[J-55-2022]
IN THE SUPREME COURT OF PENNSYLVANIA
MIDDLE DISTRICT
BAER, C.J., TODD, DONOHUE, DOUGHERTY, WECHT, MUNDY, BROBSON, JJ.
THE MARCELLUS SHALE COALITION, : No. 69 MAP 2021
:
Appellee : Appeal from the Order of the
: Commonwealth Court at No. 573
: MD 2016 dated August 12, 2021.
v. :
: ARGUED: September 15, 2022
:
DEPARTMENT OF ENVIRONMENTAL :
PROTECTION OF THE COMMONWEALTH :
OF PENNSYLVANIA AND :
ENVIRONMENTAL QUALITY BOARD OF :
THE COMMONWEALTH OF :
PENNSYLVANIA, :
:
Appellants :
Justice Donohue delivers the Opinion of the Court with respect to Parts I-V, and
VI(C)(2), and announces the Judgment of the Court.
OPINION
JUSTICE DONOHUE DECIDED: April 19, 2023
In this appeal as of right, we are asked to pass upon the breadth of the legislative
rulemaking authority given to the Department of Environmental Protection (the
“Department”) and the Environmental Quality Board (the “Board”) (collectively, the
“Agencies”) by the General Assembly in the Pennsylvania Oil and Gas Act of 1984. 1 The
Agencies submit that the Commonwealth Court erroneously concluded that they
exceeded their authority and consequently struck down certain regulations designed to
aid the Agencies in information gathering attendant to the issuance of permits for new
1 Dec. 19 P.L. 1140, No. 223.
unconventional gas wells. For the following reasons, we find that the General Assembly
intended to give the Agencies the leeway to promulgate the challenged regulations and
that those regulations are reasonable. We therefore reverse the Commonwealth Court.
I. Procedural History
The instant petition for review was one of many lawsuits concerning Act 13 of 2012,
which amended Pennsylvania’s Oil and Gas Act. “Act 13 comprises sweeping legislation
affecting Pennsylvania’s environment and, in particular, the exploitation and recovery of
natural gas in a geological formation known as the Marcellus Shale.” Robinson Twp.,
Washington Cnty. v. Commonwealth, 83 A.3d 901, 913 (2013) (OAJC). The oil and gas
industry uses two primary methods to extract natural gas, both of which “inevitably do
violence to the landscape.” Id. at 914. In enacting Act 13, “the General Assembly has
made a policy decision respecting encouragement and accommodation of rapid
exploitation of the Marcellus Shale Formation[.]” Id. at 928.
Act 13 included the grant of authority by the General Assembly to the Agencies to
promulgate regulations for unconventional gas wells. On December 14, 2013, the
regulations were first published for public comment. Over 28,000 public comments were
received and considered, with 429 individuals testifying across twelve public hearings. In
2016, the Board published regulations pertaining to applications for a permit to drill an
unconventional gas well.
On October 13, 2016, the Marcellus Shale Coalition (the “MSC”) filed a Petition for
Review in the Nature of a Complaint Seeking Declaratory and Injunctive Relief (the
“Petition”). The Petition raised seven counts, only one of which is at issue in this appeal.2
2 The MSC accompanied its petition with a request for expedited review and a stay.
Then-Judge, now Justice, Brobson, sitting as the trial court, issued a single-judge opinion
and order preliminarily enjoining some of the regulations. We addressed the Agencies’
(continued…)
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That count pertained to portions of the regulations set forth at Sections 78a.1 and 78a.15.
Each challenged regulatory provision interacts to some degree with Section 3215 of the
Oil and Gas Act of 2012, 3 titled “Well location restrictions.” 58 Pa.C.S. § 3215. The
following portion of that statute directs the Agencies to consider certain “public resources”
when deciding whether to approve a well:
(c) Impact.--On making a determination on a well permit, the
department shall consider the impact of the proposed well on
public resources, including, but not limited to:
(1) Publicly owned parks, forests, game lands
and wildlife areas.
(2) National or State scenic rivers.
(3) National natural landmarks.
(4) Habitats of rare and endangered flora and
fauna and other critical communities.
appeal of that order in a decision issued on June 1, 2018. See Marcellus Shale Coal. v.
Dep’t of Env’t Prot. of Commonwealth, 185 A.3d 985 (Pa. 2018).
Meanwhile, merits review proceeded in the Commonwealth Court. Id. at 994. On March
14, 2018, the MSC filed an application for partial summary relief on counts three, five,
and six. Separately, on August 31, 2017, the MSC sought summary relief on count one.
The Commonwealth Court addressed count one by opinion published August 23, 2018.
Marcellus Shale Coal. v. Dep’t of Env’t Prot., 193 A.3d 447, 455 (Pa. Commw. 2018).
That is the opinion and order at issue here. Previously, the Agencies appealed that order,
and we quashed without prejudice to raise the claims on appeal from a final order.
