Filed 6/25/12
IN THE SUPREME COURT OF CALIFORNIA
AMERICAN COATINGS ASSOCIATION, )
INC., )
)
Plaintiff and Appellant, )
) S177823
v. )
) Ct.App. 4/3 G040122
SOUTH COAST AIR QUALITY )
DISTRICT, )
) Orange County
Defendant and Respondent. ) Super. Ct. No. 03CC00007
___________________________________ )
The South Coast Air Quality Management District (District) is charged with
regulating nonvehicular air pollution emissions in a large area that encompasses much of
Los Angeles and other parts of Southern California, regions that have some of the worst
air pollution in the country. This case concerns the District‟s 2002 amendments to its
Rule 1113, which limits certain pollution-causing substances in paints and coatings. The
American Coatings Association (Association), formerly known as the National Paint and
Coatings Association, challenged the amendments on the ground that they exceeded the
District‟s regulatory authority under statutes requiring the use of “best available retrofit
control technology.” According to the Association, the District failed to show that
technology necessary to meet the emissions limits set by the 2002 amendments was
“available” within the meaning of the relevant statutes.
The Association adopts the position of the Court of Appeal below that a
technology cannot be considered “available” unless it already exists or is ready to be
1
assembled at the time a pollution standard is promulgated. The District contends that the
relevant statute, which defines “best available retrofit control technology” by reference to
“achievable” emissions reductions, authorizes pollution standards that are “technology-
forcing.” On the District‟s view, if new or developing technology will enable industry to
meet a pollution standard by the compliance deadline, that standard is “achievable” —
and, under the statute, the technology is “available” — even if the technology does not
exist at the time the standard is promulgated. The regulations at issue here were
originally proposed in 1999 and amended in 2002, and they required full compliance by
July 2006.
The Association also contends that the paint and coating categories employed by
Rule 1113 were too broad and heterogeneous, and that the District‟s emissions limits
were not achievable for many products and applications within a given category. Thus,
the Association argues, the District did not adequately demonstrate that the technology
needed to meet the standards for such products were “available” under the statute. The
District contends that the categories were reasonably drawn and that it need not show that
the technology to achieve the emissions limit for each category is available for every
paint or coating application within that category. On this issue, the Court of Appeal
agreed with the District.
We conclude that the relevant statutes give the District the authority to promulgate
pollution standards based on technologies that do not currently exist but are reasonably
anticipated to exist by the compliance deadline. In addition, we conclude that the District
sufficiently demonstrated that its challenged emissions limits were achievable in each
category and that the categories were reasonably drawn. We therefore reverse in part the
judgment of the Court of Appeal.
I.
Air pollution is regulated by federal, state, regional, and local governmental
entities. The federal Clean Air Act mandates that the Environmental Protection Agency
2
(EPA) set national ambient air quality standards. (42 U.S.C. § 7409(a).) States have
primary responsibility for meeting these standards, and the Clean Air Act requires states
to formulate and enforce implementation plans designed to meet national standards
within their borders. (Id., §§ 7407(a), 7410.) State implementation plans are subject to
EPA approval. (Id., § 7410(k).) If the EPA determines that a state plan is inadequate to
meet federal standards or that the requirements of an approved plan are not being met, it
may adopt a federal implementation plan and impose sanctions on the state. (Id.,
§§ 7410(c)(1),7410(m), 7509.)
A.
Under California law, the California Air Resources Board (Board) is charged with
developing the state implementation plan and overseeing its enforcement. (Health & Saf.
Code, §§ 39602, 41502-41505; all statutory references hereafter are to this code unless
otherwise indicated.) The Board establishes ambient air quality standards to protect
public health for each air basin in the state. (§ 39606, subd. (a).) While the Board is
responsible for regulating vehicular pollution throughout the state, regulation of
nonvehicular emissions is assigned to local and regional air pollution control districts.
(§ 39002.) The Legislature has created five regional districts, and the South Coast Air
Quality Management District is one. (2 Manaster & Selmi, Cal. Environmental Law and
Land Use Practice (1989) § 40.51, pp. 40-86, 40-87 (rev. 2012) (Manaster & Selmi).)
All districts are required to “adopt and enforce rules and regulations to achieve
and maintain the state and federal ambient air quality standards in all areas affected by
emission sources under their jurisdiction, and shall enforce all applicable provisions of
state and federal law.” (§ 40001, subd. (a).) The Board monitors district compliance
with air quality standards and, in the case of ozone and carbon monoxide pollution,
classifies districts as in attainment of those standards or in moderate, serious, severe, or
extreme nonattainment. (§§ 40918, 40419, 40920, 40920.5, 40921.5.) The
3
nonattainment classifications trigger increasingly stringent requirements on air quality
districts to control pollution. (§§ 40918, 40919, 40920, 40920.5.)
The South Coast Air Quality Management District is California‟s largest air
pollution control district. Its jurisdiction, the South Coast Air Basin (Basin), covers all of
Orange County and the urban portions of Los Angeles, Riverside, and San Bernardino
Counties, and has some of the worst smog in the United States. The District was created
in 1976 by the Lewis-Presley Air Quality Management Act (§ 40400 et seq.), which
observed in its findings that the “South Coast Air Basin is a geographical entity not
reflected by political boundaries” and that the Basin has “critical air pollution problems.”
(Stats. 1976, ch. 324., § 5, p. 893; § 40402, subds. (a), (b).) The 1976 act required the
District to adopt an air quality management plan to achieve and maintain the state and
federal air quality standards by 1979 and to regularly review and revise the plan
thereafter. (§§ 40460, 40463, subd. (a).) The District‟s plan constitutes the “federally
required state implementation plan for the South Coast Air Basin.” (§ 40460, subd. (d).)
As originally enacted, section 40440 required the District to adopt rules and
regulations by the end of 1977 “that are not in conflict with federal and state laws and
rules and regulations and reflect the best available technology and administrative
practices.” (Stats 1976, ch. 324, § 5, p. 897.) In 1987, section 40440 was amended to
provide in subdivision (b) that the “rules and regulations adopted pursuant to subdivision
(a) shall . . . : [¶] (1) Require the use of best available control technology for new and
modified sources and the use of best available retrofit control technology for existing
sources.” (Stats. 1987, ch. 1301, § 9, p. 4653, italics added.) The meaning of those
terms, and particularly the latter term, is at the heart of this case.
In order to adopt, amend, or repeal a regulation, a district must hold at least one
noticed public hearing. (§ 40725.) During such hearings, a district “shall provide for the
submission of statements, arguments, or contentions, either oral, written, or both. . . .
Following consideration of all relevant matter presented, a district board may adopt,
4
amend, or repeal a rule or regulation, unless the board makes changes in the text
originally made available to the public that are so substantial as to significantly affect the
meaning of the proposed rule or regulation.” (§ 40726.) Before adopting or amending a
regulation, a district must make several findings, including a finding of “necessity.”
(§ 40727, subd. (a).)
The statutory scheme also authorizes districts to grant variances under certain
conditions when compliance with a regulation would “result in either (A) an arbitrary or
unreasonable taking of property, or (B) the practical closing and elimination of a lawful
business.” (§§ 42352, subd. (a)(2), 42368, subd. (a)(2).)
B.
The District regulates stationary sources of ozone. Ozone forms when volatile
organic compounds (VOCs) react with oxides of nitrogen in the presence of sunlight.
Ozone irritates the respiratory system, aggravates asthma, and leads to irreversible
reductions in lung function. (See EPA, Air Quality Designations, 40 CFR § 81 (2004),
69 Fed. Reg. 23858, 23859 (Apr. 30, 2004); see also Allied Local & Regional Mfrs. v.
U.S. EPA (D.C. Cir. 2000) 215 F.3d 61, 66, fn. 1.) These respiratory effects are
particularly severe in children and the elderly. (See EPA, Air Quality Designations, 40
CFR § 81 (2004), 69 Fed. Reg. 23859 (Apr. 30, 2004); see also Dunn-Edwards Corp. v.
South Coast Air Quality Management Dist. (1993) 19 Cal.App.4th 519, 522, fn. 2.)
The Basin has historically suffered, and continues to suffer, from the
worst ozone pollution in the United States. (EPA, Latest Findings on National
Air Quality: Status and Trends Through 2006 (2008) 8-10.) As a result, the Basin is in
“extreme” nonattainment with state air quality standards for ozone and in “severe”
nonattainment with the 1997 federal ozone standard. (EPA, Air Quality Designations,
California-Ozone, 40 CFR § 81.305 (2004) 69 Fed. Reg. 23882-23883 (Apr. 30, 2004).)
