State of Minnesota by its Minnesota Pollution Control Agency v. Diane C. Anderson ( 2017 )


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  •                           This opinion will be unpublished and
    may not be cited except as provided by
    Minn. Stat. § 480A.08, subd. 3 (2016).
    STATE OF MINNESOTA
    IN COURT OF APPEALS
    A16-0204
    State of Minnesota by its Minnesota Pollution Control Agency,
    Respondent,
    vs.
    Diane C. Anderson, et al.,
    Appellants.
    Filed January 9, 2017
    Affirmed
    Bratvold, Judge
    St. Louis County District Court
    File No. 69DU-CV-11-2185
    Gerald W. Von Korff, Jonathan D. Wolf, Rinke-Noonan, St. Cloud, Minnesota (for
    appellant)
    Lori Swanson, Attorney General, Ann E. Cohen, Assistant Attorney General, St. Paul, MN
    (for respondent)
    Considered and decided by Worke, Presiding Judge; Jesson, Judge; and Bratvold,
    Judge.
    UNPUBLISHED OPINION
    BRATVOLD, Judge
    Appellant Diane Anderson, owner of a waste site, and appellants Dale Cich and
    J & D Services of Northern Minnesota, Inc., operators of an environmental contracting
    company on that site, challenge the district court’s order holding them jointly and severally
    liable for $225,690.79 in cleanup costs, $677,072.37 in civil penalties, and $67,000 in
    attorney fees after the district court determined, without holding an evidentiary hearing,
    that they had violated the terms of a consent decree. We affirm because appellants received
    procedural due process, appellants are jointly and severally liable, and the district court did
    not abuse its discretion in calculating civil penalties.
    FACTS
    This appeal arises out of appellants’ storage of hazardous and non-hazardous waste
    on a property called the Aurora site. 1 Appellant J & D Services of Northern Minnesota,
    Inc. (J & D Services), an environmental contracting company, operated a waste removal
    facility on the Aurora site until the early 2000s when its operations ceased. Appellant Dale
    Cich is the sole incorporator and chief executive officer of J & D Services.
    Between June and December 2000, J & D Services accepted approximately
    1,186,700 pounds of waste from LTV Steel Mining Company (LTV) for storage at the
    Aurora site, with the intention of later recycling the waste. As of 2015, the LTV waste was
    still being stored on the site and had not been recycled.
    In 2005, appellant Diane Anderson acquired ownership of the Aurora site. Cich had
    purchased the property from the prior owners (who are not parties in this case), and then
    transferred the property to Anderson as part of a business transaction unrelated to this
    appeal.
    1
    The waste stored at the Aurora site was mixed; the record establishes that approximately
    35% of the waste was hazardous and 65% was non-hazardous. Because the classification
    of the waste is not relevant in this appeal, we refer generally to “the waste” in this opinion.
    2
    In 2008, respondent Minnesota Pollution Control Agency (MPCA) began
    investigating the Aurora site after a routine tank inspection revealed waste leaking into the
    ground. The MPCA notified the U.S. Environmental Protection Agency (EPA), and the
    EPA issued an administrative order, requiring appellants to submit and complete a plan to
    clean up the site by May 30, 2010. Appellants signed the EPA order, agreeing to comply
    with its terms. Appellants did not, however, complete the plan by the deadline and failed
    to respond to the EPA’s request for a revised plan that would have extended the deadline.
    In August 2010, the MPCA conducted another investigation of the Aurora site and
    discovered that appellants were continuing to violate statutes and regulations relating to
    waste storage. The MPCA then asked the EPA to refer the case back to the MPCA for
    enforcement.
    In December 2010, the MPCA issued an administrative order against appellants,
    citing hazardous waste and underground- and aboveground-storage-tank violations. The
    MPCA held Cich and J & D Services responsible for the violations because they operated
    the waste removal facility on the Aurora site. The MPCA held Anderson responsible
    because she acquired ownership of the tanks when she acquired the land. The
    administrative order became final after no party appealed within the 30-day period for
    seeking judicial review under 
    Minn. Stat. § 14.63
     (2016).