Marcellus Shale Coal. v. Dep’t of Env’t Prot., 198 A.3d 330 (Pa. 2018) (per curiam).
Thereafter, the parties filed cross applications for summary relief on counts two through
seven. Now-Justice Brobson authored the opinion dealing with those applications, which
left several counts pending. Marcellus Shale Coal. v. Dep’t of Env’t Prot., 216 A.3d 448,
457 (Pa. Commw. 2019). The parties filed cross-appeals, and we quashed both appeals
until a final order was entered. Marcellus Shale Coal. v. Dep’t of Env’t Prot., 223 A.3d
655 (Pa. 2019) (per curiam). The parties then filed a joint Stipulation for Settlement and
Joint Application for Relief disposing of counts two through seven, leaving only count one.
3 58 Pa.C.S. §§ 2301–3504.
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(5) Historical and archaeological sites listed on
the Federal or State list of historic places.
(6) Sources used for public drinking supplies in
accordance with subsection (b).
58 Pa.C.S. § 3215(c) (emphases added).
The regulations governing applications for a well permit require applicants to
submit the applications “electronically to the Department on forms provided through its
web site and contain the information required by the Department to evaluate the
application.” 25 Pa. Code § 78a.15(a). The required information includes information
pertaining to specific “public resources[,]” with corresponding obligations to notify any
applicable “public resource agency” managing those public resources. Id. § 78a.15(f). In
turn, other regulations expand on the concepts of “public resources” and “public resource
agencies.” Beginning with “public resources,” the General Assembly did not separately
define that term in Act 13, nor did the Agencies in the regulations. Instead, within Section
78a.15(f)(1), the Agencies listed eight specific “public resources,” two of which are
challenged by the MSC. The first, found in Section 78a.15(f)(1)(iv), is “other critical
communities.” The term “other critical communities” is defined in the “Definitions”
regulation as follows:
Other critical communities –
(i) Species of special concern identified on a [Pennsylvania
Natural Diversity Inventory (“PNDI”)] receipt,[4] including plant
or animal species:
4 The regulations define “PNDI” as follows:
PNDI -- Pennsylvania Natural Diversity Inventory -- The
Pennsylvania Natural Heritage Program’s database
containing data identifying and describing this
(continued…)
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(A) In a proposed status categorized as
proposed endangered, proposed threatened,
proposed rare or candidate.
(B) That are classified as rare or tentatively
undetermined.
(ii) The term does not include threatened and endangered
species.
25 Pa. Code § 78a.1.
The second, found in Section 78a.15(f)(1)(vi), applies to proposed well sites
“[w]ithin 200 feet of common areas on a school’s property or a playground.” Like “other
critical communities,” the term “common areas of a school’s property” was not defined by
Commonwealth’s ecological information, including plant and
animal species classified as threatened and endangered as
well as other critical communities provided by the Department
of Conservation and Natural Resources, the Fish and Boat
Commission, the Game Commission and the United States
Fish and Wildlife Service. The database informs the online
environmental review tool. The database contains only those
known occurrences of threatened and endangered species
and other critical communities, and is a component of the
Pennsylvania Conservation Explorer.
25 Pa.Code § 78a.1. The regulations further define “PNDI receipt” as “[t]he results
generated by the Pennsylvania Natural Diversity Inventory Environmental Review Tool
containing information regarding threatened and endangered species and other critical
communities.” Id.
Stated more succinctly, “[r]unning a PNDI search on the Pennsylvania Conservation
Explorer[, an online tool,] screens for potentially impacted threatened and endangered
species, special concern species, and significant ecological features in the vicinity of a
project area. The results of the search are summarized in the PNDI receipt.” See
Pennsylvania Natural Heritage Program website at
https://www.naturalheritage.state.pa.us/ApplyingPNHPInformation.aspx (last visited Feb.
23, 2023).
[J-55-2022] - 5
the General Assembly, but it is defined in the regulations. It is defined as “[a]n area on a
school’s property accessible to the general public for recreational purposes. For the
purposes of this definition, a school is a facility providing elementary, secondary or
postsecondary educational services.” 25 Pa. Code § 78a.1. “Playground” is separately
defined as either an “outdoor area provided to the general public for recreational
purposes,” or “community-operated recreational facilities.” Id.
If the proposed well “may impact” any of these “public resources,” the applicant
“shall notify the applicable public resource agency, if any[.]” 25 Pa. Code § 78a.15(f).
The notification requirements are delineated by regulation:
(2) The applicant shall notify the public resource agency
responsible for managing the public resource identified in
paragraph (1), if any. The applicant shall forward by certified
mail a copy of the plat identifying the proposed limit of
disturbance of the well site and information in paragraph (3)
to the public resource agency at least 30 days prior to
submitting its well permit application to the Department. The
applicant shall submit proof of notification with the well permit
application. From the date of notification, the public resource
agency has 30 days to provide written comments to the
Department and the applicant on the functions and uses of the
public resource and the measures, if any, that the public
resource agency recommends the Department consider to
avoid, minimize or otherwise mitigate probable harmful
impacts to the public resource where the well, well site and
access road is located. The applicant may provide a response
to the Department to the comments.