According to a recent study, the economic cost of the health impacts from ozone
pollution in the Basin exceeds $480 million annually. (Hall et al., The Benefits of
5
Meeting Federal Clean Air Standards in the South Coast and San Joaquin Valley Air
Basins (Nov. 2008) pp. 76-80.)
The VOCs that cause ozone pollution come from many sources. In addition to
motor vehicles, a significant source of VOCs is architectural coatings. According to a
Board report in the record, these are coatings “applied to stationary structures and their
appurtenances at the site of installation, to portable buildings at the site of installation, to
pavements, or to curbs. To be classified as an architectural coating, a coating must be
applied in the field, at the site of installation, rather than in a shop or factory where
pollution control equipment may be installed. . . . [¶] Architectural coatings include, but
are not limited to paints, varnishes, stains, industrial maintenance coatings, and traffic
coatings.”
According to the District, “emissions from architectural coatings are greater than
the emissions from the entire refinery community, the furniture manufacturing industry,
printing industry[,] and aerospace industry combined, multiplied by a factor of two.”
Architectural coatings are the single largest source of VOCs that the District can
regulate. As of 2002, these coatings emitted approximately 58 tons of ozone per day in
the Basin, an amount equal to what 1.7 million motor vehicles produce in a day.
According to a Board report, VOC emissions from architectural coatings represent about
8 percent of stationary source VOC emissions statewide and 4 percent of total statewide
emissions.
Architectural coatings consist of pigments that give paint its ability to hide the
underlying surface, binders (or resins) that disperse pigment particles and bind pigments
to the painted surface, solvents that keep paint in a liquid state during application, and
chemical additives that are needed for other coating characteristics. Solvents are the
primary source of VOCs in architectural coatings; VOCs are emitted when solvents
evaporate during the drying process. The VOC content of a coating is generally
expressed as grams of VOC per liter of coating.
6
Curtailing pollutants from architectural coatings is difficult because coatings
typically are not applied within an enclosure vented to an air pollution control device.
The principal cost-effective method to control VOC emissions from architectural coatings
is to reduce their VOC content by reformulating coating products. In general, coating
manufacturers will meet the VOC limits by replacing some of the solvents with water or
other exempt compounds, or by increasing the amount of resins, pigments, or other
solids. Because the substitution of water for solvents can lead to inferior performance by
the coating, various additives or resins must be devised for waterborne coatings in order
to upgrade their performance.
C.
The District‟s Rule 1113, originally enacted in 1977 and amended a number of
times thereafter, limits concentrations of VOCs in architectural coatings. (See Rule 1113
(2007) p. 1.) Rule 1113 establishes VOC limits for coatings in 42 categories and
prohibits the manufacture and use of noncompliant coatings, subject to certain
qualifications.
The District‟s 1997 air quality management plan was in effect when it adopted the
2002 amendments to Rule 1113 at issue here (2002 Amendments). According to the
1997 plan, major reductions in VOC emissions are necessary to attain air quality
standards for ozone and various particulates. A District staff report in the record
observes that as emissions from facilities and vehicles decrease, “widespread area wide
sources” such as architectural coatings become a greater proportion of VOC emissions
and need to be reduced in order to make further progress toward reducing ozone
pollution. The District estimated that if left unchecked, architectural coating emissions
alone would account for more than 20 to 25 percent of allowed VOC emissions by 2010.
The 1997 plan called for a 50 percent reduction in VOC emissions from coatings by
2010. After the plan‟s adoption, the Board and the EPA approved it. (See EPA,
Approval and Promulgation of State Implementation Plans, Cal.-South Coast, 40 CFR
7
§ 52 (2000) 65 Fed. Reg. 18903 (Apr. 10, 2000).) These approvals made the plan
binding on the District. (See General Motors Corp. v. U.S. (1990) 496 U.S. 530, 533-
534.)
In 1999, the District amended Rule 1113 as part of its effort to implement the 1997
plan. The amendments established interim VOC limits for 11 categories of coatings,
effective July 2002, with final limits effective July 2006. The amendments were adopted
after industry input through various meetings and workshops. The District also received
and responded to written public comments. Some of the comments came from public
agencies, which claimed that coatings at the level prescribed by the regulation were not
available or feasible. In response to these comments, the District proposed to modify the
amendments to exempt what it termed “essential public services.” This proposal was
submitted less than two weeks before the May 4, 1999 hearing where the amendments
were adopted.
The Association challenged the regulation on substantive and procedural grounds.
Without reaching the merits, the Court of Appeal held in an unpublished opinion that the
District violated procedures set forth in sections 40725 and 40726 by adding the public
agency exemption and other substantial changes to the proposed amendments without
giving 30 days‟ notice prior to the May 4, 1999 hearing. The Court of Appeal directed
the trial court to issue a writ of mandate vacating the District‟s adoption of the 1999
amendments.
But the amendments were never vacated. Before the writ could issue, the District
largely readopted the 1999 amendments in December 2002, this time following the
proper procedures and incorporating numerous revisions in response to a new round of
comments by industry and others. The 2002 amendments — the subject of the present
proceeding in this court — establish interim VOC limits that became effective January 1,
2003 (or July 1, 2004 for the industrial maintenance coatings category) and final limits
8
that became effective July 1, 2006. (Proposed Amendments to Rule 1113 (Dec. 6, 2003)
1113-10, 1113-11.)
In formulating the rule, the District concluded in several staff reports included in
the record that compliant coatings were becoming increasingly available in all the
categories affected by the amendments. While earlier versions of low-VOC water-borne
coatings had shown problems with stability, rheology (flow characteristics), water
immersion, loss of gloss, rusting, lack of corrosion resistance, loss of drying capacity, and
bacterial degradation, new additives and resin emulsions developed in the 1990s
upgraded the performance of water-borne coatings and significantly reduced or
eliminated these problems.
The District‟s conclusion about the availability of high-performing, low-VOC
coatings was based in part on a survey of product data sheets prepared by coatings
manufacturers. The District also relied on several studies by outside consultants
conducted under the supervision of a technical advisory committee formed by the District
and comprised of representatives of the paint industry, academia, and regulatory bodies.
In one study, non-flat top coatings, primers, sealers, undercoaters, and industrial
maintenance coatings were tested and evaluated according to various performance
criteria, such as drying time, application properties, corrosion resistance, and adhesion to
substrates. The study showed that low-VOC and zero-VOC coatings equaled or
surpassed high-VOC coatings on many performance characteristics.
The District had also contracted for a two-year, real-time exposure study of
exterior coatings and coating systems. “At the end of the two-year outdoor test,” the
District reported, “the results continue to show that zero- and low-VOC coatings are
similar in weathering and durability characteristics, and in many cases have outperformed
their higher VOC-based counterparts, corroborating the conclusions reached by the
laboratory weathering and accelerated outdoor weathering studies.” In addition, the
District had conducted surveys of construction sites and facilities, and found that across a
9
wide variety of applications, the vast majority of coatings used on these sites complied
with the interim limits and that many coatings complied with the final limits.
In response to coating industry comments, the District acknowledged that “new
products . . . will need to be formulated to comply with future lower VOC content limits.
Industry input during development of the 1999 amendments to Rule 1113 indicated that
research and development of new coatings where the resin technology is currently
available takes approximately three to five years. Further, industry has indicated that if a
resin technology is not currently available, research and development of new coatings
takes approximately five to seven years. Based on this industry input, the final
compliance dates specified in the 1999 amendments to Rule 1113 allowed at least seven
years for the development of new products. Because the May 1999 amendments to Rule
1113 have already been in effect for more than three years, the expectation is that coating
manufacturers have made progress in their research and development efforts of new
formulations that comply with future VOC limits.” The District further stated that “based
on current availability of low and zero-VOC . . . coatings for a wide range of
applications, it is anticipated that even more complying coatings will be available by the
2003 and 2006 compliance dates.” The District relied in part on a 1997 study it had
commissioned concluding that in light of “the published results and availability of low
VOC resins, coatings, and processing capabilities, the industry should witness major
progress over the next 5 to 7 years.”
The 2002 amendments to Rule 1113 also incorporated several measures designed
to give manufacturers and users flexibility in achieving the rule‟s VOC limits. These
included a sell-through provision whereby any coating manufactured before the effective
date of the applicable Rule 1113 limit with a VOC content above that limit (but not above
the applicable limit on the date of manufacture) “may be sold, supplied, offered for sale,
or applied for up to three years after the specified effective date.” (Rule 1113(c)(4).) The
2002 amendments also provided for an averaging compliance option for many coating
10
categories, whereby “manufacturers may average designated coatings such that their
actual cumulative emissions from the averaged coatings are less than or equal to the
cumulative emissions that would have been allowed under those limits over a compliance
period not to exceed one year.” (Rule 1113(c)(6).)