    Appellants failed to comply with the 2010 administrative order, and in June 2011,
    the MPCA filed a complaint in district court against appellants, seeking a court order
    directing appellants to comply with the administrative order. Appellants did not file an
    answer to the complaint, but indicated their willingness to resolve the alleged violations.
    3
    In December 2012, the MPCA, Cich, Anderson, and J & D Services entered into a
    consent decree. The consent decree settled all disputes among the parties, resolved the
    allegations in the complaint, and provided a plan for appellants to complete cleanup of the
    Aurora site by November 15, 2013. The consent decree contained no admissions by
    appellants to the charges in the complaint. On January 3, 2013, the district court approved
    the consent decree and directed entry of judgment.
    The consent decree contemplated disputes among the parties and the need to enforce
    its terms. For example, the consent decree provided that, upon written demand of any party,
    the parties shall attempt to resolve any dispute “as to the meaning of any part of” the
    consent decree “through informal negotiations.” The consent decree also reserved the
    district court’s jurisdiction to enforce, interpret, and extend its provisions and to order any
    relief not inconsistent with its terms. The consent decree provided that the MPCA may
    bring a motion for good cause shown and seek appropriate remedies for appellants’
    noncompliance, including civil penalties under 
    Minn. Stat. § 115.071
     2 and litigation costs
    and expenses arising from willful violations under 
    Minn. Stat. § 115.072
    . 3 The consent
    decree further reserved the MPCA’s enforcement authority under chapters 115B
    2
    Section 115.071 allows the MPCA to pursue civil penalties for violations of “any rules,
    stipulation agreements, variances, schedules of compliance, or orders issued by the
    [MPCA].” 
    Minn. Stat. § 115.071
    , subd. 3 (2016).
    3
    Section 115.072 provides that the MPCA may recover its litigation expenses if it prevails
    in pursuing civil penalties under chapter 115 and the defendant’s violation is willful. 
    Minn. Stat. § 115.072
     (2016).
    4
    (Environmental Response and Liability Act) and 115C (Petroleum Tank Release Cleanup
    Act) if appellants failed to comply with the decree. 4
    On May 20, 2013, Cich requested an extension of time to complete cleanup at the
    Aurora site because “late winter snow storms and road restrictions” had delayed the
    cleanup. In a letter to Cich and Anderson, the MPCA denied the extension request because
    Cich had not shown good cause, as required in the consent decree.
    Cich submitted a written request for “dispute resolution” regarding the denial of his
    extension request. The parties met and agreed that Cich could “submit information
    concerning the nature of the waste, a schedule, and financial information,” and that Cich
    would continue work on the site in the interim. After Cich failed to submit the promised
    information, the MPCA formally denied Cich’s extension request in an administrative
    order.
    On October 25, 2013, the MPCA met with Cich to discuss the deteriorating
    conditions at the Aurora site after an MPCA inspection revealed that some of the buildings
    in which the waste was being stored had been broken into and people had been “squatting”
    in the buildings. In a follow-up letter addressed to Cich and Anderson, the MPCA warned
    that it would exercise its statutory authority to begin an emergency cleanup of the Aurora
    site if appellants failed to complete the cleanup and that it would seek recovery of the
    associated cleanup costs from Anderson and Cich. The MPCA delayed emergency
    4
    The Environmental Response and Liability Act and the Petroleum Tank Release Cleanup
    Act give the MPCA authority to take emergency corrective action to address releases of
    pollutants that the MPCA deems to be a danger to the public health or environment. Minn.
    Stat. § 115B.17, subd. 1(b) (2016); Minn. Stat. § 115C.03, subd. 3 (2016).
    5
    proceedings, however, because Cich told the MPCA that he still intended to complete the
    cleanup.
    After the October 2013 meeting, the MPCA received analytical results and a work
    plan from a consultant that Cich had hired to help remove the waste. In early 2014, the
    MPCA was notified that Cich had removed some of the waste from the site. On March 20,
    2014, the MPCA sent appellants a letter, warning that it would begin emergency cleanup
    if appellants did not resume weekly shipments of the waste from the site. Appellants did
    not respond to the letter.