25 Pa. Code § 78a.15(f)(2).
As used in the regulations, the term “public resource agency” does not refer
exclusively to government entities. But see 2 Pa.C.S. § 101 (section of Administrative
Law and Procedure title defining “agency” as “a government agency”). Instead, the
Agencies defined the term to include both governmental agencies and private actors
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(albeit limited to private actors responsible for managing a corresponding regulatory
“public resource”):
An entity responsible for managing a public resource
identified in § 78a.15(d) or (f)(1) (relating to application
requirements) including the Department of Conservation and
Natural Resources, the Fish and Boat Commission, the Game
Commission, the United States Fish and Wildlife Service, the
United States National Park Service, the United States Army
Corps of Engineers, the United States Forest Service,
counties, municipalities and playground owners.
25 Pa. Code § 78a.1 (emphasis added).
Finally, the regulation codified at 25 Pa.Code § 78a.15(g) specifies that the
Department will consider several factors before issuing a permit based on potential
impacts to public resources:
(g) The Department will consider the following prior to
conditioning a well permit based on impacts to public
resources:
(1) Compliance with all applicable statutes and
regulations.
(2) The proposed measures to avoid, minimize
or otherwise mitigate the impacts to public
resources.
(3) Other measures necessary to protect
against a probable harmful impact to the
functions and uses of the public resource.
(4) The comments and recommendations
submitted by public resource agencies, if any,
and the applicant's response, if any.
(5) The optimal development of the gas
resources and the property rights of gas owners.
25 Pa. Code § 78a.15(g).
[J-55-2022] - 7
II. Agency Law
Before examining the specific challenges to these regulations and the
Commonwealth Court’s opinion, a brief overview of agency law principles is helpful.
“Commonwealth agencies have no inherent power to make law or otherwise bind the
public or regulated entities. Rather, an administrative agency may do so only in the
fashion authorized by the General Assembly[.]” Nw. Youth Servs., Inc. v. Commonwealth,
Dep’t of Pub. Welfare, 66 A.3d 301, 310 (Pa. 2013).
The General Assembly typically authorizes an agency to wield legislative
rulemaking powers “by way of recourse to procedures prescribed in the Commonwealth
Documents Law, the Regulatory Review Act, and the Commonwealth Attorneys Act.” Id. 5
“These enactments comprise the core of Pennsylvania’s scheme for notice-and-comment
rulemaking by administrative agencies and legal and regulatory review by the Attorney
General and the Independent Regulatory Review Commission[,]” id. at 305 n.2, and
regulations promulgated under those circumstances represent “the product of an exercise
5 Legislative rulemaking broadly refers to agencies defining the meaning of statutes and
regulations or establishing policy. Nw. Youth Servs., 66 A.3d at 310 (citing Mark
Seidenfeld, Substituting Substantive for Procedural Review of Guidance Documents, 90
TEX. L. REV. 331, 335 (2011)). Some conferrals of legislative power are clear; agencies
have authority to adopt rules “where the statute specifically empowers the agency to do
so.” Marcellus Shale Coal. v. Dep’t of Env’t Prot., 193 A.3d 447, 462 (Pa. Commw. 2018)
(quoting Bailey v. Zoning Bd. of Adjustment of Phila., 801 A.2d 492, 500 (Pa. 2002)). In
the absence of express legislative authority, an agency can still create rules if “directed
to operate under the statute,” based on its interpretation of the statute. Id. (quoting Bailey,
801 A.2d at 500).
Agencies also act in non-legislative capacities. The catch-all term for this branch of
administrative law is “guidance documents.” Nw. Youth Servs., 66 A.3d at 310. “These
come in an abundance of formats with a diversity of names, including guidances,
manuals, interpretive memoranda, staff instructions, policy statements, circulars,
bulletins, advisories, press releases and others.” Id. (internal quotation marks and citation
omitted). These acts can serve to bind the public, too, because they dictate how the
agency carries out its operations, but they lack the formal notice-and-comment
procedures.
[J-55-2022] - 8
of legislative power by an administrative agency, pursuant to a grant of legislative power
by the legislative body, and [are] valid and as binding upon a court as a statute,” Housing
Authority of the County of Chester v. Pennsylvania State Civil Service Commission, 730
A.2d 935, 942 (Pa. 1999), provided that the rule meets three requirements.
Specifically, the rule must be “(a) adopted within the agency’s granted power, (b)
issued pursuant to proper procedure, and (c) reasonable.” Tire Jockey Serv., Inc. v.