Before adopting the 2002 amendments, the District received and responded to
several critical comments, mostly from the coating industry. In some cases, industry
comments caused the District to modify the amendments, for example, by delaying the
effective date of the interim industrial maintenance coatings limits to July 1, 2004 and by
creating additional coating categories with higher limits. On the other hand, the District
disagreed with industry comments that low-VOC coatings in particular categories were
inferior to high-VOC coatings with respect to various performance characteristics and
that the District relied too heavily on product data sheets in determining whether the
amended limits were feasible.
D.
In January 2003, the Association filed a petition for writ of mandate in Orange
County Superior Court pursuant to Code of Civil Procedure section 1085 seeking to set
aside the 2002 amendments. The petition claimed, among other things, that the new
emissions limitations amounted to arbitrary and capricious rulemaking because they
establish technically infeasible standards that would allegedly eliminate 90 percent of
currently available coatings. The petition also alleged that the District violated the
California Environmental Quality Act (CEQA) and that it violated sections 40440.8 and
4072.8.5 by inadequately analyzing the socioeconomic impact of the amendments.
The superior court bifurcated the case into a first phase addressing the District‟s
authority to adopt the rule and a second phase addressing other claims. In the first phase,
the court examined the technological feasibility of the regulations and, after a trial, held
that the rule was within the District‟s authority. Before the trial court issued a decision in
11
the second phase, the Association dismissed the remainder of its claims. In its statement
of decision in the first phase, the trial court rejected the Association‟s argument that the
VOC limits were not achievable within the time limits provided. Thus, the court
concluded, the 2002 amendments did not violate section 40440, subdivision (b)(1)‟s
requirement that emissions limits be based upon the “best available retrofit control
technology.” The trial court noted that substantial evidence supported the District‟s
findings that numerous low-VOC coatings were already available, that low-VOC coating
technology was improving, and that anticipated improvements would address industry
concerns.
The Association appealed but did not seek a provisional stay of the rule.
Accordingly, the interim limits were in effect from January 1, 2003 to July 1, 2006, and
the final limits have been in effect since then.
The Court of Appeal reversed in part. As discussed in greater depth below, the
court concluded that the statutory phrase “best available retrofit control technology”
means technology that was commercially available or capable of being readily assembled
when the 2002 amendments were promulgated. The Court of Appeal reasoned that
because the record revealed no already compliant products in two categories, quick dry
enamels and rust preventive coatings, the limits for those categories exceeded the
District‟s authority. Rather than invalidate the regulations, the court remanded the matter
to the superior court to determine whether then-current technology (i.e., as of 2009) was
sufficient to comply with the District‟s 2006 final VOC limits.
The Court of Appeal rejected the Association‟s additional claim that “while
compliant paints and coatings may exist in various categories, there is no evidence in the
administrative record that [the] compliant paintings and coatings are suitable for all
„applications‟ or uses of those paints.” Noting that the relevant statutes regulate
“sources” rather than “applications,” the court concluded that the District did not need to
show that the 2002 limits could be met for all applications with each category.
12
We granted review.
II.
In issuing and amending Rule 1113, the District exercised its quasi-legislative
power pursuant to statute to issue generally applicable regulations to achieve its own and
the state‟s air pollution objectives. (See § 40440.) As we stated in Yamaha Corp. of
America v. State Bd. of Equalization (1998) 19 Cal.4th 1, 10-11 (Yamaha), “quasi-
legislative rules . . . represent[] an authentic form of substantive lawmaking: Within its
jurisdiction, the agency has been delegated the Legislature‟s lawmaking power.
[Citations.] Because agencies granted such substantive rulemaking power are truly
„making law,‟ their quasi-legislative rules have the dignity of statutes. When a court
assesses the validity of such rules, the scope of its review is narrow. If satisfied that the
rule in question lay within the lawmaking authority delegated by the Legislature, and that
it is reasonably necessary to implement the purpose of the statute, judicial review is at an
end.”
In assessing the validity of a quasi-legislative regulation in an action for
mandamus under Code of Civil Procedure section 1085, “ „[o]ur inquiry necessarily is
confined to the question whether the classification is “arbitrary, capricious, or [without]
reasonable or rational basis.” [Citation.]‟ ” (Yamaha, supra, 19 Cal.4th at p. 11.)
Furthermore, “[u]nless otherwise provided by law, „the petitioner always bears the
burden of proof in a mandate proceeding brought under Code of Civil Procedure section
1085.‟ (California Correctional Peace Officers Assn. v. State Personnel Bd. (1995) 10
Cal.4th 1133, 1154.) Thus, it is petitioner‟s burden to establish that [the agency‟s]
decision was arbitrary, capricious, entirely lacking in evidentiary support, unlawful, or
procedurally unfair.” (Khan v. Los Angeles City Employees’ Retirement System (2010)
187 Cal.App.4th 98, 106.) When inquiring into whether a regulation is arbitrary,
capricious, or lacking in evidentiary support, the “ „ “ „ “court must ensure that an agency
has adequately considered all relevant factors, and has demonstrated a rational connection
13
between those factors, the choice made, and the purposes of the enabling statute.”
[Citation.]‟ ” ‟ ” (Golden Drugs Co., Inc. v. Maxwell-Jolly (2009) 179 Cal.App.4th 1455,
1466 (Golden Drugs).) Because we address the validity of the amendments as adopted in
2002, we consider only the administrative record before the agency at that time.
It is worth noting that “the question whether agency action is „entirely lacking in
evidentiary support‟ is not the same as a substantial evidence test.” (Golden Drugs,
supra, 179 Cal.App.4th at pp. 1466; see also Shappell Industries, Inc. v. Governing
Board (1991) 1 Cal.App.4th 218, 232.) The latter standard is generally used in reviewing
administrative adjudications under Code of Civil Procedure section 1094.5. (See Bixby v.
Pierno (1971) 4 Cal.3d 130, 143-144; see also Brock v. Superior Court (1952) 109
Cal.App.2d 594, 598-599 [examining Judicial Council Report that was the source of
Code of Civil Procedure section 1094.5 to determine that it does not apply to quasi-
legislative acts of administrative agencies.].) The arbitrary and capricious standard of
review employed under Code of Civil Procedure section 1085 is more deferential to
agency decisionmaking than the substantial evidence standard. (State Bd. of Chiropractic
Examiners v. Superior Court (2009) 45 Cal.4th 963, 977.) Although both standards
“ „require a reasonable basis for the decision‟ ” (Warmington Old Town Associates v.
Tustin Unified School Dist. (2002) 101 Cal.App.4th 840, 850, italics in original), they
should not be conflated. We use substantial evidence review to examine administrative
adjudications that apply general rules to a particular dispute in which evidence is
presented and contested. We use the arbitrary and capricious standard to review quasi-
legislative decisions resulting from an agency‟s exercise of its statutorily delegated
policymaking discretion. In the latter context, an agency adopts generally applicable
rules through an administrative process in which “the demarcation between facts,
reasoning, policy and discretion is quite vague.” (Childress & Davis, 3 Federal Standards
of Review (4th ed. 2010) § 15.07, p. 15-44.)
14
When an agency is not exercising a discretionary rulemaking power but merely
construing a controlling statute, “ „[t]he appropriate mode of review . . . is one in which
the judiciary, although taking ultimate responsibility for the construction of the statute,
accords great weight and respect to the administrative construction. [Citation.]‟
[Citations.]” (Yamaha, supra, 19 Cal.4th at p. 12.) How much weight to accord an
agency‟s construction is “situational,” and greater weight may be appropriate when an
agency has a “ „comparative interpretive advantage over the courts,‟ ” as when “ „the
legal text to be interpreted is technical, obscure, complex, open-ended, or entwined with
issues of fact, policy, and discretion.‟ ” (Ibid., italics omitted.) Moreover, a court may
find that “the Legislature has delegated the task of interpreting or elaborating on a statute
to an administrative agency,” for example, when the Legislature “employs open-ended
statutory language that an agency is authorized to apply or „when an issue of
interpretation is heavily freighted with policy choices which the agency is empowered to
make.‟ ” (Id. at p. 17 (conc. opn. of Mosk, J.); see also Moore v. California State Bd. of
Accountancy (1992) 2 Cal.4th 999, 1013-1014 [Board of Accountancy delegated with
task of construing Business and Professions Code section 5058 forbidding use of titles
“likely to be confused with” the titles of “certified public accountant” and “public
accountant”].) In other words, the delegation of legislative authority to an administrative
agency sometimes “includes the power to elaborate the meaning of key statutory terms.”
