United States Court of Appeals
For the First Circuit
____________________
No. 01-1770
STATE OF MAINE, ET AL.,
Plaintiffs, Appellees,
v.
DIRECTOR, UNITED STATES FISH AND WILDLIFE SERVICE, ET AL.,
Defendants,
DEFENDERS OF WILDLIFE, ET AL.,
Movants, Appellants.
____________________
APPEAL FROM THE UNITED STATES DISTRICT COURT
FOR THE DISTRICT OF MAINE
[Hon. Gene Carter, U.S. District Judge]
____________________
Before
Boudin, Chief Judge,
Gibson, Senior Circuit Judge,*
and Lynch, Circuit Judge.
____________________
Howard M. Crystal with whom Eric R. Glitzenstein and Meyer and
Glitzenstein were on brief for appellants.
* Of the Eighth Circuit, sitting by designation.
Catherine R. Connors with whom Peter W. Culley and Pierce
Atwood were on brief for appellees.
____________________
August 24, 2001
____________________
-2-
LYNCH, Circuit Judge. In November, 2000 the National Marine
Fisheries Service and the U.S. Fish and Wildlife Service (collectively,
"the Services") issued a final decision designating Atlantic Salmon in
an area comprised of seven Maine rivers to be an endangered species
under the Endangered Species Act. 16 U.S.C. §§ 1531-1544 (1994 & Supp.
IV 1998). Several weeks later, the State of Maine and business group
plaintiffs sued to have the decision set aside. The United States
appeared to defend the Services. Several conservation groups,
Defenders of Wildlife, Biodiversity Foundation, Conservation Action
Project, Forest Ecology Network, and Coastal Waters Project
(collectively, "Defenders"), sought to intervene also attempting to
defend the designation of the Atlantic Salmon as an endangered species.
Defenders' chief argument was that the Services had recently been their
adversaries in earlier litigation, which Defenders had brought to force
the Services to protect the salmon, and this meant the United States
did not and could not adequately represent the conservation groups'
interests. No party opposed the intervention.
The district court nonetheless denied the intervention, but
did say it would allow Defenders to participate in the litigation on an
amicus-plus status. Maine v. Norton, No. CIV 00-250-B-C, 2001 WL
360991, at *7 (D. Me. Apr. 11, 2001). As amicus-plus, Defenders have
the right to submit briefs (including arguments not presented by the
government), a limited right to call and cross-examine witnesses, and
-3-
a right to receive notice and service of all documents and events as if
they were parties in the case. Defenders appealed from the denial of
intervention. The plaintiff business interests appeared to defend the
district court's order as within its discretion. The State of Maine
has not taken a position on the appeal.
With a caveat, we affirm the order as within the trial
court's discretion. In doing so, we decline to adopt a per se rule,
urged by Defenders, that the "inadequacy of representation" test of
Fed. R. Civ. P. 24(a)(2) is automatically met where the litigation
challenges governmental action which the government defends and the
proposed intervenor had earlier sued the government trying to bring
about a similar action. Rather, the "inadequacy" test must be looked
at in context of the facts of the specific case. That context leads to
the caveat: should, in the course of this litigation, the trial court
conclude that the government appears not to represent adequately the
interest of Defenders, then it should reconsider afresh, on
application, the matter of intervention.
I.
Legend has it that salmon were once so plentiful in the great
rivers of Maine that workers along the Kennebec River negotiated as a
term of employment that they would not be fed salmon for breakfast,
lunch, and dinner. W.H. Bunting, A Day's Work (2000). In the year
2000, by contrast, very few wild adult salmon returned to the seven
-4-
Maine Rivers at issue in this case (the Dennys, East Machias, Machias,
Pleasant, Narraguagus, Ducktrap, and Sheepscot Rivers). Me. Atl.
Salmon Comm'n, 2000 Trap Catch Statistics, at
http://www.state.me.us/asa/2000catchstats.html (last modified Nov. 3,
2000). This is significant because the Atlantic Salmon spawns in
freshwater rivers. Young salmon live in those rivers for one to three
years before they undergo changes which enable them to live in
saltwater. The salmon then migrate to the Atlantic Ocean. In
reproducing, they return to the streams where they were born, where the
female salmon delivers the eggs.
Concerned about the decline in salmon population, in 1993 one
of the conservation groups petitioned the Services to list the salmon
as an "endangered" species under the Endangered Species Act ("ESA").