    By August 2014, appellants still had not completed the cleanup, despite receiving
    extra time to comply with the consent decree that had set a November 2013 deadline. In
    fact, the problems at the site “had gotten worse.” MPCA inspector Kit Grayson stated in
    an affidavit filed in the district court that, in July 2014, he saw tanks leaking waste on
    another property that Cich owns. Grayson recognized the tanks as identical to the tanks
    that were on the Aurora site. Grayson stated that Cich admitted to moving waste from the
    Aurora site to the other property, even though the other property was an unauthorized
    storage and disposal location. Grayson also stated that Cich’s actions violated the consent
    decree.
    On August 8, 2014, relying on the consent decree, the MPCA filed a motion in the
    district court to hold appellants liable for: (a) the cleanup costs that the MPCA would incur
    in cleaning up the site under its emergency enforcement authority; (b) civil penalties; and
    (c) attorney fees. In support of its motion, the MPCA submitted Grayson’s affidavit
    6
    describing appellants’ noncompliance with the terms of the consent decree and the
    conditions at the Aurora site.
    The district court conducted a hearing on the MPCA’s motion. Appellants did not
    submit written evidence in response, but they were represented by an attorney. Appellant’s
    attorney requested informal dispute resolution under the consent decree and an evidentiary
    hearing at which appellants and other witnesses could testify. The MPCA opposed both
    requests, asserting that it had already completed informal dispute resolution with
    appellants, including giving them extra time and multiple opportunities to comply with the
    consent decree.
    On October 28, 2014, the district court granted the MPCA’s motion. The district
    court credited Grayson’s affidavit, and found that appellants had willfully failed to comply
    with the consent decree. The district court denied appellants’ request for informal dispute
    resolution because Grayson’s affidavit documented the MPCA’s considerable efforts “to
    have consistent and reliable communication with” appellants. It also denied appellants’
    request for an evidentiary hearing because appellants made their argument “on the spur of
    the moment, without any evidentiary or legal support.” Lastly, the district court determined
    that the MPCA was entitled to cleanup costs, civil penalties, and attorney fees under the
    terms of the consent decree, and it ordered appellants jointly and severally liable for all
    three remedies. The district court reserved determination of the amount until after the
    MPCA finished the cleanup.
    After completing the emergency cleanup at the Aurora site, the MPCA asked the
    district court to enter judgment against appellants for $225,690.79 in cleanup costs,
    7
    $1,322,500 in civil penalties, and $67,000 in attorney fees. With its motion, the MPCA
    submitted a second affidavit from Grayson, a certificate of expenses, and a legal
    memorandum.
    The district court conducted a hearing to determine the amount the MPCA was
    entitled to receive. On the day of the hearing, appellants submitted four witness affidavits
    and a written memorandum opposing the MPCA’s motion. Cich and Anderson also
    submitted separate letters explaining why they should not be liable for civil penalties.
    Anderson asserted that the waste had been transferred to the Aurora site before she acquired
    the land, and she was never involved with J & D Services’s waste disposal business. Cich
    asserted that he could not afford a large civil penalty because LTV, who delivered the
    waste, never paid J & D Services to dispose of the waste. He also stated that Anderson had
    nothing to do with the waste. At the hearing, appellants’ counsel argued that appellants
    were entitled to an evidentiary hearing because the MPCA’s motion was the equivalent of
    a summary-judgment motion and there were genuine fact disputes that required live
    testimony.
    On September 28, 2015, the district court ordered appellants jointly and severally
    liable for $225,690.79 in cleanup costs, $677,072.37 in civil penalties, and $67,000 in
    attorney fees. The district court denied appellants’ request for an evidentiary hearing
    because they had agreed in the consent decree to be liable for any noncompliance and to
    allow the MPCA to seek enforcement and other remedies by bringing a motion in the
    district court. This appeal follows.
    8
    DECISION
    I.     Procedural Due Process
    The United States and Minnesota Constitutions guarantee the due process of law.