(Ramirez v. Yosemite Water Co. (1999) 20 Cal.4th 785, 800.) Nevertheless, the proper
interpretation of a statute is ultimately the court‟s responsibility.
With these principles in mind, we turn to the issues at hand.
III.
We first address whether the statutory term “best available retrofit control
technology” encompasses only technology that is readily available when a regulation is
promulgated or instead encompasses technology that is projected to become available at
some future date.
15
To address this issue, we begin with the relevant statutes. Section 40440,
subdivision (b) provides that the rules and regulations the District adopts to implement its
air quality management plan shall “[r]equire the use of best available control technology
for new and modified sources and the use of best available retrofit control technology for
existing sources.” These two statutory terms — “best available control technology” and
“best available retrofit control technology” — lie at the core of the instant dispute. The
two terms differ by only a single word. But despite their textual similarity, a careful
examination of the statutory scheme reveals that they have significantly different
meanings.
The term “best available control technology” (BACT) is defined in section 40405.
Section 40405, which applies to new and modified sources of emissions, states: “(a) As
used in this chapter, „best available control technology‟ means an emission limitation that
will achieve the lowest achievable emission rate for the source to which it is applied. . . .
„[L]owest achievable emission rate,‟ as used in this section, means the more stringent of
the following: (1) The most stringent emission limitation that is contained in the state
implementation plan for the particular class or category of source, unless the owner or
operator of the source demonstrates that the limitation is not achievable. (2) The most
stringent emission limitation that is achieved in practice by that class or category or
source.” (Paragraphing omitted.)
The term “best available retrofit control technology” (BARCT) is defined in
section 40406. Section 40406, which applies to existing sources of emissions, states:
“As used in this chapter, „best available retrofit control technology‟ means an emission
limitation that is based on the maximum degree of reduction achievable, taking into
account environmental, energy, and economic impacts by each class or category of
source.” The parties do not dispute that the architectural coatings at issue in this case are
existing sources subject to the best available retrofit control technology standard.
16
Sections 40405 and 40406 define BACT and BARCT, respectively, in terms of an
“achievable” emissions limitation or reduction, terms that do not describe any particular
type of technology. Because these statutes define a technological standard, however, an
“achievable” emissions limitation or reduction means one that is technologically
achievable, taking into account the various impacts and factors specified in the statutes.
Importantly, the statutes define “best available control technology” and “best
available retrofit control technology” differently. As noted, section 40405 defines BACT
in terms of the “lowest achievable emission rate,” which in turn refers to an “emission
limitation that is achieved in practice.” (§ 40405, subd. (a), italics added.) By contrast,
section 40406 defines BARCT as an “emission limitation that is based on the maximum
degree of reduction achievable, taking into account environmental, energy, and economic
impacts by each class or category of source.” (§ 40406, italics added.) Section 40406
does not further specify that an “achievable” emissions reduction means a reduction that
has been “achieved in practice.” “ „When the Legislature uses materially different
language in statutory provisions addressing the same subject or related subjects, the
normal inference is that the Legislature intended a difference in meaning.‟ ” (People ex
rel. Lockyer v. R.J. Reynolds Tobacco (2005) 37 Cal.4th 707, 717.)
Thus, section 40406, unlike section 40405, does not define what is “achievable”
by reference to what is “achieved in practice” and does not otherwise define the term
“achievable.” In common usage, “achievable” means “capable of being achieved.”
(Webster‟s New Internat. Dict. (3d ed. 2002) p. 16; 1 Oxford English Dict. (2d ed. 1989)
p. 102.) Although the fact that a task has been achieved is obviously evidence that the
task is “achievable,” the word is not limited to that meaning. “Achievable” also describes
a potentiality to be fulfilled or a goal to be achieved at some future date. (See, e.g.,
Toyota Sees 1991 Market Share 9.0 Percent, ReutersNews (Sept. 24, 1990) [Toyota vice-
president says goal of “selling 1.5 million cars and trucks in the U.S. by 1995” is
“achievable”]; Stieghorst, Caribbean Seeks U.S. Business; Business Leaders of Haiti
17
Extoll Nation’s Vigor, South Florida Sun-Sentinal (Nov. 23, 1986) 1986 WNLR
1450879, p. 2 [Haiti‟s goal of adding 50,000 jobs in 4 years “achievable but difficult”].)
Here, the emissions limits set forth in the 2002 amendments (and originally promulgated
in slightly different form in 1999) did not go into effect in final form until July 1, 2006.
Thus, an emissions reduction that is “achievable” in this context is readily understood as
a reduction that, from the vantage point of 1999 or 2002, was capable of being achieved
by 2006. Contrary to its position in this court, the Association accepted this
straightforward reading of the statute in the Court of Appeal below, acknowledging in its
opening brief in that court that the District, in requiring the use of best available retrofit
control technology, “may force companies to implement technology if there is a showing
that implementation is achievable by the effective date” of the regulation.
Any doubts about the differences between the BACT and BARCT standards is
dispelled by comparing two provisions of the 1995 amendments to the Lewis-Presley Act
— section 40440.11 and section 40920.6 — both of which address the cost-effectiveness
of air pollution regulations. (See Stats. 1995, ch. 837, §§ 2, 3, pp. 6374-6377.) Section
40440.11 instructs the District on how to assess cost-effectiveness when setting a BACT
standard. Subdivision (c) of section 40440.11 provides that “[p]rior to revising the best
available control technology guideline for a source category to establish an emission limit
that is more stringent than the existing best available control technology guideline for that
source category, the south coast district shall do all of the following: (1) Identify one or
more potential control alternatives that may constitute the best available control
technology, as defined in Section 40405. (2) Determine that the proposed emission
limitation has been met by production equipment, control equipment, or a process that is
commercially available for sale, and has achieved the best available control technology
in practice on a comparable commercial operation for at least one year” or longer under
certain circumstances. (3) Review the information developed to assess the cost-
effectiveness of each potential control alternative. . . . (4) Calculate the incremental cost-
18
effectiveness for each potential control option. . . .” (Italics added, paragraphing
omitted.)
Whereas section 40440.11 applies to BACT, section 40920.6 instructs districts on
how to assess cost-effectiveness when setting a BARCT standard. Subdivision (a) of
section 40920.6 provides that before adopting rules or regulations for best available
retrofit control technology in a nonattainment area, “districts shall . . . (1) Identify one or
more potential control options which achieves the emission reduction objectives for the
regulation. (2) Review the information developed to assess the cost-effectiveness of the
potential control option. . . . (3) Calculate the incremental cost-effectiveness for the
potential control options identified in paragraph (1). . . .” (Paragraphing omitted.)
Subdivision (b) provides that “[a] district may establish its own best available retrofit
control technology requirement based upon consideration of the factors specified in
subdivision (a) and Section 40406 if the requirement complies with” pertinent state and
federal laws.
Like section 40440.11, section 40920.6 requires a district to “[c]alculate the
incremental cost-effectiveness” of each potential control option. (Compare § 40440.11,
subd. (c)(4) with § 40920.6, subd. (a)(3).) However, section 40920.6 has no provision
comparable to 40440.11, subdivision (c)(2), which requires the District, as part of
assessing the cost-effectiveness of a BACT standard, to “[d]etermine that the proposed
emission limitation has been met by production equipment, control equipment, or a
process that is commercially available for sale, and has achieved the best available
control technology in practice . . . .” (Italics added.) Instead, section 40920.6 gives air
pollution control districts considerable discretion in developing their own BARCT
requirements and conspicuously refrains from limiting districts to what has already been
achieved. As the concurrent enactment of section 40440.11, subdivision (c)(2)
demonstrates, the Legislature knew how to write such a limitation when it enacted section
40920.6, but it chose not to do so.