Commonwealth, Dep’t of Env’t Prot., 915 A.2d 1165, 1186 (Pa. 2007) (citation and
footnote omitted). Notably, “[p]roperly-enacted legislative rules enjoy a presumption of
reasonableness and are accorded a particularly high measure of deference—often
denominated Chevron[6] deference—by reviewing courts.” Nw. Youth Servs., 66 A.3d at
311 (citation omitted). 7 We add that Pennsylvania administrative law principles are rooted
in federal precedents. Id. at 313 n.16 (noting that “Pennsylvania decisions in the
administrative-law field are so closely grounded upon earlier federal cases”); see also
Crown Castle NG E. LLC v. Pa. Pub. Util. Comm’n, 234 A.3d 665, 686 (Pa. 2020) (Wecht,
J., concurring) (“In matters of agency deference, this Court historically has chosen (by
volition rather than by command) to take its cues from federal law.”) (citations omitted).
As noted above, the term “Chevron deference” refers to the United States Supreme
Court’s seminal decision in Chevron, U.S.A., Inc. v. Natural Resource Defense Council,
Inc., 467 U.S. 837 (1984), which stated that federal law had “long recognized that
6 Chevron, U.S.A., Inc. v. Nat. Res. Def. Council, 467 U.S. 837 (1984).
7Interpretive rules, on the other hand, are afforded “a lesser quantum of deference[.]”
Nw. Youth Servs., 66 A.3d at 311–12 (quoting Pa. Hum. Rels. Comm’n v. Uniontown Area
Sch. Dist., 313 A.2d 156, 169 (Pa. 1973)). The lesser degree of deference in the guidance
documents domain is attributable to the fact that these rules “may not rest on legislatively-
conferred rulemaking powers … [and] may depend ‘upon the willingness of a reviewing
court to say that it in fact tracks the meaning of the statute it interprets.’” Id.
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considerable weight should be accorded to an executive department’s construction of a
statutory scheme it is entrusted to administer[.]” Id. at 844 (footnote omitted).
Importantly, when a legislative branch “has directly spoken to the precise question
at issue[,]” that unambiguous intent must be followed by both courts and the agency. Id.
at 842–43. However, where the legislative branch has not directly addressed the issue,
a different rule applies:
If, however, the court determines Congress has not directly
addressed the precise question at issue, the court does not
simply impose its own construction on the statute, as would
be necessary in the absence of an administrative
interpretation. Rather, if the statute is silent or ambiguous with
respect to the specific issue, the question for the court is
whether the agency’s answer is based on a permissible
construction of the statute.
Id. at 843 (footnotes omitted).
This Court has never declared that we follow federal agency law principles in
lockstep. Agency issues appear in a dizzying array of contexts and “[a] pervading
question in this field, of course, is how much deference is due in any given context.”
Harmon v. Unemployment Comp. Bd. of Rev., 207 A.3d 292, 308 (Pa. 2019) (Saylor, C.J,
concurring). Various Justices, including the author of this opinion, have expressed the
view that our courts should, if not must, depart from federal law in some circumstances.
Id. at 309 (“In my view, while an administrative agency’s interpretation of a statute is one
of many factors that a court may consider when interpreting an ambiguous statute, it is
not entitled to any deference in the interpretative process.”) (Donohue, J., concurring); id.
at 310 (“As I have explained in the past, I do not agree that reviewing courts should afford
what often amounts to unqualified deference—i.e., Chevron deference—to an executive-
branch agency’s interpretation of an ambiguous statute.”) (Wecht, J., concurring)
[J-55-2022] - 10
(footnote omitted); Commonwealth, Dep’t of Educ. v. Empowerment Bd. of Control of
Chester-Upland Sch. Dist., 938 A.2d 1000, 1014 (Pa. 2007) (Baer, J., concurring) (“While
I agree that the Secretary enjoys a great deal of latitude in administering the Code, I do
not believe that ... administrative interpretations forwarded for the first time in connection
with adversarial litigation, are entitled to any more weight than any other litigant’s
argument[.]”).
Our Crown Castle decision recognized that this Court has never expressly adopted
the federal Chevron approach; instead, we have said that Chevron “is indistinguishable
from our own approach to agency interpretations of Commonwealth statutes.” Crown
Castle, 234 A.3d at 679 n.11 (quoting Seeton v. Pa. Game Comm’n, 937 A.2d 1028, 1037
n.12 (Pa. 2007)). While the term Chevron does not appear in the briefs, the parties invoke
that principle and its rationale. Agencies’ Brief at 25 (“Courts must accord deference to
an agency promulgating a legislative rulemaking.”) (indirectly citing Chevron); MSC’s Brief
at 49 (asserting that even if this Court finds statutory authority, the regulations still fail)
(“There is ample evidence in the record and on the face of the regulations to conclude
that they fail on the third step as well, in spite of deference that may be given to the
Agencies.”). As a result, our analysis will draw on federal law for its persuasive value
where appropriate.
