FILED
OCTOBER 8, 2019
In the Office of the Clerk of Court
WA State Court of Appeals, Division III
IN THE COURT OF APPEALS OF THE STATE OF WASHINGTON
DIVISION THREE
CROWN RESOURCES, ) No. 35199-8-III
CORPORATION, )
)
Appellant, )
)
v. )
)
STATE OF WASHINGTON, )
DEPARTMENT OF ECOLOGY; and ) UNPUBLISHED OPINION
OKANOGAN HIGHLANDS )
ALLIANCE, )
)
Respondents. )
SIDDOWAY, J. — Crown Resources Corporation, owner and operator of the
Buckhorn Mine, administratively appealed the terms of a federal and state water
discharge permit issued to it by the Washington State Department of Ecology (Ecology)
in 2014. The 2014 permit renewed a permit Ecology had initially issued in 2007. The
Pollution Control Hearings Board (Board) affirmed the 2014 permit,1 and the Ferry
County Superior Court denied Crown’s petition for judicial review.
1
During the administrative appeal of the 2014 permit, Crown identified several
problems with the permit that were acknowledged by Ecology and the intervenor. The
problems were corrected by a modified permit issued by Ecology after the hearing, but
before the Board issued its decision. The record was supplemented and the Board based
its findings, conclusions, and order on the 2014 permit as modified. Distinctions between
the original and modified permit are not important to the appeal, so for the most part, we
refer to the permit in both its original and modified form as “the 2014 permit.”
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Crown assigns error to the superior court’s order and judgment on grounds that
three aspects of the 2014 permit are contrary to law, are unsupported by substantial
evidence, or are arbitrary or capricious: (1) its newly imposed and more stringent final
water quality effluent limits, (2) interim limits and a 10-month interim compliance period
imposed before the final limits would take effect, and (3) a new definition and mapping
of a capture zone that Ecology viewed as merely clarifying a capture zone required by the
2007 permit. Crown also contends the court erred in upholding the Board’s
determination that the effective date of the 2014 permit was not stayed during Crown’s
appeal to the Board.
Crown has not met its burden of demonstrating that the Board’s order is contrary
to law, unsupported by substantial evidence, or arbitrary or capricious. We affirm.
FACTS AND PROCEDURAL BACKGROUND
The parties to the appeal have over 20 years’ experience with the proposed, and
ultimately developed, Buckhorn Mine. Crown discovered the gold deposit in the
Okanogan Highlands in 1988. The mine property is forested and surrounded by national
forest. The mine was originally proposed to be an open pit mine, by a joint venture to
which Crown was a party.
Okanogan Highlands Alliance (OHA), a public interest, not-for-profit
organization, was formed in 1992 by people living downstream from the mine property,
in response to the open pit mine proposal. An environmental impact statement (EIS) was
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completed on that proposal in 1997. In 2000, in a challenge brought by OHA and others,
the Board reversed a number of Ecology’s water right determinations and a Clean Water
Act (CWA), 33 U.S.C. § 1341, certification it had issued for the open pit mine.
Okanogan Highlands Alliance v. Dep’t of Ecology, PCHB Nos. 97-146, -182, -183, -186,
99-019 (Jan. 19, 2000), 2000 WL 46743.
Crown acquired control of the property and, in February 2004, proposed the
present underground mine. As proposed and developed, the mine project area consists of
approximately 46 acres of private land. Most of the mine workings are below the water
table and must be dewatered to enable mining. The mine’s belowground facilities
include shafts and sumps. Its aboveground facilities include a mine water treatment
plant, an access road, maintenance shops, ore and development rock stockpiles, and
detention ponds. Dewatering wells, monitoring wells, surface water monitoring stations,
and piezometers surround the mine.
A supplemental environmental review was completed on the underground mine in
2006. The resulting final supplemental EIS (FSEIS) is the foundational environmental
document for the current mine. The FSEIS necessarily examined potential water quality
impacts of the underground mine and proposed and recommended mitigation measures to
address the impacts, concluding that “[w]hile there is a potential that water quality could
become degraded, these potential impacts are considered avoidable with the proposed and
recommended mitigation measures.” Administrative Record (AR) at 3331 (§ 3.17.7),
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3160 (§ 3.7-72). The FSEIS contemplated that water quality monitoring would occur
during construction, operations, reclamation, closure, and post-closure—until conditions
have stabilized below permit limits or water quality criteria. It provided that the
treatment plant would continue to operate until water quality standards were met.
On November 1, 2007, Ecology issued to Crown an initial “National Pollutant
Discharge Elimination System” (NPDES) and “State Waste Discharge Permit” (2007
permit) under state and federal water quality law.2 The permit authorized the discharge
of treated mine water and stormwater to four outfalls (Outfalls 001, 002, 003 and 004)
subject to compliance with specified effluent limits. It also authorized discharges of
stormwater from industrial areas, undisturbed areas, and nonindustrial areas collected in
identified storm water retention ponds, detention ponds, and infiltration trenches to
2
Washington’s “Water Pollution Control Act,” chapter 90.48 RCW, was enacted
in 1945 and gave Ecology the responsibility and jurisdiction to control and prevent the
pollution of waters of the state. RCW 90.48.030. Later amendments to the act make it
unlawful for any person conducting a commercial or industrial operation of any type to
dispose of solid or liquid waste material into the waters of the state without obtaining a
state waste discharge permit. RCW 90.48.160.
The federal “Water Pollution Control Act,” also known as the CWA, makes it
unlawful for any person to discharge pollutants from a point source into navigable waters
of the United States unless the discharge complies with a NPDES permit. 33 U.S.C.
§§ 1311(a), 1342(a), 1362(12). Congress authorized the Environmental Protection
Agency (EPA) to delegate the NPDES permit program to states, 33 U.S.C. § 1342(b), and
Ecology is designated as the state Water Pollution Control Agency for all purposes of the
CWA in Washington. RCW 90.48.260.
Ecology regulates water quality under both state and federal law primarily through
the use of combined NPDES and state waste discharge permits, such as those at issue in
this case.
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Outfall 002, where it, too, was subject to compliance with specified effluent limits. The
effluent limits for the end-of-pipe discharges were set at levels equal to State surface and
groundwater quality standards.
The 2007 permit required Crown to “establish and maintain a ground water
capture zone to include all underground mine workings, the surge pond, and all surface
stockpiles of ore and development rock.” AR at 2028. The 2007 permit also required
Crown to monitor water quality at identified monitoring wells, surface waters, and seeps
and springs outside the capture zone. AR at 2025, 2032-35, Conditions S2.B5, S2.C.
The 2007 permit provided a narrative description of the capture zone but did not include
a capture zone definition or boundary map. It also did not set numeric compliance limits
for the monitoring locations outside the capture zone. Ecology used monitoring data to
determine if the required capture zone was being maintained, however.