19
Moreover, section 40920.6 appears in the chapter of the air pollution statutes that
categorizes air quality districts according to the severity of their pollution and imposes
more stringent requirements on districts according to that severity. The Legislature has
mandated BARCT standards only for districts in serious, severe, or extreme
nonattainment of state air quality standards. (See 2 Manaster & Selmi, supra, § 40.25[3],
pp. 40-39, 40-40; §§ 40919, subd. (a)(3), 40920, 40920.5; see also § 40918, subd. (a)
[requiring BARCT for moderate nonattainment districts under certain conditions].) In so
doing, the Legislature recognized that such districts must set emissions limits not only for
new or modified sources but also for existing sources of air pollution in order to meet
state standards. Moreover, by authorizing districts to establish their own BARCT
requirements (instead of a uniform state-imposed requirement), section 40920.6 enables
districts with more serious air quality problems to require greater control efforts from
existing sources. As noted earlier, the District is in extreme nonattainment with the
state‟s air quality standards for ozone. (See ante, at p. 5.) Under section 40920.6, the
District has discretion to determine the stringency of the BARCT standard in order to
meet environmental and public health goals imposed by state and federal law, as long as
the District reasonably considers the various factors prescribed by the BARCT statutes.
BARCT is therefore a technology-forcing standard designed to compel the
development of new technologies to meet public health goals. The technology-forcing
character of BARCT reflects the long-standing approach of federal air pollution control
legislation. As the high court has observed, the landmark 1970 amendments to the Clean
Air Act, which first set national air pollution standards, “were a drastic remedy to what
was perceived as a serious and otherwise uncheckable problem of air pollution. The
Amendments place the primary responsibility for formulating pollution control strategies
on the States, but nonetheless subject the States to strict minimum compliance
requirements. These requirements are of a „technology-forcing character,‟ [citation], and
are expressly designed to force regulated sources to develop pollution control devices that
20
might at the time appear to be economically or technologically infeasible.” (Union
Electric Co. v. EPA (1976) 427 U.S. 246, 256-257.)
A standard that is technology-forcing need not ignore considerations of
practicality. Section 40406 provides an apt example; it defines BARCT as an “emission
limitation that is based on the maximum degree of reduction achievable, taking into
account environmental, energy, and economic impacts by each class or category of
source.” (Italics added.) But the principle of technology-forcing is based on the premise
that because pollution is a negative externality, industry generally has insufficient
incentive to develop or adopt new pollution control technology in the absence of
regulation. (See Sherwin-Williams Co. v. South Coast Air Quality Management Dist.,
supra, 86 Cal.App.4th at p. 1280 “[A]ppellants cannot convince us that, left to itself,
industry will take steps to safeguard the public health and public welfare by using less
polluting but possibly more expensive technology.”]; Fields & Fields, Environmental
Economics: An Introduction (3d ed. 2002) 72-75 [unregulated markets generally do not
provide adequate incentives to constrain external pollution costs]; Esty, Revitalizing
Environmental Federalism (1996) 95 Mich. L.Rev. 570, 575-597 [same].)
BARCT‟s technology-forcing character is also consistent with the legislative
history behind the enactment of the BARCT standard. As one committee report stated:
“In recent months, [the South Coast Air Quality Management District] has come under
severe criticism from federal, state and local officials for not taking sufficient action to
control and reduce air pollution. This bill is intended to encourage more aggressive
improvements in air quality and to give the District new authority to implement such
improvements.” (See Sen. Rules Com., Ofc. of Sen. Floor Analyses, 3d reading analysis
of Sen. Bill No. 151 (1987-1988 Reg. Sess.) as amended Aug. 20, 1987, p. 4.) The
BARCT standard was therefore part of a legislative enactment designed to augment
rather than restrain the District‟s regulatory power.
21
The Court of Appeal rejected the District‟s position that the BARCT standard was
technology-forcing, concluding that “best available retrofit control technology” refers
only to technology that is currently available in its final form or capable of being readily
assembled. In so concluding, the court relied on the language of statutes governing the
use of “best available control technology” by new sources, despite the clear statutory
differentiation between BACT and BARCT. In particular, the Court of Appeal cited
section 40723, enacted in 2000 (Stats 2000, ch. 501, § 1), which provides in subdivision
(b): “Upon the request of any owner or operator of equipment that is subject to best
available control technology or lowest achievable emission rate requirements, the district
shall review whether the applicable requirements have been achieved and whether the
requirements should be required for the source category or source . . . .” While
acknowledging that section 40723 applies to BACT and not to BARCT, the court
reasoned that “[i]t would be highly anomalous for the Legislature to build in a protection
for the operators of equipment subject to rules governing new sources of pollution,
namely that the operator could request review as to whether the requirements had been
„achieved‟ — past tense — if the Legislature intended that rules governing existing
sources of pollution could be based on technology beyond state of the art. If anything,
one would expect the reverse: If the Legislature wanted to give the district authority to
make rules requiring something beyond state of the art technology, it would presumably
want to give that authority first as regards any new sources of pollution, where, after all,
the most recent „conceivable‟ technologies would be more likely to be devised, then
attempted.”
The District argues convincingly, however, that it would not be anomalous for the
Legislature to have established more rigorous standards for existing sources than for new
or modified sources. As the District points out, BACT determinations are made as part of
the District‟s construction permit program; they are decided on a case-by-case basis for
new and modified pollution sources. Under District rule No. 1303(a)(1), “[t]he Executive
22
Officer or designee shall deny the Permit to Construct for any relocation or for any new
or modified source which results in an emission increase of any nonattainment air
contaminant, any ozone depleting compound, or ammonia, unless BACT is employed for
the new or relocated source or for the actual modification to an existing source.” (See 2
Manaster & Selmi, supra, § 41.25[4], pp. 41-52 to 41-56; Security Environmental
Systems, Inc. v. South Coast Air Quality Management Dist. (1991) 229 Cal.App.3d 110,
115-116, 121 [noting that BACT determination is part of the process for obtaining
permits to construct hazardous waste incinerator].) “Best available control technology” is
limited to extant technology because BACT is a standard that defines what technology
must be used when industry seeks permission for imminent new construction. BARCT
standards, by contrast, are generally applicable rules that require full compliance at some
future date, usually several years after a rule is adopted. (See 2 Manaster & Selmi, supra,
§ 41.20[2][d], p. 41-26.) BARCT standards are designed to achieve emission reductions
by existing sources over a period of time, during which it is reasonable for a standard-
setting district to predict and require ongoing innovation in pollution control technology.
These differing regulatory contexts and timeframes illuminate why the Legislature made
BARCT standards more forward-looking than BACT standards.
Noting that the federal Clean Air Act imposes national standards on emissions
from new and modified sources but not on emissions from existing sources (see 42
U.S.C. §§ 7475, 7502(c)(5), 7503; 40 C.F.R. § 51.160-166 (2011)), the Association
contends that Congress, and by implication our Legislature as well, intended to impose
more stringent standards on new and modified sources, and that BARCT therefore must
be no more technology-forcing than BACT. As the District points out, however, the
decision to set national standards for new source pollution was an effort to prevent states
from engaging in a “race to the bottom” by lowering new source standards to attract
industry. (H.R. Rep. No. 95-294, 1st Sess. p. 184 (1977), reprinted in 1977 U.S. Code
Cong. & Admin. News pp. 1077, 1263.) On the other hand, Congress decided to delegate
23
to the states the task of regulating existing sources, so that more stringent existing source
standards would apply in more polluted areas of the country. (Id. at p. 1263, fn. 3.)
California‟s statutory scheme mirrors the federal scheme in imposing BARCT
requirements only in nonattainment districts and in allowing districts with more severe
pollution problems to impose more stringent BARCT requirements. (See ante, at pp. 19-
20.)
The Court of Appeal also concluded that section 40703 supports the position that
BARCT calls for “existing, as distinct from conceivable, technology.” Section 40703
provides: “In adopting any regulation, the district shall consider, pursuant to Section
40922, and make available to the public, its findings related to the cost effectiveness of a
control measure, as well as the basis for the findings and the considerations involved. A
district shall make reasonable efforts, to the extent feasible within existing budget
constraints, to make specific reference to the direct costs expected to be incurred by
regulated parties, including businesses and individuals.” The Court of Appeal reasoned
that “[c]ost effectiveness is a factor which necessarily demands the hard data („direct
costs‟) associated with existing technology. Conceivable technology that is only „likely‟
to meet a regulatory requirement given a hypothesized trend line is generally not
amenable to clear-eyed cost accounting.”