    U.S. Const. amend. XIV, § 1; Minn. Const. art. 1, § 7. Whether the government has violated
    a person’s procedural due process rights is a question of law that this court reviews de
    novo. Sawh v. City of Lino Lakes, 
    823 N.W.2d 627
    , 632 (Minn. 2012). There is “a two-
    step analysis to determine whether the government has violated an individual’s procedural
    due process rights.” 
    Id.
     The first step is to “identify whether the government has deprived
    the individual of a protected life, liberty, or property interest.” 
    Id.
     If no such interest is
    deprived, then no process is due. 
    Id.
     If a protected interest has been deprived, then the
    second step is to determine “whether the procedures followed by the government were
    constitutionally sufficient.” 
    Id.
     (quotation omitted).
    Appellants satisfy the first step of the due process analysis because imposition of
    costs, penalties, and fees deprives appellants of their property. Bd. of Regents of State
    Colleges v. Roth, 
    408 U.S. 564
    , 571–72, 
    92 S. Ct. 2701
    , 2706 (1972) (“[P]roperty interests
    protected by procedural due process extend well beyond actual ownership of real estate,
    chattels, or money.”).
    Under the second step, this court must determine whether the process provided was
    sufficient, balancing the three factors set forth in Mathews v. Eldridge: (1) “the private
    interest at stake”; (2) “the risk of an erroneous deprivation of a protected interest under
    current procedures and the probable value, if any, of additional safeguards”; and (3) “the
    government’s interest, including the fiscal and administrative burdens that would be
    9
    required to impose additional or substitute procedural requirements.” Sawh, 823 N.W.2d
    at 633–35; see Mathews, 
    424 U.S. 319
    , 321, 
    96 S. Ct. 893
    , 896 (1976).
    We review each Mathews factor to determine whether appellants received
    procedural due process. First, the private interest at stake is money, which is
    constitutionally protected as property. Roth, 
    408 U.S. at
    571–72, 
    92 S. Ct. at 2706
    . The
    amount of money at stake in this case—nearly one million dollars—substantiates
    appellants’ property interest. Thus, the first factor weighs in favor of appellants.
    The second factor is the risk of “erroneous deprivation of a protected interest” and
    the likely benefit of “additional safeguards.” Sawh, 823 N.W.2d at 634. The district court
    in this case held appellants liable under the consent decree. A consent decree is essentially
    a contract, subject to contract-law principles. Elsen v. State Farmers Mut. Ins. Co., 
    219 Minn. 315
    , 318–19, 
    17 N.W.2d 652
    , 655 (1945); City of Barnum v. Sabri, 
    657 N.W.2d 201
    , 205 (Minn. App. 2003) (“A consent decree, while prospective in its effect, is the
    product of a negotiated agreement similar [to] a contract.”).
    By signing the consent decree, appellants settled the statutory and regulatory
    violations alleged in the complaint. Different from a settlement agreement, however, the
    consent decree is filed, approved, and signed by the district court, and entered as a
    judgment. Hentschel v. Smith, 
    278 Minn. 86
    , 95, 
    153 N.W.2d 199
    , 206 (1967). Because
    the consent decree was approved by the district court, it has the same res judicata effect as
    a final judgment. Id. at 92, 
    153 N.W.2d at 204
     (the effect of the entry of a consent judgment
    is that “[t]he original claim may become merged in it or barred by it just as that claim would
    be in a judgment after contest”); see also State Bank of New London v. W. Cas. & Sur. Co.,
    10
    
    287 Minn. 339
    , 343, 
    178 N.W.2d 614
    , 617 (1970) (“[A] valid judgment, decree, or an order
    . . . entered by agreement or consent, operates as res judicata to the same extent as if it had
    been rendered after contest and full hearing, is binding and conclusive upon the parties.”).
    In the consent decree, appellants agreed that they would clean up the Aurora site, that
    cleanup costs, civil penalties, and attorney fees were appropriate remedies if they failed to
    comply, and that the MPCA could pursue such remedies through an appropriate motion
    upon good cause shown in the district court.