OHA appealed the 2007 permit but settled its appeal within a matter of months,
agreeing that the mine would proceed, but would provide funding that OHA could use
(among other things) to monitor the environmental impacts of the mine.
Permit violations and settlement agreement. Over the first five years of mine
operation, and beginning in July 2008, Ecology issued Crown six notices of violation,
two civil penalties, six administrative orders, and one order amendment. Permit
violations included exceedances of effluent limits for the treatment plant, failure to
maintain the groundwater capture zone, failure to complete required sampling, and
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creating slope instability resulting in landslides. Among Crown’s disagreements with
Ecology’s enforcement actions was Crown’s denial that it had failed to maintain the
capture zone.
In July 2012, Ecology issued Crown a $395,000 civil penalty for allegedly causing
a substantial landslide, failing to maintain the capture zone, and discharging water
through an electrical control box. Crown appealed the civil penalty. The 2007 permit
was only months away from expiring and, in contemplation of its renewal, Ecology and
Crown created a process for developing the permit that would eventually be issued in
2014. A technical team was formed and tasked with developing terms of a new permit,
and a policy team was formed to focus on settling the penalty and bringing Crown into
compliance with the terms of its NPDES permit. The technical team, which included
staff from Crown and Ecology, Crown’s consultants, and representatives of OHA, met
approximately 21 times. The 2007 permit was administratively extended during the
period the technical team worked on the new permit.
Crown’s appeal of the $395,000 civil penalty was resolved by a “Settlement
Agreement” filed with the Board on July 1, 2013. The Settlement Agreement released
Crown from liability under the notice of penalty and Crown agreed, among other things,
to undertake significant investigation and remedial measures during 2013 and 2014,
referred to in the Settlement Agreement as the “Water Quality Protection Program.”
Terms of a renewed permit were still under discussion, and the Settlement Agreement
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reflected the parties’ understanding that future permit terms would be more stringent,
stating:
The Parties anticipate that the new NPDES Permit will include more
stringent effluent limits, capture zone standards and discharge
requirements, and that these new standards, particularly background based
groundwater standards, have the potential to put Crown into immediate
noncompliance when the new permit is issued. The parties agree that the
new NPDES permit will contain interim compliance levels and a timeframe
in which to bring the Buckhorn Mountain Site into compliance with these
new permit terms.
AR at 1428.
The 2014 permit and appeal. On February 27, 2014, after receiving public
comment on the draft permit, Ecology issued Crown a NPDES and waste discharge
permit for the five-year term of March 1, 2014, through February 28, 2019. The
accompanying permit fact sheet described a number of changes from the terms and
conditions of the 2007 permit. Major changes included (1) the addition of a capture zone
definition and map, and specific compliance points for testing whether the capture zone
was being maintained, (2) interim numeric water quality limits that carried forward the
2007 permit’s water quality criteria-based compliance limits for 10 months (through the
end of calendar year 2014), and (3) more stringent final numeric effluent limits for
compliance points outside the capture zone. The more stringent final limits were based
on a statistical analysis of background (pre-mining) water quality, instead of the State
water quality criteria-based limits used in the 2007 permit.
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Crown immediately appealed the 2014 permit to the Board. OHA intervened.
The Board held a seven-day evidentiary hearing beginning on January 26, 2015.
On matters raised in this appeal and discussed in detail below, Crown presented
testimony from three consulting experts: hydrogeologist David Banton, hydrogeologist
Robert Sterrett, and water permitting and statistical expert Owen Reese. Crown also
presented testimony from its mine general manager Mark Ioli and its environmental
manager, Gina Myers.
Ecology presented the testimony of its Unit Supervisor Sanjay Barik, a geochemist
and environmental engineer, who wrote the 2014 permit. Ecology’s hydrogeologist for
the Crown project, Lorraine Powell, had retired and was unavailable to testify at the
hearing, but her deposition was included in the administrative hearing record. OHA
presented the testimony of Stephen Swope, a hydrogeologist and expert in statistical
evaluation of groundwater data.
Ecology conceded some errors in the 2014 permit that were identified during the
seven-day hearing and issued a modified 2014 permit on April 1, 2015. In July 2015, the
Board affirmed the 2014 permit as modified in a 46-page findings of fact, conclusions of
law and order. It found that Crown had failed to meet its burden of proving the invalidity
of any challenged condition. The Board also rejected Crown’s contention that the 2014
permit was automatically stayed during pendency of its appeal to the Board. The Board
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ruled that because Crown did not move for a stay, the terms of the 2014 permit as
modified were effective 30 days after it was issued.
Crown petitioned for judicial review of the Board’s decision and, in March 2017,
following a hearing de novo, the Ferry County Superior Court denied Crown’s petition
for review and affirmed the Board’s findings, conclusions, and order in all respects.
Crown appeals. The mine has closed but remains in the reclamation phase.
ANALYSIS
Standard of Review
The Washington Administrative Procedure Act (APA), chapter 34.05 RCW,
governs judicial review of board orders. Port of Seattle v. Pollution Control Hr’gs Bd.,
151 Wn.2d 568, 587, 90 P.3d 659 (2004); see RCW 34.05.514(3). RCW 34.05.570(3)
sets forth nine standards for granting relief from an agency order, three of which Crown
contends are relevant to this appeal:
(d) The agency has erroneously interpreted or applied the law;
(e) The order is not supported by evidence that is substantial when
viewed in light of the whole record before the court . . . ;
....
(i) The order is arbitrary or capricious.
Our review of the facts is confined to the record before the Board.
RCW 34.05.558; see Buechel v. Dep’t of Ecology, 125 Wn.2d 196, 202, 884 P.2d 910
(1994) (appellate review is of the board’s decision, not the decision of the superior court).
“The burden of demonstrating the invalidity of agency action is on the party asserting
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invalidity.” RCW 34.05.570(1)(a). The court shall grant relief only if it determines that
a person seeking judicial relief has been substantially prejudiced by the action
complained of. RCW 34.05.570(1)(d).
We review the Board’s legal determinations under the “error of law” standard,
which allows us to substitute our view of the law for that of the agency. Verizon Nw.,
Inc. v. Emp’t Sec. Dep’t, 164 Wn.2d 909, 915, 194 P.3d 255 (2008); Motley-Motley, Inc.
v. Pollution Control Hr’gs Bd., 127 Wn. App. 62, 72, 110 P.3d 812 (2005). Under this
standard, we generally review de novo the agency’s application of the law to a particular
set of facts. Port of Seattle, 151 Wn.2d at 588. When statutory construction is necessary,
we interpret statutes de novo but accord substantial weight to the agency’s interpretation
of an ambiguous statute within its expertise, provided that the interpretation does not
conflict with the statute’s language or underlying intent. Id. at 593; see also Pub. Util.
Dist. No. 1 of Pend Oreille County v. Dep’t of Ecology, 146 Wn.2d 778, 790, 51 P.3d 744
(2002).