But the Court of Appeal posited a false dichotomy between “existing technology”
and merely “conceivable technology.” Regulatory agencies often have to make
predictions about technological progress in setting environmental regulations, and such
predictions are “ „subject to the restraints of reasonableness.‟ ” (Natural Resources
Defense Council, Inc. v. EPA (D.C. Cir. 1981) 655 F.2d 318, 328; see id. at 329
[upholding regulations limiting diesel vehicle emissions of particulate matter on the
ground that the EPA‟s “determination . . . of the likely sequence of further technological
development” within the regulatory timeframe was reasonable].) We find no basis to
conclude that reasonably predictable technological advances are not amenable to cost
24
analysis. In the present case, for example, the District engaged in such analysis using
cost estimates from resin suppliers and coating manufacturers. Although coating
manufacturers were reluctant to provide cost data, the District estimated on the basis of
the information available, including a number of studies by coatings manufacturers and
industrial users, that “the proposed limits would result in price increases for future
coatings compliant with the interim limits to increase by up to 10% and those compliant
with the final limits to increase by up to 20%. These price increases reflect not only any
increased raw material costs but also other manufacturing costs to be recouped by the
coatings manufacturers, such as research and development (R&D), testing, marketing,
labeling, etc.” In addition, consistent with section 40703‟s instruction “to make specific
reference to the direct costs expected to be incurred by regulated parties, including
businesses and individuals,” the District estimated the specific costs of the proposed
limits to paint contractors, consumers, small businesses, and small paint manufacturers.
Moreover, as section 40920.6 directs, the District calculated cost effectiveness in terms of
“the cost, in dollars, of the potential control option divided by emission reduction
potential, in tons, of the potential control option” (§ 40902.6, subd. (a)(2)) and estimated
total cost-effectiveness to be “$13,317 per ton” over the years 2002 to 2015. Although
the Association asserts that “it seems difficult, if not outright impossible, for the District
to be able to determine the cost effectiveness of unavailable technology,” the Association
has not challenged or alleged any shortcoming in the District‟s cost analysis of the 2002
amendments to Rule 1113.
Finally, even if there were ambiguity in the statutory scheme, we would
“ „accord[] great weight and respect to the administrative construction‟ ” because here
“ „the legal text to be interpreted is technical, . . . complex, open-ended, [and] entwined
with issues of fact, policy, and discretion.‟ ” (Yamaha, supra, 19 Cal.4th at p. 12.) This
is an area where “ „the agency has expertise and technical knowledge.‟ ” (Ibid.)
25
Accordingly, were we in doubt as to the correct interpretation of the BARCT
requirement, we would defer to the District‟s reasonable construction.
In sum, we conclude that “best available retrofit control technology” is not limited
to technology that already exists at the time a regulation is promulgated. BARCT also
encompasses potential or developing technology that will enable compliance with
emissions limits by the effective date of the regulation. Under section 40406 and related
statutes, air pollution control districts may take continuing technological progress into
account in determining what emissions reductions are “achievable” when setting BARCT
standards to meet their public health goals.
In light of this holding, we express no view on the District‟s additional argument
that BARCT sets only a floor and not a ceiling on the District‟s regulatory authority.
IV.
Because the District has properly construed its statutory authority to set BARCT
standards, we will not vacate the 2002 amendments to Rule 1113 unless they are
arbitrary, capricious, or entirely lacking in evidentiary support. Here, the Court of
Appeal concluded that there was no evidence in the record of any compliant low-VOC
coatings in two categories — quick dry enamels and rust preventive coatings — and
remanded the matter to the superior court to determine whether any then-current (2009)
technology enabled manufacturers to comply with the 2006 emissions limits.
As the District observes, the Court of Appeal appears to have misread the record
when it concluded that no compliant quick dry enamels or rust preventive coatings
existed when the 2002 amendments were adopted. Although the Court of Appeal did not
specify the source for its conclusion, it was apparently relying on a table summarizing a
1998 study by the Board that showed zero available compliant coatings for quick dry
enamels and rust preventive coatings. However, footnotes (d) and (f) to this table
indicate that numerous coatings meeting the definition of quick dry enamels and rust
preventive coatings were not included in those categories and instead appear in
26
alternative categories. The District staff report on the original 1999 amendments
affirmed that “[o]ver the past 5 years, several coating manufacturers have developed and
marketed acrylic formulations that achieve the high gloss and dry time requirements to be
classified as quick dry enamels.” The report further states that District staff “has
conducted extensive searches for rust preventative primers and topcoats that meet the
proposed VOC limits . . . [and] has found numerous manufacturers that have direct-to-
metal . . . finishes” that meet the low-VOC limits. The record also shows that there were
additional coatings compliant with either interim or final limits when the 2002
amendments were adopted.
Furthermore, the Court of Appeal erred insofar as it discounted the relevance of
anticipated technological progress that would produce more compliant coatings by 2006.
The appearance of additional compliant coatings in these two categories between 1999
and 2002 underscores the District‟s findings, based on a number of sources discussed
above, that then-recent breakthroughs in resin technology and other coating technologies
made possible further low-VOC product innovation in numerous coating categories.
Moreover, the District relied in part on the industry‟s own assessment to find that
development of new products within the seven-year window provided by the Rule 1113
amendments was feasible. The Association does not explain why innovations within this
time period for quick dry enamels and rust preventive coatings were beyond the capacity
of its members. On a proper interpretation of the BARCT standard, the District was
entitled to take into account evidence of reasonably foreseeable technological innovation
in setting emissions limits for these categories of coatings.
Given the record evidence of then-current as well as reasonably foreseeable
technology when the District adopted the challenged emissions limits for quick dry
enamels and rust preventive coatings in 2002, the District‟s determination that those
limits were achievable is not arbitrary, capricious, or entirely lacking in evidentiary
27
support. We therefore conclude that the Court of Appeal erred in remanding that portion
of Rule 1113.
V.
Finally, we turn to the issue the Association raised in the lower courts and in its
answer to the petition for review: “Where an emissions limitation promulgated by the air
pollution control district applies to a category of products, and where the record
demonstrates that the limit is not achievable with available technology for all products
within the category, has the district complied with the requirement to utilize best
available retrofit control technology?”
The Association contends that the categories used by the District to set emissions
limits are impermissibly broad: “The breadth of the regulatory categories in Rule 1113
results in the fact that technology for certain „classes‟ or „categories‟ of coatings may not
be available to meet a proposed emissions standard, even though others within the
regulatory category are available. For example, it may not be possible to develop a
chemical storage tank coating that will perform acceptably at an emission level proposed
for industrial maintenance coatings, but there is technology to develop a bridge coating at
that level. In this case, section 40406 requires a finding that the technology is not
available for the chemical storage tank coating subcategory, even though it is available
for the bridge coating. These coatings should not be subject to the same standard simply
because the District has placed the two coatings in the same „industrial maintenance‟
category for regulatory purposes. Clearly, chemical storage tank coatings and bridge
coatings are not the same „class or category of source.‟ ”
In federal litigation, the Association similarly argued that section 40406 requires
the District “to adopt control measures that are technologically feasible for all
applications within a regulated category (e.g. stains).” (National Paint & Coatings Assn.,
Inc. v. South Coast Air Quality Dist. (C.D. Cal. 2007) 485 F.Supp.2d 1153, 1157
(National Paint).) Finding that argument “untenable,” the court explained: “First, the
28
„application by application‟ interpretation runs contrary to the plain meaning of
§ 40406. . . . BARCT is defined as an emission limitation „based on the maximum
degree of reduction achievable . . . . for each class or category of source.‟ § 40406
(emphasis added). The Oxford English Dictionary defines class . . . as „a number of
individuals (persons or things) possessing common attributes, and grouped together under
a general or „class‟ name; a kind, sort, division.‟ (2d ed. 1989). Similarly, the term
category is defined as „a class, or division, in any general scheme of classification.‟ Id.
Thus, the plain meaning of the statute suggests that a BARCT control measure need only
be shown achievable for a group or division of applications.
“Moreover, [the District‟s] argument that [the Association‟s] proffered feasibility
standard would be „effectively . . . impossible to meet‟ is persuasive. [The District]
contends that, under the [Association‟s] interpretation, [the District] „would have to
demonstrate for all its air pollution-reduction rules feasibility for every conceivable
application.‟ . . . [A]n interpretation of BARCT that would undermine [the District‟s]
rule-making authority to such an extent is inconsistent with legislative intent.” (National
Paint, supra, 485 F.Supp.2d at pp. 1157-1158, fns. omitted.)
For the reasons stated by the federal district court, we agree that an “application by
application” construction of section 40406 is unworkable and not what the Legislature
could have intended. (See Western Oil & Gas Ass’n v. Air Resources Board (1984) 37
Cal.3d 502, 524 [rejecting construction of a statute that would paralyze the agency by
imposing an enormous regulatory burden].)