    Appellants do not contest that they failed to clean up the Aurora site according to
    the terms of the consent decree, nor do they contest that the MPCA had good cause to bring
    a motion to enforce the terms of the consent decree. Appellants contend, however, that an
    evidentiary hearing was necessary so they could provide testimony about their good faith
    efforts to clean up the Aurora site. Appellants also argue that the district court could have
    weighed their credibility at an evidentiary hearing.
    “The judicial model of an evidentiary hearing is neither a required, nor even the
    most effective, method of decisionmaking in all circumstances.” Mathews, 
    424 U.S. at 322
    ,
    
    96 S. Ct. at 897
    ; see also State v. LeDoux, 
    770 N.W.2d 504
    , 514 (Minn. 2009) (“Due
    process does not always require a full evidentiary hearing.”). It is within the district court’s
    discretion to decide whether any testimony should be received. See, e.g., Rew v. Bergstrom,
    
    845 N.W.2d 764
    , 787–88 (Minn. 2014) (holding there was no procedural due process
    violation when the district court declined to hear testimonial evidence). 5
    5
    Appellants cite United States v. Reilly Tar & Chem. Corp. for the proposition that denial
    of “a good faith assertion of one’s rights is per se a violation of due process.” 
    606 F. Supp. 11
    Here, appellants were given the opportunity to argue and present evidence. They
    argued in opposition to the MPCA at two hearings, and, although appellants could have
    submitted evidence during the 2014 liability hearing, they chose not to. At the 2015 penalty
    hearing, appellants filed a legal memorandum and four sworn witness affidavits, and Cich
    and Anderson each submitted letters. The district court also held the record open for two
    weeks after the 2015 penalty hearing so that the parties could submit additional evidence
    and affidavits, which they did.
    Relying on evidence submitted at the 2015 penalty hearing, appellants argued to the
    district court that they did not have the resources to complete the cleanup within the time
    frame provided in the consent decree, and that LTV should be held responsible for the
    cleanup. They also asserted that the MPCA inflated the requested cleanup costs and failed
    to complete the cleanup, leaving barrels on the property. Appellants also claimed that
    Anderson should not be held liable because she was not involved with the waste disposal
    business and was merely the landowner.
    The district court considered appellants’ evidence and weighed the credibility of the
    statements in the affidavits. See Knapp v. Knapp, 
    883 N.W.2d 833
    , 838 (Minn. App. 2016)
    412 (D. Minn. 1985). The MPCA argues that this court need not consider this “novel
    argument” because it was not presented in the district court. We disagree with the MPCA
    because appellants preserved the due process issue for appeal and have merely cited new
    legal authority. In any event, Reilly Tar does not support appellants’ position. Reilly Tar
    did not involve a consent decree; rather, Reilly Tar held that a severe statutory civil penalty
    does not violate procedural due process if the defendant is given the opportunity to assert
    a good faith defense to liability. 606 F. Supp. at 418–22. In this case, appellants had an
    opportunity to assert a good faith defense to the penalty. Reilly Tar does not hold that the
    district court must allow the defendant an evidentiary hearing at which to present a good
    faith defense.
    12
    (deferring to the district court’s weighing of conflicting affidavits). Appellants have not
    demonstrated how live testimony would have added to the process they received.
    Moreover, the procedures available to appellants in this case are consistent with due
    process under existing caselaw. See Bergstrom, 845 N.W.2d at 789 (noting the “procedural
    safeguards” such as “notice, an adversarial hearing in the district court, and the opportunity
    for appellate review that adequately protect [the appellant’s] liberty interest”); Saturnini v.
    Saturnini, 
    260 Minn. 494
    , 498, 
    110 N.W.2d 480
    , 483 (1961) (“Due process requires that
    the hearing be fair, practicable, and reasonable.”). 6
    Appellants have failed to articulate how the process they received risked “erroneous
    deprivation” of their protected interest or “the probable value, if any, of additional
    safeguards.” Appellants are understandably opposed to the district court’s decision, but
    their failure to make a meaningful argument under the second Mathews factor is critical.
    See Bergstrom, 845 N.W.2d at 789 (only briefly reviewing the third Mathews factor
    because the court concluded that the appellant failed to make a showing under the second
    factor).