We review the Board’s findings of fact to determine whether they are supported
by substantial evidence. Port of Seattle, 151 Wn.2d at 588. We view the “evidence and
reasonable inferences therefrom in the light most favorable to the party who prevailed at
the administrative proceeding below.” Kirby v. Emp’t Sec. Dep’t, 185 Wn. App. 706,
713, 342 P.3d 1151 (2014). We do not weigh the credibility of witnesses or substitute
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our judgment for that of the Board with regard to findings of fact. Bowers v. Pollution
Control Hr’gs Bd., 103 Wn. App. 587, 596, 13 P.3d 1076 (2000).
We may grant relief if the Board’s order is “arbitrary or capricious,” which is
defined as action that “‘is willful and unreasoning and taken without regard to the
attending facts or circumstances.’” Port of Seattle, 151 Wn.2d at 589 (internal quotation
marks omitted) (quoting Wash. Indep. Tel. Ass’n v. Wash. Utils. & Transp. Comm’n, 149
Wn.2d 17, 26, 65 P.3d 319 (2003)). “Where there is room for two opinions, and the
agency acted honestly and upon due consideration, this court should not find that an
action was arbitrary and capricious, even though this court may have reached the opposite
conclusion.” Id. (citing Buechel, 125 Wn.2d at 202).
Assignments of Error
Crown assigns no error to any of the Board’s 69 findings of fact. Only one of its
assignments of error—its challenge to the superior court’s order affirming the Board’s
conclusion that the 2014 permit was not stayed during the appeal to the Board—presents
a pure issue of law. Its assignment of error to the court’s order affirming the Board on
the matters of the final limits, the interim limits and compliance schedule, and the capture
zone conditions, require us to review whether the Board’s findings of fact fail to support
its conclusions.
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We begin with Crown’s challenge to the 2014 permit’s definition and mapping of
the capture zone because our resolution of the parties’ disagreement on that issue bears
on other assigned errors.
I. CROWN DOES NOT MEET ITS BURDEN OF DEMONSTRATING THAT THE 2014
PERMIT’S DEFINITION AND MAPPING OF A CAPTURE ZONE IS UNSUPPORTED BY
SUBSTANTIAL EVIDENCE OR IS ARBITRARY OR CAPRICIOUS
The 2014 permit retains the 2007 permit’s requirement to maintain a groundwater
capture zone, but Ecology sought to clarify the purpose and extent of the zone by
including a definition of the term and mapping its boundary. The now-defined capture
zone is described as “represent[ing] the farthest extent from the mine that mine-related
contaminants in groundwater and surface water are allowed.” AR at 1115, Condition
S1.A.2. The condition also provides that “[t]he Permittee must capture and treat mine
generated contaminated groundwater and industrial stormwater inside the Capture Zone
perimeter so that surface and groundwater outside the Capture Zone does not exceed [the
permit’s effluent] limits.” Id.
Crown contends there is no scientific basis for using Ecology’s definition and
mapping of a boundary on the surface area within which Crown must capture all mine-
impacted water. Review of the FSEIS reveals that there are two possible understandings
of the 2007 permit’s identification of a capture zone.
The modeling that Ecology used to demark the capture zone boundary in the 2014
permit came from two places: modeling for the FSEIS prepared in connection with the
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original permitting of the mine and updated modeling following mine operations by
Golder Associates, Crown’s consultants. The modeling for the FSEIS was prepared by
an Ecology contractor, URS, and is contained in a September 2006 report entitled
“Regional Three-Dimensional Groundwater Flow Model of Buckhorn Mountain.” AR at
3383. Section 5.4.3 of the report explains that “[a]s mining proceeds and groundwater is
extracted to dewater bedrock in the mined zone and provide water for consumptive uses,
a capture zone will develop around the mine.” AR at 3446. It describes the capture zone
as
represent[ing] the surface area over which recharge would be captured by
the mine. This is recharge that would either seep into the mine workings or
would be extracted using pumping wells.
AR at 3446-47.
URS presumably had in mind a technical, hydrologic concept of a capture zone,
discussed hereafter. But its conclusion that development of the capture zone would result
in a discernible surface area below which the mine would capture all contaminated water
meant that the capture zone it modeled could serve as a regulatory concept as well.
Crown’s hydrology expert, David Banton of Golder Associates, Inc., testified that
the URS model assumed that any water that did not run off the surface would make its
way down and be captured by the dewatering wells in the underground mine. He testified
that the assumption that water infiltrating below the surface would make its way
vertically to within the footprint of the capture zone did not prove to be true, however.
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He described the evidence collected through test pits and holes that Golder Associates
had drilled during mine operation as “show[ing] that there are these low permeability
perching horizons that do direct some water horizontally.” Report of Proceedings (RP) at
727. Crown’s briefing on appeal describes the FSEIS’s modeling of the capture zone as
“outdated.” Appellant’s Br. at 41 n.14.
According to Mr. Banton (and to Robert Sterrett, Crown’s hydrogeology expert)
the technical hydrology term “capture zone” is not a surface area concept. Mr. Banton
described the hydrologic concept of a “capture zone” as
the point where water would flow to the underground mine sumps or the
dewatering wells on one side of the line, and on the other side of the line,
the water is moving away, the groundwater within bedrock is moving away
to ultimately feed streams or wetlands.
RP at 754. He explained that consistent with the science of hydrology, his capture zone
modeling says nothing about surface area, but evaluates only the deep bedrock
groundwater system—levels several hundred feet below ground—that would be
influenced by the pumping of the mine dewatering wells. He testified it did not include
water in the shallow subsurface, or “vadose” zone.
Treating “capture zone” as having this narrow scientific meaning, Crown’s staff
and consultants view the 2007 permit as not imposing any regulation on discharges of
contaminated water moving horizontally through the vadose zone. Accordingly, they
view the definition and mapping in the 2014 permit as a major change.
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Ecology’s and OHA’s representatives in the permitting process had a different
understanding of “capture zone” as used in the 2007 permit. Given the assumptions of
the FSEIS modeling, the URS report supported using the capture zone it described as a
regulatory concept, since it identified the surface area under which all water
contaminated by mine operations would be captured and treated. As Ecology points out,
the short narrative mention of the capture zone in the 2007 permit describes it as
including features located aboveground:
The Permittee must establish and maintain a ground water capture zone to
include all underground mine workings, the surge pond, and all surface
stockpiles of ore and development rock.
AR at 2028 (emphasis added). And Ecology points out that the 2007 permit cannot be
read as leaving discharges of contaminated water that move horizontally through the
vadose zone as unregulated. The discharge limitation provision of the 2007 permit states
that “[t]he discharge of any” identified pollutant at a level in excess of that identified and
authorized by the permit constitutes a violation. AR at 2025 (emphasis added). The
permit contemplates discharges only at the four outfalls. This is consistent with the intent
of the FSEIS that all contaminated mine water would be captured and treated and that
water quality impacts from the mine would be “avoided” through mitigation measures.