Before this court, the Association disavows a strict application-by-application
construction of BARCT, stating that it “never suggested the burden is on the District to
define every possible subcategory of coatings subject to the proposed rule based on every
conceivable object to which the coatings might be applied. [The Association‟s] position
has been, and remains, that when a district proposes a rule that requires the use of
technology across a broad and heterogeneous category of products and substantial
29
evidence shows that the technology is not available for discrete classes or categories
within the regulatory category, the district needs to adjust the technology requirement for
those subcategories in which the technology is available and the standard is achievable.”
The Association notes that as of 1998 only a small percentage of coatings in some
categories met Rule 1113‟s final 2006 limits — for example, only 3 percent of non-flat
coatings and 11 percent of industrial maintenance coatings. Based on these data, the
Association contends that many products within each category have distinct functions
and applications, and that the compliance of a small percentage of coatings within a given
category does not demonstrate overall achievability within that category.
The Association analogizes its rule — that a district needs to readjust its categories
“if substantial evidence shows that the technology is not available for discrete classes or
categories within the regulatory category” — to the “fair argument” standard used in
CEQA. Under CEQA, an environmental impact report (EIR) must be prepared
“whenever it can be fairly argued on the basis of substantial evidence that [a] project may
have significant environmental impact.” (No-Oil v. City of Los Angeles (1974) 13 Cal.3d
68, 75; see also Friends of “B” Street v. City of Hayward (1980) 106 Cal.App.3d 988,
1002.) We adopted this low threshold to ensure the effectiveness of the statutory scheme
because “the preparation of an EIR is the key to environmental protection under CEQA.”
(No-Oil, supra, at p. 75.)
The Association does not explain how its proposed rule similarly advances the
objectives of the statute here. Such a rule might be plausible if the primary purpose of
BARCT were to rein in overzealous air pollution control districts, but as discussed above
(see ante, at p. 21), section 40406 had the contrary purpose of requiring districts to pursue
more aggressive regulation. Nor does the Association identify any basis for its rule in the
language of the statute or in settled principles of administrative law. Indeed, the burden
in this mandate proceeding is not on the District to show that no other categorization of
pollution sources is supported by substantial evidence. Rather, the burden is on the
30
Association to show that the District‟s categorization of pollution sources is arbitrary,
capricious, or entirely lacking in evidentiary support. (See California Correctional
Peace Officers Assn. v. State Personnel Bd., supra, 10 Cal.4th at p. 1154.)
The Association cannot carry this burden merely by observing, based on 1998
data, that only a small percentage of products in some categories complied with the 2006
emissions limits. As explained above (see ante, at pp. 20-23), the District need not
consider only existing technology in determining whether an emissions reduction is
achievable; it may also take into account reasonably foreseeable technological advances.
The record shows that with the development of new additives and resins that improve the
performance of many zero-VOC and low-VOC coatings, significant technological
advances since the 1990s have affected numerous coatings and coating categories.
Additional evidence in the record suggests that the process of reformulating a product
and bringing it to market takes five to seven years. The District concluded that during the
seven years between the time Rule 1113 was initially amended in 1999 and the time the
2006 limits were scheduled to go into final effect, many new products within each
category would be developed. In addition, the District expected the coating industry to
continue developing low-VOC products even as it was litigating the validity of the
regulations.
The Association does not explain why the District‟s determinations were
unreasonable, nor does it explain why reformulating the coatings in some definable
category or subcategory of products posed obstacles so insurmountable that the task
could not be accomplished within the regulation‟s timeframe. Moreover, in addition to
reasonably contemplating technological advances, Rule 1113 does not require every
source in a given category to meet the final emissions limits. The rule includes an
averaging provision that deems manufacturers in compliance as long as “their actual
cumulative emissions from the averaged coatings are less than or equal to the cumulative
emissions that would have been allowed under those limits over a compliance period not
31
to exceed one year.” (Rule 1113 (c)(6).) Faced with devising a manageable number of
categories to limit the VOC content of a vast number of coating products, the District
reasonably built flexibility into its regulatory system to compensate for the rigidity that
may result from overinclusive classifications.
In comments submitted to the District, some niche manufacturers claimed that the
2002 amendments would drive them out of the Southern California market because their
narrow product lines make them unable to take advantage of the averaging provision and
because they cannot reformulate their products quickly enough to meet compliance
deadlines. We do not know whether those claims have borne out in reality. But nothing
in section 40440 or section 40406 requires the District to determine that all
manufacturers will be able to meet the standards by the compliance deadline. Indeed, as
an additional measure of flexibility, the statute allows businesses facing closure as a
result of air pollution regulations to apply for a variance. (See §§ 42350-42372.)
According to the District, no manufacturer has yet applied for a variance based on
inability to comply with the 2002 amendments.
Ultimately, although the Association vigorously contends that different categories
would be preferable, it does not explain why the categories chosen by the District are
arbitrary, capricious, or irrational. The District‟s categories resemble those used by the
Board in its model coatings rule, with the exception of various specialty categories that
the District found unnecessary. In addition, the District followed section 40726‟s
directives that air pollution control districts must “provide for the submission of
statements, arguments, or contentions, either oral, written, or both” before adopting or
amending a regulation, and that districts may adopt or amend a regulation only after
“consideration of all relevant matter presented.” The record abundantly demonstrates
that the District carefully considered the industry‟s concerns about improper categories.
The District‟s response to written comments by the Sherwin-Williams Company
illustrates such consideration. Sherwin-Williams commented: “We believe additional
32
categories will be needed to meet the specific performance properties required and to
minimize the VOC content of each mini-category. For example, the industrial
maintenance category might be divided into the following categories covering separate
limits: coating for highway and bridges; chemical plant; paper and pulp mill; masonry
structures; a merchant service; food and beverage facilities; petrochemicals; etc. The non-
flat category might be divided between interior and exterior and different gloss levels.
Such divisions will allow the maximum VOC reduction while maintaining some of the
needed performance characteristics.” The District responded: “[District] staff believes
that there are sufficient data and technology available to support the future limits. The
[District] has repeatedly revisited specific evidence to justify creating additional
subcategories of coatings with high VOC limits. When such evidence has been presented
and is persuasive, the [District] has allowed such substitutions. The commentator failed
to provide any supporting data to justify why currently available low-VOC coatings
would not adequately perform for all the suggested mini categories.”
Industry comments and District responses elsewhere in the record bear out the
conclusion that the District considered industry suggestions regarding additional
subcategories, sometimes accepting and other times rejecting them. For example, in
response to comments from the Henry Company, the District acknowledged that it “has
been unable to identify other Bituminous Roof Primers that exhibit equivalent
performance characteristics to their higher-VOC counterparts” and agreed with the
company‟s suggestion to create a category for bituminous roof primers with a VOC limit
of 350 grams per liter. The record also reveals that the District created a number of other
coatings in response to industry comments, including a zinc-rich industrial maintenance
primer category, a generalized waterproofing sealer category, and a rust preventative
coating category.
On the other hand, the District rejected requests for an anti-graffiti coating
subcategory at a higher VOC limit based on its assessment of available products that
33
could meet proposed limits. It also decided against creating a separate chemical storage
tank coating category, noting that the state model coatings rule did not have such a
category, and instead delayed by one and a half years the effective date for the interim
limit applicable to the industrial maintenance category (which includes chemical storage
tank coatings) out of concern for the problems facing that category of coatings.
As the record shows, the District categorized pollution sources on the basis of its
expertise as a specialized regulatory agency. The Association does not and cannot claim
that there is an objectively correct categorization that the District should have adopted.
We will not disturb the District‟s judgment simply because there is evidence, even
substantial evidence, supporting a different categorization. To be sure, the District may
not arbitrarily categorize existing sources of pollution in order to evade the statutory
directive that an emissions limitation must be technologically achievable. But we will
not invalidate the District‟s categories merely because of technical disagreements over
their proper boundaries.
At bottom, the disagreement between the Association and the District over the
categorization scheme is a disagreement over how strict air pollution limits should be and
how long industry should have to achieve them. The Association repeats in this court
what it argued in its comments to the District: that there was inadequate information
about supposedly compliant products, that the District relied too much on product data
sheets and not enough upon testing in the field, and that the District overstated the
breakthroughs in low-VOC coatings technology. In response, the District affirms the
reliability of industry-generated documents and points to the extensive field and
laboratory testing it undertook. Nothing in the record indicates that the District ignored
industry concerns or otherwise adopted the 2002 amendments to Rule 1113 arbitrarily,
capriciously, or without evidentiary support. Accordingly, there is no basis for this court
to second-guess the District‟s reasonable determinations.