See 16 U.S.C. § 1540(g)(2)(C) (requiring written notice); 65 Fed. Reg.
69,459 at 69,462 (2000) (providing a history of previous federal action
concerning the salmon).
"Endangered species" is a legal term of art that signifies
"any species which is in danger of extinction throughout all or a
significant portion of its range." 16 U.S.C. § 1532(6). It is
contrasted with "threatened species," which signifies "any species
which is likely to become an endangered species within the foreseeable
future." Id. § 1532(20). The ESA requires the Secretary of the
Interior to "determine whether any species is an endangered species or
-5-
a threatened species because of any of the following factors: (A) the
present or threatened destruction, modification, or curtailment of its
habitat or range; (B) overutilization for commercial, recreational,
scientific, or educational purposes; (C) disease or predation; (D) the
inadequacy of existing regulatory mechanisms; or (E) other natural or
manmade factors affecting its continued existence." Id. § 1533(a)(1).
The Secretary must classify species as endangered or threatened "solely
on the basis of the best scientific and commercial data available to
him after conducting a review of the status of the species and after
taking into account those efforts, if any, being made by any State . .
. to protect such species." Id. § 1533(b)(1)(A).
The purpose of such classification is to conserve the
endangered or threatened species. See id. § 1531(b). But there are
differences between the two classifications. While the ESA requires
the Secretary to issue regulations to provide for the conservation of
threatened species, id. § 1533(d), it also prohibits the import,
export, or taking of endangered species, id. § 1538(a)(1). When making
either the "threatened" or "endangered" determination, the Secretary
must take state efforts to protect the species into account. Id. §
1533(b)(1)(A). If the Secretary enters into a cooperative agreement
with a state to protect a threatened species, regulations to protect
that species, with the exception of regulations prohibiting the taking
of that species, apply only to the extent that the state has adopted
-6-
them. Id. § 1533(d).
This legislative framework sets the stage for the regulatory
history, which is essential to understanding Defenders' argument.
II.
In 1994, in response to the 1993 petition to list the
Atlantic Salmon under the ESA, the Services published a notice in the
Federal Register indicating that such a listing was potentially
warranted. 59 Fed. Reg. 3067 (1994). In 1995, the Services concluded
that the requested listing was not warranted because the salmon as they
had been described in the earlier petition did not meet the ESA's
definition of a species. 60 Fed. Reg. 14,410 (1995).1 In this same
notice, the Services concluded that the Atlantic Salmon in seven Maine
rivers did meet the ESA's criteria for a species because they were
found to be evolutionarily significant and reproductively isolated from
other populations belonging to the same species. Id. at 14,411-12.
In 1995, the Services published a proposed rule listing the
Gulf of Maine Distinct Population Segment ("DPS") of the Atlantic
Salmon as threatened under the ESA. 60 Fed. Reg. 50,530 (1995). But
in 1997, the Services withdrew the proposed rule because of scientific
data bearing on the health of the DPS and ongoing and planned actions
1 The 1993 petition requested the Services to list the
naturally spawning anadromous Atlantic Salmon throughout its known
historic range in the United States. The Services "determined that
available biological evidence" did not support such a listing. 60 Fed.
Reg. at 14,412.
-7-
to protect the Atlantic Salmon, including federal conservation efforts
and the State of Maine's development of the "Atlantic Salmon
Conservation Plan for Seven Maine Rivers." 62 Fed. Reg. 66,325 at
66,332-37 (1997).
Maine's Conservation Plan addresses both ongoing and proposed
actions to reduce threats to the Atlantic Salmon. Id. at 66,335. "The
stated intent of the Conservation Plan is to minimize human impacts on
the Atlantic salmon and restore the species . . . ." Id. The Maine
Plan identifies five categories of threats to the salmon: agriculture,
aquaculture, forestry, recreational fishing, and other natural and
human related threats. Id. at 66,335-37. For each category of threat,
the Plan describes ongoing and planned future actions to protect the
salmon. Id.
When deciding whether to classify a species as threatened or
endangered under the ESA, the Secretary must consider the status of the
species after accounting for any state efforts to protect the species.
16 U.S.C. § 1533(b)(1)(A). After doing so, the Services in 1997
concluded that ongoing actions had "substantially reduced threats to
the species" and that the DPS was "not likely to become endangered in
the foreseeable future" and so listing was "not warranted" at the time.