AR at 3331.
Sanjay Barik, the Ecology unit supervisor who wrote the 2014 permit, testified
that he understood the new definition of capture zone as entirely consistent with the intent
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of the FSEIS. Ecology’s former hydrogeologist for the Buckhorn project, Lorraine
Powell, shared Mr. Barik’s understanding that even under the 2007 permit, Crown was
required to capture all contaminated surface or groundwater from any source that is
inside the capture zone boundary. This includes vadose zone water, and perched or
seasonal water tables.
The Board’s findings are mindful of Mr. Banton’s opinion that capture zone refers
to a cone of depression in the area of vertically moving deep groundwater, which would
not include water in the vadose zone that moves horizontally and is not affected by
dewatering wells.3 In specifically finding that the capture zone definition in the 2014
permit was supported by substantial evidence, the Board implicitly rejected Mr. Banton’s
understanding in favor of Mr. Barik’s competing explanation that the capture zone was
always relied on as a regulatory demarcation extending up to the land surface and
encompassing all mine-contaminated water.
Crown nevertheless contends that it proved it is not technically feasible to meet
the 2014 capture zone requirement with respect to vadose zone water that travels
3
Crown points to the fact that in section 3.7 of the FSEIS, dealing with “Water
Resources,” it speaks of the capture zone map as representing a modeled cone of
depression created by pumping dewatering wells and sumps at the site, consistent with a
hydrologic concept rather than a regulatory concept. Elsewhere in section 3.7 of the
FSEIS, however, it specifically contemplates that water seeping from surface stockpiles
of ore and development rock and groundwater in the shallow subsurface vadose zone
would be captured through additional mitigation measures if needed. For capture
purposes, the FSEIS does not differentiate between different types of groundwater,
whether shallow or deep, and does not exclude vadose zone water.
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horizontally or is “perched” and cannot be captured by dewatering wells. Ecology
counters that Crown proved no such thing—it failed to identify any specific area of
shallow subsurface water within the capture zone that it is not possible to capture and
treat. It points to Mr. Banton’s testimony that Crown has installed a shallow dewatering
well (SDW-12) and several trenches in order to capture this water, with plans for more.
The Board expressly referenced the Banton testimony in its findings, noting Crown’s
installation of trenches to capture water moving horizontally in the upper layer.
And Mr. Barik opined that Crown can comply with the capture zone as mapped in
the 2014 permit. He testified that Crown can capture contaminated groundwater by
adding dewatering wells and can capture interflow water in the vadose zone by adding
more trenches, as planned by Crown, that hone in on preferential pathways of the water.
Ms. Powell testified similarly about measures available or currently in use to capture
contaminated water, including stormwater conveyances, placing linings underneath
portions of the stockpiles to channel the captured water, dewatering wells, and the mine
workings themselves where water is pumped out and processed. She testified that
“perched” water is included in the regulatory definition of groundwater that Crown must
capture. See WAC 173-200-020(12).
Crown’s final challenge to the 2014 permit’s capture zone mapping is that
Ecology drew the line in such a way that some Ecology-approved facilities fall outside
the line, placing Crown immediately out of compliance. It argues that this makes the
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arbitrariness of the capture zone “particularly evident.” Appellant’s Br. at 43. But both
Mr. Barik and Ms. Powell explained that compliance with the effluent limits is
determined at compliance locations, not at monitoring locations around the capture zone.
Mr. Barik testified that none of the compliance points fall within the facilities about
which Crown expresses concern. In closing argument to the Board, Ecology’s counsel
reiterated the agency’s interpretation and intention to cite only for violations at
compliance points and not at monitoring locations.
Crown has not shown as a practical matter that the capture zone boundary, as
Ecology interprets and promises to enforce it, is arbitrary or capricious. It has not shown
that the Board’s affirmance of the 2014 permit’s definition and mapping of the capture
zone is not supported by substantial evidence.
II. CROWN DOES NOT MEET ITS BURDEN OF DEMONSTRATING THAT THE INTERIM
LIMITS AND COMPLIANCE SCHEDULE ARE CONTRARY TO LAW, UNSUPPORTED BY
SUBSTANTIAL EVIDENCE, OR ARBITRARY OR CAPRICIOUS
As earlier recounted, the 2007 permit authorized Crown to discharge treated mine
water and treated stormwater at four designated outfalls. These “end-of-pipe” discharges
from the treatment plant were subject to effluent limits derived from state water quality
standards for groundwater and surface water.
The 2007 permit also required Crown to monitor groundwater and surface water
quality at designated monitoring wells (MW), dewatering wells, surface monitoring
stations, and seeps and springs. Although these were not compliance points, Ecology
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used the monitoring results as the basis for determining whether there had been a failure
of the capture zone.
The 2014 permit for the first time included numeric compliance limits for surface
and groundwater quality at points in the environment outside the capture zone. Because
this is the first permit to impose numeric limits at those locations, the 2014 permit
provided a 10-month compliance schedule—from March 1 to December 31, 2014—
during which interim limits would apply. Mr. Barik testified that Ecology chose the 10-
month compliance period to allow for one spring freshet (thaw and runoff period), which
he believed would provide Crown enough time to comply with the final limits. With
limited exceptions not pertinent to the appeal, the interim limits for the groundwater and
surface water monitoring locations carried forward the treatment plant, end-of-pipe,
effluent limits from the 2007 permit.4 In instances where the interim limit would be more
stringent than the final limit, the final limit would apply.
WAC 173-201A-510(1) generally provides that waste discharge permits, whether
issued pursuant to the NPDES or otherwise, must be conditioned so the discharges
authorized will meet the water quality standards. Subsection (4) of the regulation
allowed Ecology to issue a schedule for achieving compliance with the chapter’s water
quality criteria on a case-by-case basis, however, providing that such “[s]chedules . . .
4
Specific locations with high pre-mining levels of arsenic, manganese, and total
suspended solids were identified and exempted from compliance with the interim or final
limits.
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shall be developed to ensure final compliance with all water quality-based effluent limits
in the shortest practicable time.” WAC 173-201A-510(4)(a).5 The interim effluent limits
are required to be formally established, “based on the best professional judgment of the
department.” WAC 173-201A-510(4)(b).
Crown contends that Ecology did not use its best professional judgment because it
failed to consider actual site conditions when setting interim limits that Crown contends
are unachievable. It also contends that Ecology failed to consider what time period
would be practicable for meeting the new final limits when it established the 10-month
compliance schedule.