III. The Commonwealth Court Decision
The MSC challenged the regulations at issue as “unlawful, illegal, void and
unenforceable” for a variety of reasons. Petition for Review, 10/13/2016, at 9, ¶ 34. The
fundamental proposition advanced within the Petition was that these regulations served
to “inject[] an entirely new, back door, ‘pre-permitting’ scheme into the oil and gas well
[J-55-2022] - 11
permitting process without statutory authority.” Id. at 12, ¶ 38. The MSC contended that
four specific definitions—public resource agencies, common areas of school property,
playgrounds, and other critical communities—are unlawful. “There is no statutory
authority for Section 78a.15(f) or the related definitions in Section 78a.1.” Id. at 14, ¶ 44-
a. The MSC argued that “Act 13 does not authorize newly defined ‘public resource
agencies’ or others not referenced in Act 13 to comment upon or object to a well permit
application[.]” Id. ¶ 44-c. The central premise underlying the MSC’s arguments for all four
challenges was that, absent express statutory authority, the Agencies were limited to
employing the Section 3215 criteria.
The Commonwealth Court acknowledged that substantive rulemaking by agencies
is a widely used administrative practice but cautioned that this “authority is not unfettered.”
Marcellus Shale Coalition, 193 A.3d at 462–63.
Where an agency creates a rule pursuant to its interpretative
powers, “a court shall only defer to the rule if it is reasonable
and ‘genuinely tracks the meaning of the underlying
statute.’” Bailey, 801 A.2d at 500 (quoting Borough of
Pottstown v. Pennsylvania Municipal Retirement Board, 551
Pa. 605, 712 A.2d 741, 743 (1998)). A court cannot substitute
its own judgment for that of the agency. Uniontown Area Sch.
Dist., 313 A.2d at 169. However, no deference is due where
an agency exceeds its legal authority or its interpretation
is clearly erroneous. See Tire Jockey, 915 A.2d at
1186; [Eagle Environmental II, L.P. v. Department of
Environmental Protection, 884 A.2d 867, 878 (Pa. 2005)]
Id. at 462–63.
The Commonwealth Court began its substantive analysis by addressing the
statutory authority conferring legislative rulemaking powers to the Agencies. Section
3274 contains an express grant: “The Environmental Quality Board shall promulgate
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regulations to implement this chapter.” 58 Pa.C.S. § 3274. Additionally, Sections 3211
and 3212 “provide express requirements for well permit applicants to provide notice to
certain enumerated parties and objection opportunities for a subset of such parties.”
Marcellus Shale Coalition, 193 A.3d at 465; see also 58 Pa.C.S. §§ 3211–3212.
Additionally, the Commonwealth Court recognized that the “[w]ell location restrictions”
codified at Section 3215 were a pertinent source of authority. See 58 Pa.C.S. § 3215.
“Other critical communities”
Starting with the Agency’s definition of “other critical communities,” the panel
explained that the Chapter 78a defined the term for the first time to include any “species
of special concern” as identified on a PNDI receipt. The panel addressed the validity of
the regulation by reference to traditional tenets of statutory construction. “What the
General Assembly meant by ‘other critical communities’ and whether the regulatory
definition of this term exceeds the scope of the statute is a matter of statutory
construction.” Marcellus Shale Coalition, 193 A.3d at 470–71. The Commonwealth Court
stated that its analysis was “also guided by the doctrine of ejusdem generis, which means
‘of the same kind or class.’” Id. at 472 (quoting Dep’t of Env’t Prot. v. Cumberland Coal
Res., LP, 102 A.3d 962, 976 (Pa. 2014)).
The court commenced its analysis by observing that “key modifiers of the specified
items are ‘rare,’ ‘endangered’ and ‘critical.’” Id. Additionally, the panel observed that the
term “other critical communities” had not appeared in other statutory contexts, but the
term “critical habitat” has. Id. Using the common and approved usage of those terms,
the court essentially concluded that the General Assembly intended consideration of
something threatened with extinction or in a crisis state.
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The opinion then applied the ejusdem generis canon of construction to determine
whether the Agencies’ regulatory term “species of special concern” within the definition
of “other critical communities” was “of the same general nature or class as the statutory
items listed” in Section 3215(c). Id. at 473. It determined that the regulatory definition
was “not quite on par with the statute’s terms,” and that the regulation itself states that
“species of special concern” refers to species that are “‘proposed’ to be endangered or
threatened, or their status is undetermined.” Id. Therefore, “[i]t does not appear that
‘species of special concern’ is of the same general nature or class as the statutory items
listed.” Id.