62 Fed. Reg. 66,325 at 66,337.
In 1999, the proposed intervenors filed suit in the U.S.
District Court for the District of Columbia, challenging the Services'
-8-
1997 withdrawal of the proposed rule. While the D.C. litigation was
underway, the Services in November 1999 proposed a new rule that listed
the Gulf of Maine Salmon as endangered, 64 Fed. Reg. 62,627 (1999), not
merely threatened. Once a proposed listing rule is promulgated, the
Services ordinarily have one year to make a final decision. 16 U.S.C.
§ 1533(b)(6)(A)(i).
On June 14, 2000, the parties in the D.C. litigation entered
into a court-endorsed stipulation agreeing to stay that litigation
pending the Services' decision to promulgate or withdraw the proposed
endangered species rule by November 17, 2000. In entering the
stipulation, the Services were modifying their unilateral ability to
extend the review process by six months, see 16 U.S.C. § 1533(b)(6)(B).
The stipulation did provide that a party could ask the court to modify
the terms of the agreement. Eventually, the D.C. litigation concluded
and judgment entered. The Services complied with the stipulation by
deciding within the stipulated time frame of one year.
The Services issued a final rule listing the Gulf of Maine
Atlantic Salmon as an endangered species. 65 Fed. Reg. 69,459 (2000)
(to be codified at 50 C.F.R. pts. 17 and 224). In their justification
for listing the Atlantic Salmon as endangered, the Services considered,
among other factors, the low number of returning adult salmon, 65 Fed.
Reg. 69,459 at 69,461, 69,479, the escalating threat of disease, id. at
69,476-77, and threats to the salmon from existing aquaculture
-9-
practices, id. at 69,477-79.
The State of Maine, the Maine State Chamber of Commerce, and
various Maine businesses and business associations challenged the
regulation. They alleged, pursuant to the Administrative Procedure
Act, that the Services' designation of the Maine Atlantic Salmon as
endangered was arbitrary and capricious and should therefore be set
aside. See 5 U.S.C. § 706(2)(A) (1994). Their complaint included
allegations that the Services (1) failed to base their listing decision
on the best available data; (2) ignored Maine's Plan to protect and
restore the salmon; (3) unlawfully agreed to restrict their own ability
to extend the statutory deadline for regulating; and (4) acted
inconsistently with their prior decision not to list the salmon as
threatened or endangered.
III.
We start with Defenders' challenge to the district court's
denial of their motion for intervention of right. Intervention of
right, in the absence of a federal statute granting intervention, is
governed by Fed. R. Civ. P. 24(a)(2), which states:
Upon timely application anyone shall be permitted to
intervene in an action: . . . (2) when the applicant claims
an interest relating to the property or transaction which is
the subject of the action and the applicant is so situated
that the disposition of the action may as a practical matter
impair or impede the applicant's ability to protect that
interest, unless the applicant's interest is adequately
represented by existing parties.
-10-
This suit largely turns2 on the clause "unless the applicant's interest
is adequately represented by existing parties."
The appellate standard of review in this Circuit is that
"[w]e will reverse the denial of a motion to intervene as of right 'if
the court fails to apply the general standard provided by the text of
Rule 24(a)(2), or if the court reaches a decision that so fails to
comport with the standard as to indicate an abuse of discretion.'"
Public Serv. Co. of N.H. v. Patch, 136 F.3d 197, 204 (1st Cir. 1998)
(quoting International Paper Co. v. Town of Jay, 887 F.2d 338, 344 (1st
Cir. 1989)). As we have said, "'abuse of discretion' . . . may be a
misleading phrase. Decisions on abstract issues of law are always
reviewed de novo; and the extent of deference on 'law application'
issues tends to vary with the circumstances." Cotter v. Mass. Ass'n of
Minority Law Enforcement Officers, 219 F.3d 31, 34 (1st Cir. 2000),
cert. denied, 531 U.S. 1072 (2001). "Despite its nomenclature,
intervention 'as of right' usually turns on judgment calls and fact
assessments that a reviewing court is unlikely to disturb except for
clear mistakes. . . . [I]n practice, the district court enjoys a
reasonable measure of latitude . . . ." Daggett v. Comm'n on
2 The district court assumed that Defenders' asserted interest
satisfied Rule 24(a)(2)'s "interest relating to the property or
transaction which is the subject of the action" requirement, and held
that the disposition of the case may impede Defenders' ability to
protect that interest. The business interests' protests need not be
addressed. Our decision focuses on the "inadequacy" point.