The site conditions that Crown contends Ecology failed to consider were pre-
mining natural background water quality conditions in the environment and the effects of
mine activities that Crown characterizes as “previously authorized” by Ecology. Crown’s
concept of Ecology’s “previously authorized” activities is based on its position that
before the 2014 permit, its only obligation was to treat for contaminated water located in
the narrowly defined hydrology capture zone. We agree with the Board’s finding that
Ecology reasonably understood the 2007 permit to require all contaminated water from
mine operations to be collected, treated, and discharged through outfalls subject to the
state water quality effluent limits, however. As Ecology points out, any pollution above
5
WAC 173-201A-510 was partially amended in 2016. The parties do not contend
the changes are relevant to this appeal. See Br. of Appellant at 28 n.10.
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those limits was not a result of activities authorized by Ecology; it was a result of
Crown’s permit violations.
Even though Ecology concedes that the capture zone language of the 2007 permit
required clarification in the 2014 permit, the 2007 permit clearly required Crown to
maintain specified “sampling locations” in both surface and groundwater in the
environment. AR at 2032, 2034, Conditions S2.B.5, S2.C. As a matter of logical
interpretation of the 2007 permit (and consistent with WAC 173-201A-510(1)’s
requirement that permits be conditioned to meet water quality standards), the 2007 permit
limits—which are equal to the state water quality standards—applied at the designated
sampling locations. Otherwise, there would have been no way to ensure compliance with
the capture zone. Ecology consistently interpreted and applied the 2007 permit in this
fashion, twice penalizing Crown for capture zone failures.
Ecology also contends that the anti-backsliding provision of the CWA constrained
Ecology in setting interim limits. The anti-backsliding provision prohibits permits from
being “renewed, reissued, or modified . . . to contain effluent limitations which are less
stringent than the comparable effluent limitations in the previous permit.” 33 U.S.C.
§ 1342(o)(1); see Port of Seattle, 151 Wn.2d at 604 (“NPDES permits are subject to an
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‘anti-backsliding’ provision, which does not allow a subsequent NPDES permit to create
a lesser effluent limitation.”).6
The 2014 permit’s interim limits for compliance points in the environment are, for
practical purposes, “comparable [to the] effluent limitations in the previous permit” and,
therefore, cannot be less stringent under the CWA’s anti-backsliding rule. 33 U.S.C.
§ 1342(o)(1). Communities for a Better Environment v. State Water Resources Control
Board, 132 Cal. App. 4th 1313, 1330-31, 34 Cal. Rptr. 3d 396 (Cal. Ct. App. 2005),
which Crown cites as holding that the anti-backsliding rule does not apply when a less
stringent interim limit is not comparable to the final limit in a prior permit, is therefore
inapposite.7
6
Crown incorrectly contends that Ecology did not raise the CWA anti-backsliding
rule below and that it was not part of the Board’s decision. Ecology relied on the anti-
backsliding rule in its prehearing brief and closing argument. In conclusion of law 2, AR
at 1482, the Board’s decision referred to the CWA and its prohibition against discharge
of any pollutant unless done in compliance with the CWA and/or an NPDES permit. The
Board cited to 33 U.S.C. § 1342, which contains the anti-backsliding provision. Thus,
the Board’s decision comports with the requirement that its decision is supported by
rationale in the administrative record. See Aviation W. Corp. v. Dep’t of Labor & Indus.,
138 Wn.2d 413, 446, 980 P.2d 701 (1999).
7
Crown argues for the first time in its reply brief that the “new interim limits that
Ecology applied to groundwater in the environment are not ‘effluent limitations’ that
govern discharges from point sources to navigable waters, and therefore are not subject to
the CWA anti-backsliding provision.” Appellant’s Reply Br. at 26 n.12. We decline to
consider this issue argued for the first time in the reply brief. To address issues argued
for the first time in a reply brief is unfair to the respondent and inconsistent with the rules
on appeal. See Ainsworth v. Progressive Cas. Ins. Co., 180 Wn. App. 52, 78 n.20, 322
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The Board found that the record contains substantial evidence supporting the
interim effluent limits. It found that using the 2007 permit’s end-of-pipe effluent limits
as the basis for the interim limits was not unreasonable and was within Ecology’s
discretion. The Board’s findings support its conclusion that Crown failed to carry its
burden of establishing the invalidity of the interim discharge limits, implicitly
determining that Crown failed to demonstrate that Ecology did not use its best
professional judgment in setting the interim limits. WAC 173-201A-510(1).
The 10-month period for compliance presents a closer question. The Board’s
findings cite Mr. Barik’s testimony that from early 2012, Ecology communicated to
Crown that the renewed NPDES permit would include numeric limits for monitoring
locations outside the capture zone and a compliance schedule applicable to those limits.8
It found that for several years, Crown had been aware of existing contaminates related to
its prior discharges from the treatment plant as well as elevated sulfate concentrations in
MW-14. It found that prior violations had already caused the parties to put in place the
Water Quality Protection Program. It found that the July 2013 Settlement Agreement
P.3d 6 (2014); RAP 10.3(c) (reply brief should be limited to a response to the issues in
the brief to which the reply brief is directed).
8
In fact, Mr. Barik testified that “Ecology made very clear starting from fall of
2011” that new limits would be based on background water quality, not state water
quality criteria, and “it’s fair to say that Crown was aware of this position three year[s]
ahead of time even before the permit was issued.” RP at 1140.
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memorialized the parties’ understanding that the NPDES permit under discussion would
contain interim limits and a compliance schedule.
The Board cited Mr. Barik’s testimony that the 10-month period would allow for
one more spring freshet to occur, which would provide time for existing contaminants
from Crown’s previous discharges to flush through the system, and that the 10-month
time frame provided sufficient time for the installed improvements to come on line and
benefit water quality.
Crown complains that the Board did not make any findings explaining its rejection
of its witnesses’ testimony that it could not practicably meet the final limits in a 10-
month period. But the Board’s findings reflect its consideration of Crown’s witnesses’
testimony that 10 months did not give it sufficient time to realize the intended positive
effects of the Water Quality Protection Program. It recognized that Crown proposed that
the interim limits remain in effect until July 2017, to allow for three spring freshet
periods and provide time to evaluate Crown’s compliance with the interim limits after
which the parties would discuss whether a permit modification was needed. We can infer
from the lack of additional findings that the Board rejected Crown’s scientific testimony
in favor of Ecology’s explanation why the 10-month period was appropriate. See, e.g.,
Pilling v. E. & Pac. Enters. Trust, 41 Wn. App. 158, 165, 702 P.2d 1232 (1985) (absence
of finding on a material issue is presumptively a negative finding against the party with
the burden of proof).