    Turning to the third and final Mathews factor, the government’s interest, appellants
    argue that allowing testimonial evidence would have imposed a minor burden on the
    government and would not have delayed the MPCA’s cleanup. Even taking this assertion
    6
    Appellants argue that Tull v. United States supports their due process claim. 
    481 U.S. 412
    , 
    107 S. Ct. 1831
     (1987). Tull held that a defendant has a right under the Seventh
    Amendment of the U.S. Constitution to have a jury determine liability under the Clean
    Water Act’s civil penalty provision. 
    Id.
     at 422–25, 
    107 S. Ct. at
    1838–40. Tull is inapposite
    because the Clean Water Act’s civil penalty provision differs from the Minnesota statute
    and there was no consent decree.
    13
    as true, appellants fail to acknowledge that the MPCA has expended considerable time and
    resources working with appellants since 2008 in repeated attempts to clean up the Aurora
    site. Appellants were given multiple opportunities to clean up the waste, including informal
    dispute resolution, and were given extra time after the November 2013 cleanup deadline in
    the consent decree. Viewing the third factor cautiously, we conclude it does not weigh in
    favor of either party because both sides have reasonable arguments.
    In sum, appellants have an important private interest at stake under the first Mathews
    factor, but their failure to make a showing under the second Mathews factor is critical to
    our decision. Appellants had ample notice and opportunity to be heard and have not shown
    that the process provided was constitutionally insufficient. Sawh, 823 N.W.2d at 632
    (“[T]he basic requisites of due process [are] notice and the opportunity to be heard.”).
    Accordingly, the three Mathews factors, on balance, do not support appellants’ due process
    claim and we conclude that appellants’ procedural due process rights were not violated.
    II.     Joint and Several Liability
    Anderson contests the district court’s decision to hold her jointly and severally liable
    for the remedies awarded under the consent decree. Cich and J & D Services do not dispute
    their liability.
    A consent decree is an agreement among the parties, subject to contract-law
    principles. Elsen, 
    219 Minn. at
    318–19, 
    17 N.W.2d at 655
    ; Sabri, 
    657 N.W.2d at
    205–06.
    “Contract interpretation is a question of law that we review de novo.” Caldas v. Affordable
    Granite & Stone, Inc., 
    820 N.W.2d 826
    , 832 (Minn. 2012). “[W]here the language
    employed by the parties is plain and unambiguous there is no room for construction.” Starr
    14
    v. Starr, 
    312 Minn. 561
    , 563, 
    251 N.W.2d 341
    , 342 (1977). As such, this court will “enforce
    the agreement of the parties as expressed in the contract.” Caldas, 820 N.W.2d at 832.
    When the district court interprets a judgment or decree that it entered, the district court’s
    “reading of the provision is entitled to great weight.” Suleski v. Rupe, 
    855 N.W.2d 330
    ,
    339 (Minn. App. 2014) (quotation omitted).
    When a party signs a consent decree, and a court enters judgment, the party forfeits
    its right to litigate the underlying statutory and regulatory allegations, including any
    defenses. Bank of New London, 287 Minn. at 343, 
    178 N.W.2d at 617
     (stating that a consent
    judgment is a final adjudication and has the same effect as a judgment entered “after contest
    and full hearing”). Thus, to the extent that Anderson contests the MPCA’s allegation that
    she is a defendant that is liable to clean up the Aurora site, Anderson’s opportunity to have
    made this argument was before she signed the consent decree, not at the penalty phase.
    Anderson concedes that it is too late for her to contest the validity of the consent decree
    because she did not challenge the district court’s judgment incorporating the consent decree
    within the applicable time period for appealing a final judgment. See Minn. R. Civ. App.
    P. 104.01, subd. 1 (appeal from final judgment must be taken within 60 days after its entry).
    Therefore, Anderson’s only defense to liability for the civil penalties turned on whether
    she complied with the terms of the consent decree.