-11-
Governmental Ethics and Election Practices, 172 F.3d 104, 113 (1st Cir.
1999).3
Some burden of showing inadequacy is placed on the proposed
intervenor. See id. at 111 (not deciding whether burden is one of
production or persuasion). The general alignment of interest of the
Services and Defenders in upholding the designation is self-evident.
This case is not an instance of the government having to make a
regulatory choice which may be adverse to the proposed intervenors; the
government has made the choice to designate the species as endangered,
and the result is what the proposed intervenors wanted. There is no
inadequacy immediately apparent in such a situation.
Defenders make two arguments as to intervention of right,
only one of which has any substance. The primary argument is that the
Services, formerly Defenders' antagonists, cannot be trusted to defend
fully the endangered species designation because they will not make an
argument which Defenders would make. The argument the Services are
unlikely to make is that the Services should have protected the
Atlantic Salmon earlier, that they were wrong when they failed to do
3 Other circuits, but not this one, apparently review de novo
most issues of denial to intervene. E.g., Mausolf v. Babbitt, 85 F.3d
1295, 1302 (8th Cir. 1996) (reviewing de novo); Coalition of Ariz./N.M.
Counties for Stable Econ. Growth v. Dep't of the Interior, 100 F.3d
837, 840 (10th Cir. 1996) (reviewing de novo save for timeliness
issue); Idaho Farm Bureau Fed'n v. Babbitt, 58 F.3d 1392, 1397 (9th
Cir. 1995) (same); but see In re Sierra Club, 945 F.2d 776, 779 (4th
Cir. 1991) (abuse of discretion review).
-12-
so, particularly in deferring to Maine's State Plan in 1997, and that
the 2000 designation corrected an earlier mistake. Indeed, the issue
on which Defenders focus is in the case as a result of plaintiffs'
pleading. Plaintiffs' complaints claim that the change in the
government's position between 1997 and 2000 is evidence of the
arbitrariness of the Services' 2000 designation. More specifically,
Defenders say that the argument they would make is different in kind
from the other arguments because it is an argument under step one of
Chevron that as a matter of law, the Services could not in 1997 have
deferred to the Maine Conservation Plan. See Chevron U.S.A. Inc. v.
Natural Resources Defense Council, Inc., 467 U.S. 837, 842-43 (1984).
That is because, in their view, that Plan was not an "existing"
regulatory mechanism under 16 U.S.C. § 1533(a)(1)(D).
The Services, having not opposed intervention below, have not
appeared in this appeal, but we assume that they are not likely to
confess any error as to the 1997 withdrawal of the "threatened" species
designation. Rather, they will likely say that the sum of information
available to them justified the 2000 designation.
Defenders argue that the Supreme Court has said that
applicants for intervention need only make a "minimal" showing that
representation "may be" inadequate. Trbovich v. United Mine Workers,
404 U.S. 528, 538 n.10 (1972). From this Defenders make a stab at an
argument that the district court made an error of law, reviewed de
-13-
novo, by holding them to the test of demonstrating that the Services
"will fail to adequately protect their claimed interest." Norton, 2001
WL 360991 at *6. "Will fail," they say, is a harsher standard than
"may be inadequate." This argument, which relies on a single phrase
plucked out of a lengthy opinion, is not a fair reading of what the
district court did. The court applied Trbovich and this Circuit's law
and there is no serious argument that the court misapprehended the
legal standard in its careful analysis. In addition, this case is
meaningfully different from Trbovich. In Trbovich, the Court's doubts
about the adequacy of the government's representation stemmed from the
Labor Secretary's statutory duty to represent the "two distinct
interests" of the individual union members and the general public. 404
U.S. at 538-39. Here there is no statutorily imposed conflict and the
Services' interests are closely aligned with Defenders' interests.
This case presents a recurring situation: a group with
recognized interests wishes to intervene and defend an action of the
government which the government is itself defending. Trbovich is such
a case, as are several of our decisions in the area. E.g., Cotter, 219
F.3d 31 (minority police officers and Massachusetts Association of
Minority Law Enforcement Officers sought to intervene to defend police
department's promotion of minority officers); Mass. Food Ass'n v. Mass.