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And Ecology provides extensive argument as to how the record and Crown’s own
inaction refutes its science-based lack of feasibility claims. It argues that Crown’s
argument that its “legacy” pollution was authorized by the discharge permissions in the
2007 permit lacks factual or legal support. It points out that Crown did not, as a factual
matter, discharge to state water quality levels for most constituents. It gives the example
of sulfate, whose treatment plant discharge rate has been below 50 mg/L since June 2009,
a level that cannot explain documented sulfate levels above 250 mg/L in Gold Bowl
Creek and elsewhere. It also argues that Crown did not provide calculations or specific
analysis of the extent or lasting time of its legacy pollution, i.e., it did not document the
fate and transport of contaminants historically discharged from the treatment plant.
Crown’s experts testified that 10 months was insufficient time to address
contamination from its use of construction fill material that is leaching sulfate into the
groundwater, but Ecology argues that their claim to need more time is undermined by
Crown’s own actions, since Crown controlled how it placed the construction fill, the type
of fill used, and how quickly it responded to its discovery in 2010 that the fill was
contributing to significant groundwater pollution.
It appears that the Board agreed with Ecology that Crown should not receive
regulatory cover through an extended compliance schedule for what Ecology calls
Crown’s poor compliance record and inadequate attempts at adaptive management.
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Based on the competing evidence, reasonable minds could differ on whether the
10-month period is too short. “Where there is room for two opinions, and the agency
acted honestly and upon due consideration, this court should not find that an action was
arbitrary and capricious, even though this court may have reached the opposite
conclusion.” Port of Seattle, 151 Wn.2d at 589.
III. WE WILL NOT CONSIDER CROWN’S UNPRESERVED CHALLENGE TO AN ALLEGED
FAILURE BY ECOLOGY TO CONDUCT AN AKART ANALYSIS; CROWN DOES NOT
DEMONSTRATE THAT THE FINAL LIMITS ARE CONTRARY TO LAW, UNSUPPORTED BY
SUBSTANTIAL EVIDENCE, OR ARBITRARY OR CAPRICIOUS
As documented in the FSEIS, the background water quality for ground and surface
water at Buckhorn generally exceeds the numeric criteria in State water quality standards.
Although Ecology did not use background water quality as the basis for the effluent
limits in the 2007 permit, it chose background water quality as the basis for the final
effluent limits in the 2014 permit in order to be consistent with the state antidegradation
policy as expressed in RCW 90.54.020(3)(b) and to ensure Crown’s maintenance of the
capture zone.
RCW 90.54.020 provides a “general declaration of fundamentals” that shall guide
utilization and management of the waters of the State. It declares an antidegradation
policy:
(3) The quality of the natural environment shall be protected and,
where possible, enhanced as follows:
....
(b) Waters of the state shall be of high quality. Regardless of the
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quality of the waters of the state, all wastes and other materials and
substances proposed for entry into said waters shall be provided with all
known, available, and reasonable methods of treatment prior to entry.
Notwithstanding that standards of quality established for the waters of the
state would not be violated, wastes and other materials and substances
shall not be allowed to enter such waters which will reduce the existing
quality thereof, except in those situations where it is clear that overriding
considerations of the public interest will be served.
RCW 90.54.020 (emphasis added). Ecology’s regulations repeat and implement this
policy, providing that where background water quality exceeds the numeric standards
listed in Ecology’s regulations, no measurable change may be allowed to water quality
without a specific finding that lowering the water quality is necessary and in the
overriding public interest. WAC 173-200-030(2)(c) (groundwater); WAC 173-201A-
320(1) (surface water).
The final effluent limits in the 2014 permit are based on a statistical analysis of a
pre-mining background water quality data set gathered at Buckhorn Mountain during the
EIS development process from 1990 through 2007. Stephen Swope, OHA’s
hydrogeologist and expert in statistical analysis for groundwater data, performed the
analysis, relying on Ecology and EPA guidance documents.
Crown maintains that Ecology’s regulations and formal guidance establish a two-
step process Ecology must follow in establishing limits when the existing water quality is
better than State water quality criteria. It argues that both steps were violated in setting
the final limits in the 2014 permit. It describes the first step as properly determining
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No. 35199-8-III
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existing background water quality and the second step as establishing an enforcement
limit somewhere between background and the State criteria based on an “AKART”
evaluation of what water quality can be practicably and reasonably achieved.
“‘AKART’ is an acronym for ‘all known, available, and reasonable methods of
prevention, control, and treatment.’” WAC 173-201A-020.9 Crown argues that at step
one, Ecology used inappropriate background values. It argues that Ecology simply
ignored step two by failing to conduct an AKART analysis evaluating what water quality
levels could be practicably or reasonably achieved.
A. Crown’s argument that Ecology failed to perform an AKART analysis is
raised for the first time on appeal and will not be considered
We turn to the second contention first because Ecology and OHA object that an
alleged failure by Ecology to perform an AKART analysis is improperly raised for the
first time on appeal. RCW 34.05.554 generally provides that issues not raised before the
agency may not be raised on appeal. Bowers, 103 Wn. App. at 597-98 (“RCW 34.05.554
precludes appellate review of issues not raised below.”). Our own rules also require issue
preservation. RAP 2.5(a). Crown responds that it did raise the issue before the Board,
but since the Board did not address the issue in its otherwise thorough decision, we have
our doubts and turn to the record.
9
WAC 173-201A-020 goes on to provide that “AKART shall represent the most
current methodology that can be reasonably required for preventing, controlling, or
abating the pollutants associated with a discharge. The concept of AKART applies to
both point and nonpoint sources of pollution.”
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Crown’s allegedly new argument is that “Ecology must . . . set limits ‘as near the
natural groundwater quality as practical,’” and, “In determining what limits are practical
to achieve, Ecology must undertake an ‘AKART’ analysis.” Appellant’s Br. at 15
(quoting WAC 173-200-050(3)(a)(ii)) (alteration in original). But Crown’s “Proposed
Legal Issues and List of Witnesses and Exhibits” filed with the Board did not identify as
an issue any alleged failure by Ecology to comply with WAC 173-200-050(3)(a)(ii) or an
alleged failure to perform an AKART analysis. See AR at 363-69. The Board’s
“Prehearing Order” identifies issues “submitted and agreed to” by the parties, “which will
govern the case,” and does not identify an alleged failure by Ecology to comply with
WAC 173-200-050(3)(a)(ii) or prepare an AKART analysis. See AR at 378-80. Neither
AKART nor the second step of an asserted two-step process is addressed in Crown’s
prehearing brief. See AR at 914-29. Crown did argue in its prehearing brief that Ecology
used the background values themselves as enforcement values, not as a base on which to
determine enforcement values, AR at 922, but it did not identify any regulation or
guidance that it contended was required but not followed.
In reply to Ecology’s and OHA’s contention that this issue was waived, Crown
cites testimony or argument appearing in 9 pages of the 1,382-page transcript of
proceedings. Appellant’s Reply Br. at 12. Only the testimony of Owen Reese, Crown’s
consulting water resources engineer, merits discussion. Read as a whole, it is clear that
Mr. Reese did not assert that Ecology failed to follow any particular required procedure
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in setting the final limits in the 2014 permit. He merely observes that the 2014 permit is
atypical because the enforcement limit imposed is the same as background water quality.