The court concluded that its interpretation was logical “when one considers the
purpose of Act 13 and the balance that must be struck between oil and gas and
environmental interests.” Id. at 475. The court cited the purpose of the Act, which is “to
permit the optimal development of oil and gas resources in this Commonwealth consistent
with the protection of the health, safety, natural resources, environment and property of
the citizenry.” Id. (citing 58 Pa.C.S.§ 3802). “By creating obligations tied to species of
special concern, which are not at the same level of risk as threatened or endangered
species, the regulation upsets the balance between industry and the environment strived
for in Act 13.” Id. at 476.
The Commonwealth Court also determined that the regulatory definition of “other
critical communities” violates the Documents Law, 45 P.S. §§ 1102-1208. Citing 45
P.S. §§ 1201 (explaining the public notice requirements that an agency must follow when
it promulgates, amends, or repeals an administrative regulation) and 1202 (stating, inter
alia, that, before an agency takes action on or changes a regulation, it must review and
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consider written comments and hold public hearings), the intermediate court observed
that the Documents Law mandates that an agency must enact a regulation through formal
notice and comment procedures to ensure that the regulation has the full force of law;
otherwise, the regulation is a nullity. Id. The court opined that, here, “the requirements
related to ‘species of special concern’ identified on a PNDI receipt violate the Documents
Law because they create a binding norm through a changing PNDI database that is not
populated through notice and comment rulemaking procedures.” 8 Id. at 477.
The Commonwealth Court bolstered this conclusion by highlighting that, unlike
resources included in the PNDI database, threatened and endangered species must
endure formal regulatory review procedures. According to the court, “provisions tied to
the PNDI receipt effectively allow third parties to make changes to the regulation without
meeting the requirements of formal rulemaking.” Id. These third parties include the
Department of Conservation and Natural Resources, the Game Commission, the Fish
8 This Court has explained the term “binding norm” as follows:
The critical distinction between a substantive rule and a
general statement of policy is the different practical effect that
these two types of pronouncements have in subsequent
administrative proceedings. .. . A properly adopted
substantive rule establishes a standard of conduct which has
the force of law. . . . The underlying policy embodied in the
rule is not generally subject to challenge before the agency.
A general statement of policy, on the other hand, does not
establish a ‘binding norm’. . . . A policy statement announces
the agency’s tentative intentions for the future. When the
agency applies the policy in a particular situation, it must be
prepared to support the policy just as if the policy statement
had never been issued.
Pennsylvania Human Relations Comm’n v. Norristown Area Sch. Dist., 374 A.2d 671, 679
(1977) (footnote and internal quotation marks omitted) (quoting Pacific Gas and Electric
Co. v. Federal Power Commission, 506 F.2d 33, 41 (D.C.Cir. 1974)).
[J-55-2022] - 15
and Boat Commission, and the Pennsylvania field office of the United States Fish and
Wildlife Service.
The Commonwealth Court reasoned that the “insertion of obligations tied to an
ever-changing list of species creates requirements that evolve over time while evading
public notice and comment rulemaking.” Id. In the intermediate court’s view, the
regulation improperly evades “rulemaking formalities by engaging in policymaking
through non-legislative avenues.” Id. The court, therefore, held that the “special concern
species” provisions violate the Documents Law.
“Common areas of a school’s property and a playground”
The Commonwealth Court next addressed whether the requirement “to identify
and provide information concerning ‘common areas of a school’s property or a
playground’ in a well permit application as well as the definition of these terms in Section
78a.1 is unlawful and unenforceable.” Id. at 478. As with the foregoing analysis, the court
addressed whether “common areas of a school’s property and a playground” were of the
same kind or class as the items contained in the General Assembly’s statutory list of
“public resources.” Id. The court determined that the statutory items were all of the same
general class or nature “in that they are all public in nature, albeit not necessarily publicly
owned.” Id. at 479. For example, buildings on the historic register “may be located on
privately owned property, but they are not purely private property.” Id. (citing Robinson
Township, 83 A.3d at 955). It reasoned, however, that these two items–the common
areas of a school’s property and a playground–were not of the same class:
Although common areas of a school’s property and
playgrounds may share some similarities with the public
resources listed in Section 3215(c), we agree with the [MSC]
that they are not within the “same general class or nature as”
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their statutory counterparts. With regard to schools, virtually
any school would fall within the definition of “school,” such as
career and technical centers, culinary schools, charter
schools, community colleges, private-licensed school, driver-
training school, vocational schools, etc. The list is seemingly
endless as any institution providing some form of educational
services would ostensibly qualify as a “school” under the
regulatory definition. As for the recreational aspect, a mere
picnic table and bench or basketball hoop accessible to the
public would bring the school’s property within the purview of
the regulation.
As for playgrounds, again the definition is so broad as to defy
quantification and compliance. The definition embraces
publicly and privately owned “playgrounds.” It obviously
includes children’s playgrounds, sports fields, and picnic sites.