    The consent decree reserves the district court’s authority to interpret, enforce, or
    extend the provisions of the consent decree. It also gives the district court authority to grant
    any relief not inconsistent with the terms of the consent decree upon motion by either party
    for good cause shown. In the 2014 liability order, the district court determined that
    15
    appellants had failed to comply with the terms of the consent decree, and their
    noncompliance was willful. Accordingly, the district court decided that holding all three
    appellants jointly and severally liable for the cleanup costs, civil penalties, and attorney
    fees was not inconsistent with the terms of the consent decree.
    We conclude that the district court did not err in holding Anderson jointly and
    severally liable for several reasons. First, the consent decree imposes the same obligation
    on all three appellants. Because Anderson signed the consent decree, she is subject to its
    terms and enforcement provisions to the same extent as Cich and J & D Services.
    Second, all three remedies awarded in this case were authorized in the consent
    decree. The consent decree unambiguously provides for civil penalties and reimbursement
    of litigation expenses as remedies for noncompliance with its terms. While the consent
    decree does not specify liability for attorney fees, it cites statutes that authorize the MPCA
    to seek attorney fees and penalties. It also reserves the MPCA’s authority to initiate an
    emergency cleanup under chapters 115B and 115C and to seek recovery of cleanup costs
    if appellants fail to comply with the consent decree.
    Anderson argues that the district court wrongly imposed liability because she is an
    “innocent landowner.” Anderson asserts that “the agency must establish clearly and
    convincingly that the party is not only ‘responsible’ within the meaning of [chapter 115B],
    but that there are facts which justify imposition of a penalty.” Relying on a law review
    article and government websites, Anderson contends that imposing a large penalty on the
    person who is least able to pay runs contrary to the legislature’s intent under chapter 115B.
    16
    The MPCA argues that this court need not consider Anderson’s innocent-landowner
    argument because she is raising it for the first time on appeal. In her letter to the district
    court, Anderson asserted, without relying on legal authority, that she should not be held
    responsible for the cleanup at the Aurora site because she has never been involved in the
    waste disposal business and the waste was deposited on the land before she acquired the
    property. Anderson’s letter preserved the issue for appeal, and Anderson’s appellate brief
    is merely citing new authority to support the same argument she made in the district court.
    In any event, Anderson’s innocent-landowner argument fails. By signing the
    consent decree, Anderson settled the underlying claims in the complaint and agreed to be
    responsible for the cleanup, as well as potentially responsible for the MPCA’s enforcement
    of the consent decree, including civil penalties. Thus, Anderson is bound by the terms of
    the consent decree, and the chapter 115B provisions establishing who is a “responsible”
    party are not relevant.
    Anderson also argues that the MPCA should have pursued an action against LTV.
    The MPCA is given broad discretion in determining the best enforcement action under
    chapter 115B. See State ex rel. Pollution Control Agency v. U.S. Steel Corp., 
    307 Minn. 374
    , 379, 
    240 N.W.2d 316
    , 319 (1976) (“[W]e are convinced that the legislature recognized
    that the effective and expeditious control of a serious environmental problem requires that
    those entrusted with the enforcement of our pollution control laws be provided a broad
    range of remedies from which they are free to select those they deem most appropriate.”).
    Further, the MPCA may hold “responsible” parties strictly liable, jointly and severally, for
    costs associated with the agency’s cleanup. Minn. Stat. § 115B.04, subd. 1 (2016). Thus,
    17
    the MPCA was not required to sue all potential defendants because just one defendant may
    be held strictly liable for the all of the cleanup costs. Accordingly, the district court did not
    err in holding Anderson jointly and severally liable for the cleanup costs, civil penalties,
    and attorney fees.
    III.   Civil Penalty Assessment
    This court reviews a district court’s assessment of a civil penalty for an abuse of
    discretion. Gillson v. State Dep’t of Nat. Res., 
    492 N.W.2d 835
    , 843 (Minn. App. 1992).
    The district court’s factual findings are reviewed for clear error. Rasmussen v. Two Harbors
    Fish Co., 
    832 N.W.2d 790
    , 797 (Minn. 2013). Factual findings are not clearly erroneous
    if, after viewing the evidence in the light most favorable to the factfinder’s determination,
    there is reasonable evidence in the record to support the findings. 