Mr. Reese appears implicitly to concede that performing an AKART analysis is
the responsibility of the permittee, not the Department of Ecology, 10 something that
Ecology points out is the position taken in its “Implementation Guidance for the Ground
Water Quality Standards.” See AR at 2729, 2795 & 2799 (“The permittee must complete
an AKART evaluation.”) and 2796 (“The permittee should describe all possible treatment
technology alternatives, including the effective treatment levels and the costs associated
with each technology.”). And in response to questioning by two Board members, Mr.
Reese concedes that an AKART analysis can support treating background water quality
as the enforcement limit, although more typically it will not. The final questioning by
Board members makes it clear that Mr. Reese did not claim that AKART would have
required a higher enforcement limit in this case:
Q. [By Board member Tom Morrill] And is that part of your comment
or a determination that AKART can’t get you to background?
A. I haven’t done an AKART determination, unfortunately.
Q. So your questioning about having those limits set at background is
just—that’s not how you would normally see it, but it’s not based on
specific issues with the site?
A. That’s correct.
Q. That’s all. Thank you.
10
Q. And is that a part of your comment or a determination that AKART
can’t get you to background?
A. I haven’t done an AKART determination, unfortunately.
RP at 904 (emphasis added).
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BOARD EXAMINATION
BY PRESIDING BOARD MEMBER JOAN MARCHIORO
Q. Just so I’m clear, Mr. Morrill asked you questions about setting of
using background, and I thought I heard you first say you should—
and using the word never is not very helpful—you should not set the
enforcement limit at background, and then you later said that if
AKART gets you to background, then you can use background as
the enforcement limit. Or did I misunderstand?
A. No, I think you’re right. I think my later statement is more correct,
that if AKART and if the technologies can get you to background,
then the enforcement limit would be there.
AR at 904-05 (emphasis added).
Ecology and OHA have major disagreements with Crown over Crown’s
interpretation of the language “as practical” appearing in WAC 173-200-050(3)(a)(ii), the
relationship between AKART and the antidegradation policy, and who—Ecology or the
permittee—is responsible for undertaking any AKART analysis. None of these
disagreements were presented to or resolved by the Board. Witnesses were not
questioned about how these issues, correctly resolved, would apply to the 2014 permit.
We will not consider Crown’s contention for the first time on appeal that by failing to
undertake an AKART analysis, Ecology failed to comply with WAC 173-200-
050(3)(a)(ii).
B. Crown does not meet its burden of demonstrating that background values
were determined contrary to law, were unsupported by substantial evidence, or
are arbitrary or capricious
Crown did present and preserve the argument that Ecology erred in the initial step
of determining background water quality conditions by using an incorrect statistical
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analysis that deviated from its regulations and Implementation Guidance. Ecology’s
Implementation Guidance11 explains that the statistical analysis for background water
quality will differ depending upon whether the data set is parametric (normal distribution)
or nonparametric (i.e., does not follow a normal bell curve). The parties agree that in this
case, the data is nonparametric because it was collected from several locations over
different time periods.
The Implementation Guidance states generally that background water quality “is
statistically defined as the 95 percent upper tolerance interval with a 95% confidence.”
AR at 2803 (emphasis omitted). It also provides, however, that in cases of nonparametric
data, the maximum value in the data set is used as the upper tolerance limit and defines
background water quality. Despite this, Ecology, relying on Mr. Swope’s work, used the
95 percent upper tolerance interval with 95 percent tolerance. Crown argues that by
using this measure rather than the maximum value as the upper tolerance limit, Ecology
11
Ecology developed its earlier-mentioned Implementation Guidance as an
advisory and interpretative statement for implementing chapter 173-200 WAC for
activities, such as mines, that are required to receive a State waste discharge permit. The
Implementation Guidance document states that it is not a regulation, but is intended as a
general guide to facilitate consistent statewide issuance of permits. It is not intended to
be inclusive or address every circumstance at every facility. The specific requirements
will depend on each facility and its unique situation. See RCW 34.05.230(1); Wash.
Educ. Ass’n v. Pub. Disclosure Comm’n, 150 Wn.2d 612, 619, 80 P.3d 608 (2003)
(interpretive statement has no legal or regulatory effect).
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has “essentially guarantee[d] a 5% false positive rate, even if there were no mining-
related impacts.” Appellant’s Reply Br. at 15.
Mr. Swope explained his seeming disregard of the Implementation Guidance. He
testified that the narrative in the Implementation Guidance on which Crown relies applies
to data sets with 59 or fewer samples, which was the expected norm at the time the
narrative was prepared. If a data set has more than 59 samples, then the highest value
does not have to be used to achieve a 95 percent coverage. The data set used by Mr.
Swope had significantly more than 59 samples. Mr. Swope further testified that the 95
percent upper tolerance interval with a 95 percent confidence method is used throughout
the industry and its use is consistent with Ecology’s and EPA’s guidance. As the Board
found, even Crown’s expert, Mr. Reese, agreed that the method is commonly used to
calculate background. Beyond being scientifically acceptable, it has the advantage of
balancing the risk of false positives and false negatives.
The Board found that the record contains ample evidence supporting the final
limits and that Crown did not meet its burden of proving that the methodology employed
to derive the final effluent limits was inappropriate. It found that while Ecology
recognized the potential for false positives, “it appropriately balanced that risk against the
risk of false negatives.” AR at 1478-79.
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IV. THE SUPERIOR COURT PROPERLY AFFIRMED THE BOARD’S CONCLUSION THAT THE
EFFECTIVENESS OF THE 2014 PERMIT WAS NOT STAYED DURING THE BOARD
APPEAL
Finally, Crown contends that the effective date of the 2014 permit was
automatically stayed under RCW 34.05.422(3) during the pendency of its appeal to the
Board. The Board concluded that under that statute, the 2014 permit took effect on the
last day to file an appeal with the Board—which was 30 days after issuance—and in
order to obtain a stay beyond that point, Crown needed to file a motion for stay with the
Board. The superior court affirmed the Board’s decision that because Crown did not file
a motion for stay, the terms of the modified 2014 permit were effective 30 days after its
issuance.
At issue is statutory interpretation, which we review de novo. Dep’t of Ecology v.
Campbell & Gwinn, LLC, 146 Wn.2d 1, 9, 43 P.3d 4 (2002). The fundamental purpose
in statutory interpretation is to ascertain and discern the legislature’s intent. Id. We
discern legislative intent from the plain language enacted by the legislature, considering
the text of the provision in question, the context of the statute in which the provision is
found, related provisions, amendments to the provision, and the statutory scheme as a
whole. Id. at 9-11. If the meaning of the statute is plain on its face, then we must give
effect to that meaning as an expression of legislative intent. Id. at 9-10.