34
None of the cases cited by the Association persuades us otherwise. The
Association relies on National Lime Assn. v. EPA (D.C. Cir. 1980) 627 F.2d 416
(National Lime), which involved a challenge to regulations for newly constructed or
modified lime manufacturing plants. Such regulations, mandated by section 111 of the
Clean Water Act (42 U.S.C. § 7411), were known as new source performance standards.
(See National Lime, at pp. 425-428.) Section 111 required the EPA Administrator to
prescribe standards of performance for new emissions sources that reflect “ „the degree of
emission limitation and the percentage reduction achievable through the application of
the best technological system of continuous emission reduction which (taking into
consideration the cost of achieving such emission reduction, any nonair quality health
and environmental impact and energy requirements), the Administrator determines has
been adequately demonstrated . . . .‟ ” (Id. at p. 428, quoting 42 U.S.C. § 7411(a) (Supp.
I 1977).)
The National Lime court remanded the regulations to the agency, finding the
EPA‟s analysis supporting new source performance standards for the lime industry to be
inadequate. According to the court, the EPA‟s own analysis had identified several
variables in lime production that could affect the volume and type of pollution emitted
and, in turn, the efficacy of any pollution control measures. But the EPA‟s analysis of six
supposedly representative plants did not include sufficient discussion of those variables,
making it impossible to determine whether the emission control results from the six
plants adequately demonstrated that the proposed standards were achievable for the
industry as a whole. (See National Lime, supra, 627 F.2d at pp. 431-433.) “The
Agency‟s failure to consider the representativeness along various relevant parameters of
the data relied upon is the primary reason for our remand.” (Id. at p. 433.)
National Lime is distinguishable from the present case in two respects. First,
National Lime involved an emissions standard for new and modified sources that required
pollution control technology whose pollution reduction capability “ „has been adequately
35
demonstrated.‟ ” (National Lime, supra, 627 F.2d at p. 428, quoting 42 U.S.C. § 7411(a)
(Supp. I 1977).) Although such a standard is similar to the BACT requirement that the
District must apply to new and modified sources, it is not similar to the BARCT
requirement applicable to existing sources. Second, whereas National Lime invalidated a
quasi-legislative regulation because of a methodological deficiency in the agency‟s
analysis (see also Shappell Industries, Inc. v. Governing Board, supra, 1 Cal.App.4th at
pp. 236-237 [invalidating fees imposed by school district because of methodological
flaws in the district‟s analysis]), the Association identifies no such deficiency in this case.
The Association does not contend that the District acknowledged certain variables to be
important but then failed to analyze them. Instead, the Association simply disagrees with
the District‟s substantive determinations.
The Association cites several cases involving the federal Occupational Health and
Safety Administration (OSHA), but they too are inapposite. As an initial matter, those
cases were decided under a different standard of review whereby courts “ „must take a
“harder look” at OSHA‟s action than we would if we were reviewing the action under the
more deferential arbitrary and capricious standard applicable to agencies governed by the
Administrative Procedure Act.‟ ” (AFL-CIO v. OSHA (11th Cir. 1992) 965 F.2d 962,
970.) OSHA must adopt standards that are technologically feasible, and it has the burden
of demonstrating feasibility by means of substantial evidence. (See id. at p. 980.)
Moreover, in two of the cases cited by the Association, the court remanded the
regulations because OSHA had violated the well-established rule that the feasibility of its
regulations must be determined industry-by-industry rather than generically. (See id. at
pp. 980-982; Color Pigments Mfrs. Assn. v. OSHA (11th Cir. 1994) 16 F.3d 1157, 1161-
1163.) No comparable error occurred in the present case.
In the third OSHA case cited by the Association, the court found that OSHA
“ha[d] not presented substantial evidence of the technological feasibility of the [lead]
standard for shipbuilders.” (United Steelworkers of America, etc. v. Marshall (D.C. Cir.
36
1980) 647 F.2d 1189, 1297.) In addition to applying more stringent review than the
arbitrary-and-capricious standard, the court reached its conclusion in part because OSHA
had given shipbuilders only one year to comply with its new standards. (See ibid.) The
court explained that “where [OSHA] has given the industry ample time to devise means
to meet the final [permissible exposure limit (PEL)], we have given a generous meaning
to the philosophy of technology-forcing. Here, however, OSHA has given the
shipbuilders only one year from the effective date of the standard to meet the final PEL.
We thus cannot grant OSHA much margin for error in its speculations about
technological development, because OSHA has given the shipbuilders virtually no time
for such development.” (Ibid.) In the present case, the District reasonably calibrated its
projections of technological development to the timeframe for complying with the
regulation. (See ante, at pp. 11, 33.)
The Association also cites Commonwealth Edison Co. v. Pollution Control Bd.
(Ill. App. 1974) 323 N.E.2d 84, 95, affirmed in part and reversed in part on other grounds
(Ill. 1976) 343 N.E.2d 459, in which the court remanded a sulfur regulation for power
plants on the ground that the state pollution control board provided insufficient
information on the technological feasibility of the regulation. But that holding has
apparently been overruled by Granite City Division of Nat. Steel Co. v. Pollution Control
Bd. (Ill. 1993) 613 N.E.2d 719, 733-734, in which the Illinois Supreme Court held that
the statutory mandate that the state board “ „take into account‟ ” the “ „technical
feasibility‟ ” of pollution control regulations did not bar the board from adopting a
technology-forcing regulation that was not technically feasible at the time of adoption if
“ „absolutely necessary to protect the public.‟ ” Commonwealth Edison is also
distinguishable from the present case insofar as the state board apparently admitted it had
insufficient information to gauge the feasibility of its sulfur regulations. (Commonwealth
Edison, supra, at p. 95.)
37
In sum, the District extensively analyzed the architectural coating industry in all
its variety. It examined industry concerns with its coating categories, and where
appropriate, it adjusted those categories. Moreover, the seven-year period from the initial
1999 promulgation of the VOC limits to the 2006 effective date gave industry significant
lead time for technological innovation. The Association disagrees with the District‟s
expert technical judgments concerning source categories, achievable emissions limits,
and appropriate testing protocols. These disagreements do not establish that the District‟s
regulations were arbitrary, capricious, or entirely lacking in evidentiary support.
CONCLUSION
We conclude that the Association‟s challenges to the 2002 amendments to Rule
1113 are without merit. We reverse in part the judgment of the Court of Appeal and
remand with directions to affirm the judgment of the trial court denying the Association‟s
petition for a writ of mandate.
LIU, J.
WE CONCUR: CANTIL-SAKAUYE, C. J.
KENNARD, J.
BAXTER, J.
WERDEGAR, J.
CHIN, J.
CORRIGAN, J.
38
See next page for addresses and telephone numbers for counsel who argued in Supreme Court.
Name of Opinion American Coatings Association, Inc. v. South Coast Air Quality Management District
__________________________________________________________________________________
Unpublished Opinion
Original Appeal
Original Proceeding
Review Granted XXX 177 Cal.App.4th 1494
Rehearing Granted
__________________________________________________________________________________
Opinion No. S177823
Date Filed: June 25, 2012
__________________________________________________________________________________
Court: Superior
County: Orange
Judge: Ronald L. Bauer
__________________________________________________________________________________
Counsel:
Fulbright & Jaworski, Jeffrey B. Margulies and William L. Troutman for Plaintiff and Appellant.
Shute, Mihaly & Weinberger, Matthew D. Zinn, Heather M. Minner; Daniel P. Selmi; Kurt R. Wiese, Barbara B.
Baird and William B. Wong for Defendant and Respondent.
Philip M. Jay and Catherine T. Redmond for San Joaquin Valley Unified Air Pollution Control District as Amicus
Curiae on behalf of Defendant and Respondent.
Frank G. Wells Environment Law Clinic and Sean B. Hecht for Sierra Club and Natural Resources Defense Council
as Amici Curiae on behalf of Defendant and Respondent.
Kathrine C. Pittard for Sacramento Metropolitan Air Quality Management District as Amicus Curiae on behalf of
Defendant and Respondent.
Edmund G. Brown, Jr., Attorney General, J. Matthew Rodriquez, Chief Assistant Attorney General, Gordon Burns,
Deputy State Solicitor General, Mary E. Hackenbracht, Assistant Attorney General, and Gavin G. McCabe, Deputy
Attorney General, for California Air Resources Board as Amicus Curiae on behalf of Defendant and Respondent.
Counsel who argued in Supreme Court (not intended for publication with opinion):
Jeffrey B. Margulies
Fulbright & Jaworski
555 S. Flower Street, 41st Floor
Los Angeles, CA 90071
(213) 892-9200
Daniel P. Selmi
919 Albany Street
Los Angeles, CA 90015
(213) 736-1098