Alcoholic Beverages Control Comm'n, 197 F.3d 560 (1st Cir. 1999) (trade
associations sought to intervene to defend Massachusetts liquor
-14-
regulation), cert. denied, 529 U.S. 1105 (2000); Daggett, 172 F.3d 104
(parties intending to run for office sought to intervene to defend
Maine Clean Election Act); Patch, 136 F.3d 197 (industry and consumer
groups sought to intervene to defend New Hampshire electric utility
restructuring plan); United Nuclear Corp. v. Cannon, 696 F.2d 141 (1st
Cir. 1982) (Conservation Law Foundation sought to intervene to defend
Rhode Island nuclear power regulation).
Generally, our decisions have proceeded on the assumption,
subject to evidence to the contrary, that the government will
adequately defend its actions, at least where its interests appear to
be aligned with those of the proposed intervenor. E.g., Mass. Food
Ass'n, 197 F.3d at 567. Indeed, our cases use the language of
"presumption." E.g., id. at 566-67; Daggett, 172 F.3d at 111.
Although the bar is raised higher for proposed intervenors in this
situation, there is danger in a mechanistic application of such
language. "Presumption" means no more in this context than calling for
an adequate explanation as to why what is assumed -- here, adequate
representation -- is not so. See Fed. R. Evid. 301; 2 McCormick on
Evidence § 344 at 445-46 (John W. Strong et al. eds., 5th ed. 1999).
The facts of these cases vary greatly and whether the proposed
intervenors' explanation of inadequacy suffices must be determined "in
keeping with a commonsense view of the overall litigation." Patch,
136 F.3d at 204.
-15-
Here, Defenders have offered an explanation and the question
is whether the district court abused its discretion in concluding that
the explanation did not presently suffice. As the case is now
configured, we cannot find abuse of discretion. At bottom Defenders
show one argument which they wish to present and (we assume) the
government does not. The district court has said, through its grant of
amicus-plus status, that it will hear the arguments Defenders wish to
present. At oral argument before our Court, the plaintiff business
interests have said they will not object to Defenders presenting
arguments on the basis that they are not intervenors (and will respond
to the arguments on the merits). And our cases have said that a
difference in tactics as to presenting a legal argument does not
necessarily an inadequacy make. E.g., Daggett, 172 F.3d at 112.
The argument Defenders wish to advance may be thought of as
a supplement to the defendants' main argument in the case. The main
argument, under the APA, concerns whether the 2000 designation is
"arbitrary, capricious, an abuse of discretion, or otherwise not in
accordance with law." 5 U.S.C. § 706(2)(A). Whether the Services
should have earlier so designated the salmon may be a building block in
an argument, but is hardly a necessary one to the defense. Defenders'
additional argument is better thought of as a rejoinder to plaintiffs'
argument that the Services' different result in 2000 than in 1997 is
evidence that the 2000 decision was arbitrary. There are several
-16-
obvious, more direct arguments for the government to make in response
in which the Services and Defenders have a common interest, and which
do not depend on the alternate argument.
Defenders seek to wrap themselves in decisions of this Court
reversing district court decisions denying intervention. See Cotter,
219 F.3d 31; Conservation Law Found. v. Mosbacher, 966 F.2d 39 (1st
Cir. 1992). But in each of those cases the intervenors had direct
private interests (in Cotter, 219 F.3d at 34-37, the jobs and
promotions available to black police officers and in Conservation Law
Foundation, 966 F.2d at 44, commercial fishing interests) which the
government had and could have no interest in protecting. Further, in
Conservation Law Foundation, the government did not answer or defend
the case but simply agreed to a consent decree that imposed additional
burdens on and was unacceptable to intervenors. Id. Those situations
are a far cry from this case, which involves no dissimilar interests,
but only a tactical disagreement. It is difficult to analyze
"inadequacy" without looking at the strength of the interests the
would-be intervenors present and the tests of inadequacy may vary with
the strength of the interests. Daggett, 172 F.3d at 111, 113-14.
These proposed intervenors, like those in Daggett, are more in the
middle of the range as to strength of interests, and, as in Daggett, an
appellate court is hard pressed to reverse a district court's decision,
either way it goes.
