).
    14
    “‘The scope of review [in an APA case] is narrow and a court is not to substitute its
    judgment for that of the agency,’ provided the agency has ‘examine[d] the relevant data and
    articulate[d] a satisfactory explanation for its action including a rational connection between the
    facts found and the choice made.’” Airmotive Eng’g Corp. v. FAA, 
    882 F.3d 1157
    , 1159 (D.C.
    Cir. 2018) (second and third alterations in original) (quoting State Farm, 
    463 U.S. at 43
    ). While
    the Court “may not supply a reasoned basis for the agency’s action that the agency itself has not
    given, [it] will uphold a decision of less than ideal clarity if the agency’s path may reasonably be
    discerned.” Bowman Transp., Inc. v. Ark.-Best Freight Sys., Inc., 
    419 U.S. 281
    , 285–86 (1974)
    (citation omitted) (citing SEC v. Chenery Corp., 
    332 U.S. 194
    , 196 (1947); then citing Colo.
    Interstate Gas Co. v. FPC, 
    324 U.S. 581
    , 595 (1945)). It is only these “certain minimal standards
    of rationality” to which a reviewing court holds an agency. Nat’l Envtl. Dev. Ass’n’s Clean Air
    Project v. EPA, 
    686 F.3d 803
    , 810 (D.C. Cir. 2012) (quoting Ethyl Corp. v. EPA, 
    541 F.2d 1
    ,
    36–37 (D.C. Cir. 1976) (en banc)).
    III.   Analysis
    Although the foregoing involved scene setting portends quite a lengthy unfolding of this
    drama, the reader may take heart: the analysis here is not taxing. Indeed, the Court need address
    only one part of Count I to find that the 2014 BiOp is invalid under the ESA. And even that
    analysis, set forth in more detail below, can be summarized quite neatly: The ESA and its
    regulations require an ITS when the taking of an endangered species is anticipated. Take was
    anticipated here, and NMFS did not produce an ITS. The 2014 BiOp therefore violates the ESA.
    The slightly longer version is this. As noted above, ESA regulations require that NMFS
    “[f]ormulate a statement concerning incidental take, if such take is reasonably certain to occur.”
    