However, it also includes virtually any area open to the public
for recreational purposes, including commercial enterprises,
such as shopping centers, movie theaters, sports stadiums,
amusement parks, and golf courses. Even a playground
adjoining a McDonald’s eatery would qualify as a “public
resource” under the regulation. The sheer diversity of these
resources renders the regulation unreasonable.
Id. at 480–81.
Playground owners and municipalities as “public resource agencies”
Finally, the Commonwealth Court determined that the Agencies’ definition of
“playground owners” as a “public resource agency” entitled to comment exceeded the
scope of the statute. It also determined that “municipalities” could be defined as a “public
resource agency,” but struck the regulation requiring the Department to consider
municipality input.
Beginning with the latter regulation, the Commonwealth Court held that Section
78a.15(g)(4) was invalid. The regulatory definition of “public resource agency” includes
municipalities, and thus, this regulation requires the Department to consider any
comments submitted by the municipality. With respect to municipalities, the
[J-55-2022] - 17
Commonwealth Court explained that subsection (d) of Section 3215 is a specific grant of
statutory authority for agency action regarding municipality comments. However, in
Robinson Township, this Court held that Section 3215(d) was unconstitutional because it
did not obligate the Department to consider comments from municipalities. Marcellus
Shale Coalition, 193 A.3d at 483 (citing Robinson Township, 83 A.3d at 984). The
Commonwealth Court observed that the regulation “appears to succeed where Section
3215(d) of Act 13 failed by providing that the Department ‘will’ consider such comments
and recommendations,” but “because the Supreme Court enjoined application and
enforcement of Section 3215(d), there is no statutory authority for the regulation.” Id. at
484. Absent statutory authority, that portion of the regulation failed.
Separately, the Commonwealth Court examined whether the definition of “public
resource agency” was valid. As to the inclusion of municipalities, the court determined
that its inclusion “is within the power bestowed under Act 13” because, as a local
governmental unit, a municipality has trustee duties under the Environmental Rights
Amendment. 9 Id. at 485. That regulation was also reasonable because identifying the
9 This provision of the Pennsylvania Constitution states as follows:
The people have a right to clean air, pure water, and to the
preservation of the natural, scenic, historic and esthetic
values of the environment. Pennsylvania’s public natural
resources are the common property of all the people,
including generations yet to come. As trustee of these
resources, the Commonwealth shall conserve and maintain
them for the benefit of all the people.
PA. CONST. art. I, § 27. This Court has explained that “[Article I, Section 27] establishes
the public trust doctrine with these natural resources (the corpus of the trust), and
designates ‘the Commonwealth’ as trustee and the people as the named beneficiaries.”
Robinson Township, 83 A.3d at 956; see also Pa. Env’t Def. Found. V. Commonwealth,
(continued…)
[J-55-2022] - 18
municipality in which the well will be located is readily ascertainable. “Municipalities have
identifiable points of contact for notification purposes. Thus, the inclusion of municipalities
in the definition is not unreasonable.” Id.
The Commonwealth Court struck the inclusion of playground owners as a public
resource agency upon consideration of the same concepts. Unlike municipalities,
playground owners “are not ‘trustees’ with any duties or obligations to protect the
environmental trust under Article I, Section 27 of the Pennsylvania Constitution or Act 13.
The Agencies have no authority to elevate private entities as public agencies responsible
for ensuring the public trust.” Id. The Commonwealth Court added:
Moreover, playground owners are not readily identifiable. For
starters, the regulatory definition bears an internal ambiguity.
The actual “owner” of the playground may not necessarily be
the “entity responsible for managing” the playground. See 25
Pa. Code § 78a.1. For instance, a playground may be owned
by one entity and managed by another. Under the definition,
it is unclear which would be the “public resource agency” for
notification purposes.
Under either interpretation, identifying and notifying the
appropriate contact may be impossible, if not extremely
burdensome. Unlike the other public resources listed
in Section 3215(c), “playgrounds” are not governed by
singular government agencies that can be easily identified
and notified during the well permitting process. A “playground
owner” may be a corporation, homeowners' association,
estate, trust, or private citizen. Even if the playground owner
is identified, the point of contact for such private “owners” may
be unknown, unidentified, or unlisted. Requiring a permit
applicant to identify and notify “playground owners” is unduly
burdensome and unreasonable. And, considering our
problem with the regulatory definition of “common areas of a
161 A.3d 911, 931–32 (Pa. 2017) (“The third clause of Section 27 establishes a public
trust, pursuant to which the natural resources are the corpus of the trust, the
Commonwealth is the trustee, and the people are the named beneficiaries.”) (footnote
omitted).
[J-55-2022] - 19
school’s property” and “playgrounds,” as discussed above,
the definition of “public resource agency” to the extent it
includes owners of such recreational areas fails by extension.
For these reasons, we conclude that the addition of
“playground owners” as a public resource agency is unlawful
and unenforceable.
Id. (footnote omitted).