-17-
Given plaintiffs' emphasis on the Services' supposed "change"
of position, we might view this case differently if the argument
Defenders wish to present depended on introduction of evidence that the
Services would refuse to present.4 But review of federal agency
administrative actions is usually confined to the record before the
agency. See SEC v. Chenery Corp., 318 U.S. 80, 87-88 (1943). No one
has suggested that the record of agency action will not permit the
argument to be made that Defenders wish to pursue. And there is no
suggestion the case requires presentation of evidence only available
through Defenders' participation as intervenors.
This leaves the argument that because of the prior
litigation, we should question the government's zeal in adequately
defending the designation. The Ninth and the Tenth Circuit have
considered this, among other factors, in finding inadequacy in such
circumstances. Idaho Farm Bureau Fed'n v. Babbitt, 58 F.3d 1392, 1398
(9th Cir. 1995); Coalition of Ariz./N.M. Counties for Stable Econ.
Growth v. Dep't of the Interior, 100 F.3d 837, 845-46 (10th Cir. 1996).
Our view is that the former adversary relationship between the
government and proposed intervenors may raise questions about adequacy,
but does not alone answer the questions. An earlier adverse
4 Plaintiff business interests informed the district court they
wish to discover and introduce evidence outside of the record. The
United States has taken the position review is restricted to the
record. We take no position on the matter.
-18-
relationship with the government does not automatically make for a
present adverse relationship.
Here, the Services did not designate the Atlantic Salmon as
endangered under litigation compulsion to reach that result, but rather
of their own accord. Further, the Services' endangered species
designation goes beyond what Defenders sought in the earlier
litigation. After all, Defenders' suit challenged the 1997 withdrawal
of the designation of the Atlantic Salmon as "threatened," a
designation which provides less protection. The articulated reasoning
supporting the Services' 2000 designation cites to new studies and
information not available at the time of the earlier litigation. This
fact distinguishes the subject matter of this litigation from the
earlier case. The prior litigation was not marked by the sort of
conduct from the government that would evidence bad faith. Cf.
Coalition of Arizona, 100 F.3d at 845-46 (intransigence of government
in prior litigation resolved only after contempt citation); Mausolf, 85
F.3d at 1303-04 (reversing denial of intervention where inadequacy not
based on "nebulous and paranoid 'distrust of government,'" but on a
"well-documented history" of government failure to enforce regulations;
government inevitably has to choose among competing interests and
interests may be adverse to those of proposed intervenor); In re Sierra
Club, 945 F.2d 776, 780 (4th Cir. 1991) (reversing denial of
intervention where interests of government and intervenors diverge at
-19-
a number of significant points, including remedy). In another case
involving different facts, a prior adversary relationship might
suffice. Here it does not and there was no abuse of discretion.
The second argument5 made by Defenders is that they must be
allowed to intervene to protect what they won in their litigation
against the government in the District of Columbia. The main purpose
of the argument seems to be to reinforce the antagonism point discussed
above. On its own terms the argument is without merit. As the
district judge correctly and succinctly concluded, all that Defenders
won was a stipulation that the Services would decide what to do on
listing the Atlantic Salmon by a particular date. That bargain was
kept, the decision was made, and there is no risk to that completed
bargain in this litigation.6
As to permissive intervention, appellate review is even more
restrictive. Daggett, 172 F.3d at 113. The district court denied
intervention because it felt intervention would delay and complicate
matters. This was a judgment call for the court. It applied the
5 In a footnote, Defenders argue that the change of
administration also makes the Services' representation inadequate. The
district court correctly noted that Defenders have not presented "any
evidence" on inadequacy resulting from the new administration. Norton,
2001 WL 360991 at *6.
6 Plaintiff business interests also claim that the stipulation
as to timing forced USFWS into a precipitous and ill-considered
decision. There appears to be a perfect alignment of interests between
USFWS and Defenders in denying this.
-20-
appropriate standards and we cannot say it was wrong.
This litigation is at its early stages. Should it appear to
the district court from some event that the government may not be
adequately representing the interest, advanced by Defenders, that the
Atlantic Salmon remain listed as an endangered species, the court
should revisit the matter of intervention. See Mass. Food Ass'n, 197
F.3d at 568 ("[I]f the [government] refused to appeal from a defeat, a
would-be intervenor could then seek to intervene."); cf. Coalition of
Ariz., 100 F.3d at 844-45 (intervention allowed after government had
refused to take procedural steps which would have helped its case).
Affirmed. No costs are awarded.
-21-