    Id.
    Appellants dispute the amount of civil penalties, arguing that the district court’s
    method of calculating civil penalties and its factual determinations underlying its penalty
    award are clearly erroneous. In determining the civil penalty award, the district court made
    factual findings on four factors set forth in State by Humphrey v. Alpine Air Products, Inc.
    
    490 N.W.2d 888
    , 897 (Minn. App. 1992) (identifying factors to consider in determining
    size of penalty for state consumer protection and antitrust violations). First, the district
    court found that appellants’ violation of the consent decree was done in bad faith because
    they willfully failed to comply with the consent decree. Second, the district court
    determined that appellants’ failure to clean up the Aurora site caused an injury to the public
    because their conduct made the Aurora site worse.
    18
    Third, the district court determined that appellants have the ability to pay. The
    district court considered appellants’ affidavits and letters in which they claimed that they
    could not afford a large monetary liability because LTV had not paid J & D Services. The
    district court concluded, however, that appellants’ affidavits suggest that they have other
    financial resources because they run other businesses, although the district court
    acknowledged that appellants provided no information regarding whether these businesses
    are profitable. The district court discredited appellants’ assertion that they lacked the ability
    to pay, but also stated that there was “no solid information, one way or the other, on how
    much” appellants could pay.
    Fourth, the district court found that it is unclear whether appellants received any
    benefit from violating the consent decree, other than delaying the cleanup. The district
    court credited an affidavit of a former J & D Services employee who stated that LTV failed
    to pay J & D Services for its waste disposal services because LTV filed for bankruptcy.
    The district court also explained its calculation of the penalty amount. The
    maximum statutory penalty is $25,000 per day for hazardous waste violations and $10,000
    per day for non-hazardous waste violations. 
    Minn. Stat. § 115.071
    , subd. 3. The district
    court determined that the maximum statutory penalty it could impose against appellants
    was $2,645,000. This calculation was based on per-day violations starting on the date that
    appellants were in noncompliance with the consent decree and excluding the winter
    months. The district court also weighed the per-day violations based on the percentage of
    the waste that had been classified as hazardous and non-hazardous waste.
    19
    The district court decided, however, that the maximum statutory penalty was not “a
    sensible way to assess the civil penalty.” It believed “that, in a case like this, civil penalties
    should bear some relationship to the actual cleanup cost.” The district court concluded that,
    by tying the penalty to the cleanup costs, the penalty would deter future similar conduct.
    Therefore, the district court trebled the cleanup costs and imposed civil penalties of
    $677,072.37.
    Appellants make three arguments contesting the district court’s penalty award. First,
    appellants contend that the district court did not make sufficient factual findings under the
    fourth Alpine Air factor, the benefit to the defendant. The district court acknowledged that
    appellants did not seem to have benefitted from violating the consent decree, except for the
    apparent benefit of delaying cleanup. Although this factor seems to weigh in favor of
    mitigating the penalty, the district court did not abuse its discretion because the other three
    factors weighed in favor of the penalty.
    Second, appellants dispute the district court’s factual determination under the third
    Alpine Air factor that they have the ability to pay the penalty. The district court discredited
    appellants’ assertion that they lacked the ability to pay, finding that appellant’s affidavits
    suggested that they run other businesses. We defer to the district court’s opportunity to
    weigh credibility. Minn. R. Civ. P. 52.01 (stating that this court gives due regard “to the
    opportunity of the trial court to judge the credibility of the witnesses”); Knapp, 883 N.W.2d
    at 838.
    Third, appellants assert that the district court failed to consider evidence establishing
    that Cich went “to great lengths to find a way to dispose of the waste lawfully.” Appellants
    20
    appear to argue that Cich’s efforts should have mitigated the penalty amount. But the
    district court’s determination that appellants willfully failed to comply with the consent
    decree is supported by the record. We therefore conclude that the district court’s
    consideration of the four Alpine Air factors and its decision to impose a civil penalty award
    that is far less than the statutory-maximum was not an abuse of discretion.
    Affirmed.
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