    50 C.F.R. § 402.14
    (g)(7). The agency concedes that although “NMFS anticipated take would
    15
    occur as the result of the action, [it] did not include an ITS in the 2014 BiOp.” Def. MSJ at 17.
    For purposes of the ESA citizen-suit provision, a violation of an ESA regulation is equivalent to
    a violation of the statute itself. See 
    16 U.S.C. § 1540
    (g)(1)(A) (“[A]ny person may commence a
    civil suit . . . to enjoin any person, including the United States and any other governmental
    instrumentality or agency . . . who is alleged to be in violation of any provision of this chapter or
    regulation issued under the authority thereof . . . .”) (emphasis added).
    Defendants counter that this seemingly unassailable logic “misread[s] the ESA and
    MMPA.” Def. MSJ at 26. Because the ESA would have required an ITS to find that any take
    would not violate § 101(a)(5) of the MMPA, see 
    16 U.S.C. §§ 1536
    (b)(4)(C), 1371(a)(5), and
    because NMFS had been “unable to [so] find,” the agency concluded that it “was not permitted
    to include an ITS in that BiOp.” Def. MSJ at 27. So, “[r]ather than decline to issue a BiOp
    entirely, NMFS reasonably sought to harmonize the MMPA and ESA under the unique
    circumstances presented here.” 
    Id.
     By including the “functional equivalent” of an ITS — its
    “numerical trigger for reinitiation” of consultation, 
    id.
     at 29 — NMFS claims to have fulfilled its
    ESA duties. Defendants then cite legislative history from the 1994 amendments to the MMPA
    that they claim shows a congressional intent not “to force NMFS, in seeking to implement the
    ESA and MMPA, to close fisheries.” Id. at 27. On the contrary, they argue, Congress included
    in the ESA the requirement to fulfill § 101(a)(5) of the MMPA “to merely lend urgency to the
    TRT process [under § 118 of the MMPA] in situations like the one presented by the right whale.”
    (For context, a separate provision of the MMPA, § 118 — not raised by Plaintiffs in this case —
    requires NMFS to implement a Take Reduction Plan (TRP) with the advice of a Take Reduction
    Team (TRT) in order to reduce the harm to endangered species to a sustainable level. See
    generally 
    16 U.S.C. § 1387
    (f).) In sum, the agency argues that because the fishery would not
    16
    have been able to proceed had they complied with the ESA, NMFS was justified in abandoning
    the Act’s directives altogether.
    The Service and the statute pass each other like ships in the night. The agency does not
    appear to invoke Chevron deference for its novel interpretation of the law, but even if it did, the
    text of the ESA is crystal clear. As the D.C. Circuit has explained,
    At th[e] first step of the Chevron analysis we “employ[ ] traditional
    tools of statutory construction” to determine whether Congress has
    “unambiguously foreclosed the agency’s statutory interpretation.”
    Congress may have done so in one of two ways: either by
    prescribing a precise course of conduct other than the one chosen by
    the agency, or by granting the agency a range of interpretive
    discretion that the agency has clearly exceeded. Because at Chevron
    step one we alone are tasked with determining Congress’s
    unambiguous intent, we answer both inquiries without showing the
    agency any special deference. And if the agency has either violated
    Congress’s precise instructions or exceeded the statute’s clear
    boundaries then, as Chevron puts it, “that is the end of the matter”
    — the agency’s interpretation is unlawful.
    Village of Barrington v. Surface Transp. Bd., 
    636 F.3d 650
    , 659–60 (D.C. Cir. 2011) (alteration
    in original) (citations omitted) (quoting Chevron, U.S.A., Inc. v. NRDC, 
    467 U.S. 837
    , 843 n.9
    (1984); then quoting Catawba Cty. v. EPA, 
    571 F.3d 20
    , 35 (D.C. Cir. 2009); and then quoting
    Chevron, 
    467 U.S. at 842
    ).
    Here, the ESA and accompanying regulations plainly require an ITS, and they require
    that the ITS find that any take resulting from the proposed agency action will neither jeopardize
    the continued existence of the listed species nor run afoul of § 101(a)(5) of the MMPA. See 
    50 C.F.R. § 402.14
    (g)(7) (requiring ITS “if [incidental] take is reasonably certain to occur”); 
    16 U.S.C. § 1536
    (b)(4) (requiring, in order for NMFS to even create a BiOp, that it find that (1) the
    action does not jeopardize the continued existence of the species, (2) any incidental taking will
    not jeopardize the continued existence of the species, and (3) any incidental taking of a marine
    17
    mammal is authorized under § 101(a)(5) of the MMPA). The statutory text itself harmonizes the
    ESA and the MMPA quite clearly by requiring that both be satisfied in the case of marine
    mammals. See 
    16 U.S.C. § 1536
    (b)(4). NMFS’s finding that the lobster fishery would have
    more than the “negligible impact” allowed by § 101(a)(5) of the MMPA meant that the fishery
    violated § 7(b)(4) of the ESA. This should have ended the agency’s inquiry.
    The fact that the alternative is to “decline to issue a BiOp entirely,” Def. MSJ at 27, does
    not change the requirements of the ESA. In fact, that is precisely the purpose of the ESA: “The
    plain intent of Congress in enacting the [ESA] was to halt and reverse the trend toward species
    extinction, whatever the cost.” Ctr. for Biological Diversity, 861 F.3d at 177 (quoting Tenn
    Valley Auth., 
    437 U.S. at 184
    ). In the seminal case on the ESA, the Supreme Court enjoined
    operation of an already-constructed dam, which “requir[ed] the sacrifice of the anticipated
    benefits of the project and of many millions of dollars in public funds.” Tenn. Valley Auth., 
    437 U.S. at 174
    . But this unfortunate outcome could not change the plain language of the Act, wrote
    the Court:
    One would be hard pressed to find a statutory provision whose terms
    were any plainer than those in § 7 of the Endangered Species Act.
    Its very words affirmatively command all federal agencies “to insure
    that actions authorized, funded, or carried out by them do not
    jeopardize the continued existence” of an endangered species or
    “result in the destruction or modification of habitat of such
    species . . . .
    Id. at 173 (omission in original) (quoting 
    16 U.S.C. § 1536
    (a)(2)). Defendants cannot rewrite the
    statute just because they do not agree with its consequences.
    Finally, the Service’s inclusion of a “numerical trigger for reinitiation” of consultation,
    Def. MSJ at 29, does nothing to cure its violation of the Act. Setting a threshold of an acceptable
    take level for the fishery, see generally 
    50 C.F.R. § 402.14
    (i)(4), is only one of many mandatory
    18
    components of an ITS. 
    Id.
     § 402.14(i)(1)(i)–(v). In any case, the Service does not deny that its
    “functional equivalent” was not, in fact, an ITS. See Def. MSJ at 3, 18, 29. As stated ad
    nauseum above, the ESA and its regulations require an ITS. Any non-ITS substitute, even one
    that fulfills one of several functions of an ITS, will not do.
    In short, the Service’s failure to include an ITS in its 2014 BiOp after finding that the
    American lobster fishery had the potential to harm the North Atlantic right whale at more than
    three times the sustainable rate is about as straightforward a violation of the ESA as they come.
    The Court therefore declares the 2014 BiOp to be invalid under the Endangered Species Act and
    will order briefing from the parties on the issue of an injunctive remedy.
    Having so found, the Court has no need to engage in Plaintiffs’ other arguments as to
    why the 2014 BiOp violated the ESA. But NMFS would do well to adhere to all of the Act’s
    requirements in any future BiOps. For example, Plaintiffs here also pointed out that the Service
    evaluated the fishery’s impact on right whales using the MMPA’s “serious injury and mortality”
    standard, see 
    16 U.S.C. § 1387
    , instead of the broader “effects of the action” standard required
    by the ESA, which includes “all consequences to listed species or critical habitat that are caused
    by the proposed action, including the consequences of other activities that are caused by the
    proposed action.” 
    50 C.F.R. § 402.02
    ; see 
    id.
     § 222.102 (defining “take” to include actions that
    injure a listed species “by significantly impairing essential behavioral patterns, including[]
    breeding, spawning, rearing, migrating, feeding or sheltering”); see also, e.g., C1 26787 (2014
    BiOp considering lobster fishery’s “potential to seriously injure or kill” right whales). Put
    differently, just because the Court had no need to discuss other features of the 2014 BiOp does
    not mean that they complied with the ESA (or, for that matter, the MMPA) and should be
    repeated in future BiOps.
    19
    IV.    Conclusion
    For the foregoing reasons, the Court will grant Plaintiffs’ Motion for Summary Judgment
    and deny Defendants’ and Defendant-Intervenors’ corresponding Cross-Motion for Summary
    Judgment. A contemporaneous Order so stating will issue this day.
    /s/ James E. Boasberg
    JAMES E. BOASBERG
    United States District Judge
    Date: April 9, 2020
    20
    