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We find no conflict between the provisions of the APA and chapter 43.21B RCW,
which created the “Environmental and Land Use Hearings Office” and prescribes the
jurisdiction of the Board, its membership, and many of its procedures.
RCW 34.05.422(3), the APA provision relied on by Crown, states:
When a licensee has made timely and sufficient application for the renewal
of a license or a new license with reference to any activity of a continuing
nature, an existing full, temporary, or provisional license does not expire
until the application has been finally determined by the agency, and, in case
the application is denied or the terms of the new license limited, until the
last day for seeking review of the agency order or a later date fixed by order
of the reviewing court.
The statute’s provision that “an existing . . . license does not expire until the
application has been finally determined by [Ecology]” had application in this case, when
Ecology administratively extended Crown’s 2007 permit until its application for a new
license was finally determined on February 27, 2014. The Board has recognized the
application of RCW 34.05.422(3) in this context. E.g., Ellensburg Water Co. v. Dep’t of
Ecology, PCHB no. 86-153, 1990 WL 151750 at *6 (Feb. 2, 1990); Okanogan Highlands
Alliance v. Dep’t of Ecology, PCHB no. 04-064, 2005 WL 878023 at *7 (Apr. 12, 2005).
Crown argues that the last clause of RCW 34.05.422(3) also applies because the
terms of its original 2014 permit applied to activity of a continuing nature and in issuing
the permit, Ecology imposed terms that were more limiting than the terms of its prior,
2007 permit. We accept that proposition. As applied to Crown, its then-existing 2007
permit did “not expire . . . until the last day for seeking review of the [Ecology] order.”
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See RCW 34.05.422(3). Consistent with this clause, the Board held that the 2007 permit
did not expire until the last day for seeking Board review of Ecology’s issuance of the
2014 permit.
Crown seemingly argues that because Ecology and the Board are both agencies,
we should read RCW 34.05.422(3) as applied in this case as if the term “agency” means
“Ecology” the first time “agency” is used in the statute, and means “Board” the second
time “agency” is used, with the result that its 2007 permit would not expire “until the last
day for seeking review of the [Board] order.” See RCW 34.05.422(3). That is not how
we construe the same word used in a single statute, however. E.g., State v. Gonzalez, 168
Wn.2d 256, 264, 226 P.3d 131 (2010) (When similar words are used in different parts of
a statute, the meaning is presumed to be the same throughout.). Yet, Crown argues that
only by reading the second use of the word “agency,” as meaning “Board,” can we avoid
rendering meaningless the language that follows: “or a later date fixed by order of the
reviewing court.” See RCW 34.05.422(3).
Crown overlooks a critical fact: administrative appeals to a second agency are not
the norm under the APA, and the APA does not undertake to address the different
procedures that apply in the atypical case where an administrative appeal to a second
agency is required. The APA contemplates only stages of review within a single agency
or judicial review. Under the stand-alone application of the APA, RCW 34.05.422(3)’s
reference to an order of the reviewing court makes sense. What makes no sense is to
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construe the APA to provide that in the case of all other permits and licenses, limitations
in a newly limited permit or license would be suspended for the short period of time
within which to obtain judicial review, but limitations in a newly limited permit issued by
Ecology would be suspended for what might be a one-year long, or longer, proceeding
before the Board.
Administrative review of Ecology decisions by the Board is addressed first and
foremost by chapter 43.21B RCW. RCW 43.21B.010 provides that the “purpose of the
pollution control hearings board is to provide for a more expeditious and efficient
disposition of designated environmental appeals as provided for in RCW 43.21B.110.”
Members of the Board are required under RCW 43.21B.020 to be “qualified by
experience or training in pertinent matters pertaining to the environment.” They acquire
additional expertise in performing their statutory duties. Dioxin/Organochlorine Ctr. v.
Dep’t of Ecology, 119 Wn.2d 761, 776, 837 P.2d 1007 (1992).
The APA provides that “[n]othing in this chapter may be held . . . to limit or repeal
additional requirements imposed by statute.” RCW 34.05.020. The Board applied
RCW 43.21B.310(2), which provides that “[a]t any time during the pendency
of an appeal of . . . an order to the board, the appellant may apply pursuant to
RCW 43.21B.320 to the hearings board for a stay of the order,” and RCW 43.21B.320(1),
which provides that a person appealing an order that has not been stayed by the issuing
agency “may obtain a stay of the effectiveness of that order only as set forth in this
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section.” (Emphasis added.) A prima facie case for stay is made “if the applicant
demonstrates either a likelihood of success on the merits of the appeal or irreparable
harm.” RCW 43.21B.320(3). Crown did not move for a stay in the manner required by
RCW 43.21B.320. The Board refused to treat the 2014 permit as stayed.
This would appear to be required by the plain language of the provision, but
Crown argues that the plain meaning of “order” as used in RCW 43.21B.310 and .320
does not include licenses and permits—Crown even argues that provisions of chapter
43.21B RCW “repeatedly distinguish” between “orders” on the one hand, and “permits or
licenses” on the other. Appellant’s Reply Br. at 35. We disagree. The APA defines the
unqualified term “order” as meaning “a written statement of particular applicability that
finally determines the legal rights, duties, privileges, immunities, or other legal interests
of a specific person or persons.” RCW 34.05.010(11)(a). A license or permit is plainly
“a written statement of particular applicability that finally determines the legal . . .
privileges . . . of a specific person or persons.” Id. Indeed, it is hard to imagine calling
an order that determines someone’s “legal . . . privileges” anything other than a license or
permit.
And RCW 43.21B.110 does not repeatedly distinguish between orders and
licenses. It favors the generic “decisions” in describing matters that the Board has
jurisdiction to hear and decide. It only uses the term “orders” in identifying
particular orders, under specific statutes, that fall within its appellate jurisdiction.
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RCW 43.21B.110(l)(b), G). While RCW 43.21B.230(3)(c) speaks of an "order, permit,
license, or decision" being appealed, that reference alone does not justify treating the four
terms as mutually exclusive. "License" means and includes a "permit" under the AP A.
RCW 34.05.010(9)(a). And rather than treat "decision" as excluding an order, permit, or
license, RCW 43.2 lB.110 treats "decision" as all-encompassing. Just as a permit is a
license and orders, permits, and licenses are decisions, a permit is an order. And see
Dioxin/Organochlorine Ctr., 119 Wn.2d at 777 n.59 (holding that the appellant was
required to appeal Ecology's NPDES decision to the Board, and noting that
RCW 43.21B.320 grants the Board authority to issue a stay).
As did the superior court, we uphold the findings, conclusions, and order of the
Board. The superior court's final order and judgment is affirmed.
A majority of the panel has determined this opinion will not be printed in the
Washington Appellate Reports, but it will be filed for public record pursuant to
RCW 2.06.040.
WE CONCUR:
39