Document Info

Docket Number: Civil Action No. 2018-0112

Judges: Judge James E. Boasberg

Filed Date: 4/9/2020

Precedential Status: Precedential

Modified Date: 4/9/2020

Authorities (22)

boyd-didrickson-and-marina-katelnikoff-beck-plaintiff-intervenors-v , 982 F.2d 1332 ( 1992 )

Amer Bioscience Inc v. Thompson, Tommy G. , 269 F.3d 1077 ( 2001 )

Scott v. Harris , 127 S. Ct. 1769 ( 2007 )

Winter v. Natural Resources Defense Council, Inc. , 129 S. Ct. 365 ( 2008 )

Chevron U. S. A. Inc. v. Natural Resources Defense Council, ... , 104 S. Ct. 2778 ( 1984 )

Natural Resources Defense Council, Inc. v. Evans , 279 F. Supp. 2d 1129 ( 2003 )

Catawba County v. Environmental Protection Agency , 571 F.3d 20 ( 2009 )

Rempfer v. Sharfstein , 583 F.3d 860 ( 2009 )

Motor Vehicle Mfrs. Assn. of United States, Inc. v. State ... , 103 S. Ct. 2856 ( 1983 )

Securities & Exchange Commission v. Chenery Corp. , 332 U.S. 194 ( 1947 )

Anderson v. Liberty Lobby, Inc. , 106 S. Ct. 2505 ( 1986 )

Bennett v. Spear , 117 S. Ct. 1154 ( 1997 )

Defenders of Wildlife v. United States Border Patrol , 623 F. Supp. 2d 83 ( 2009 )

Conservation Force v. Salazar , 715 F. Supp. 2d 99 ( 2010 )

National Ass'n of Home Builders v. Norton , 415 F.3d 8 ( 2005 )

ethyl-corporation-v-environmental-protection-agency-ppg-industries-inc , 541 F.2d 1 ( 1976 )

Holcomb, Christine v. Powell, Donald , 433 F.3d 889 ( 2006 )

Cabinet Mountains Wilderness/scotchman's Peak Grizzly Bears ... , 685 F.2d 678 ( 1982 )

Vermont Yankee Nuclear Power Corp. v. Natural Resources ... , 98 S. Ct. 1197 ( 1978 )

Federal Communications Commission v. Fox Television ... , 129 S. Ct. 1800 ( 2009 )

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