IV. Issues Presented
The Agencies appealed and present the following questions for our review:
a. Did the Commonwealth Court improperly grant partial
summary relief by declaring that the definitions of “other
critical communities,” “common areas of a school’s property,”
and “playground,” as set forth in 25 Pa. Code § 78a.1, are void
and unenforceable?
b. Did the Commonwealth Court improperly grant partial
summary relief by declaring that including “playground
owners” in the definition of “public resource agency,” as set
forth in 25 Pa. Code § 78a.1, is void and unenforceable?
c. Did the Commonwealth Court improperly grant partial
summary relief by declaring that the Department’s
consideration of comments and recommendations submitted
by municipalities as “public resource agencies,” as provided
for in 25 Pa. Code § 78a.15(g), is unconstitutional and
unenforceable because the Supreme Court’s decision in
Robinson Township v. Commonwealth … invalidated …
Section 3215(d)?
Agencies’ Brief at 4.
V. Parties’ Arguments
Agencies
The Agencies assert that the Commonwealth Court misapplied agency law
principles by employing principles germane only to interpretive, rather than legislative,
rulemaking. A regulation adopted under legislative powers “is valid and binding upon
courts as a statute so long as it is (a) adopted within the agency’s granted power, (b)
[J-55-2022] - 20
issued pursuant to proper procedure, and (c) reasonable.” Tire Jockey, 915 A.2d at 1186.
The Agencies point out that the regulations went through all legislative rulemaking
requirements, Agencies’ Brief at 20–21, and the Commonwealth Court rejected the
MSC’s claim that the promulgation procedure was flawed. Therefore, the first two prongs
are satisfied, and the only remaining question was whether the challenged regulations
are reasonable.
The Agencies argue that when examining the challenged definitions, the
Commonwealth Court did not address the reasonableness of the regulations. Instead,
the court “improperly commingled the legislative and interpretative rulemaking tests.” Id.
at 21. This is evident from the opinion’s conclusion that the Agencies’ regulations “do[ ]
not track the statute,” which the Agencies state is a concept relevant only to interpretive
rulemaking. See Pa. Hum. Rels. Comm’n v. Uniontown Area Sch. Dist., 313 A.2d 156,
169 (Pa. 1973) (“An interpretative rule … depends for its validity not upon a law-making
grant of power, but rather upon the willingness of a reviewing court to say that it in fact
tracks the meaning of the statute it interprets.”). Here, though, the question is not whether
the Agencies’ expansion of “public resources” tracks the meaning of the statute enacted
by the legislature but instead simply whether the Agencies were authorized to add items
to the list of “public resources” and “public agencies,” and, if so, whether the additions
were reasonable.
Viewing the legal question as a pure question of legislative rulemaking, the
Agencies argue that their Chapter 78a regulations constituted a valid exercise of their
authority, which was granted to the Agencies via several statutory sources. See
Agencies’ Brief at 22. The Agencies cite Eagle Environmental II, L.P. v. Department of
[J-55-2022] - 21
Environmental Protection, 884 A.2d 867 (Pa. 2005), as a case establishing that agencies
can have broad powers based on statutory purpose. Eagle Environmental “established
two core principles of administrative law. First, a regulation, by definition, may, and
should, be more detailed and specific than a statute. Second, a regulation falls within an
agency’s granted authority so long as it is encompassed by the intended purposes of the
statute and the agency’s rulemaking authority.” Agencies’ Brief at 25 (citing Eagle
Environmental, 884 A.2d at 879). The Agencies contend that the challenged regulations
are encompassed by the intended purposes of the Oil and Gas Act.
The Agencies then ask this Court to determine that the regulations are reasonable.
They emphasize that because the General Assembly conferred “broad rulemaking
authority[,]” the regulations are entitled to great deference. The Agencies explain in detail
how the regulations are consistent with the purposes of the authorizing statutes. They
contend that each challenged definition serves a screening function that ensures that the
Department possesses all the information it needs to consider potential impacts of a
proposed unconventional well. The Agencies state that they must consider a large
amount of data to protect the public from the potential harms from drilling activities, and
the Agencies also note that they have constitutional duties related to the Article I, Section
27 trust. The information demanded by the regulations facilitates the balancing that is the
purpose of the Oil and Gas Act.
The panel’s determination that the terms were void and unenforceable stemmed,
in the Agencies’ view, from its failure to recognize that the Agencies possessed broad
legislative rulemaking authority. The Commonwealth Court could strike down the
regulations under the first prong of the legislative rulemaking test only if the Agencies
[J-55-2022] - 22
exceeded their powers. If the Agencies did not exceed those powers, then the balance
to be struck between oil and gas development and environmental interests is for the
agency to decide.
The Agencies additionally assert that their definition of “other critical communities”
is a reasonable implementation of their obligations. A deputy secretary testified that the
“other critical communities” definition promulgated “codif[ied] the practice in place prior to
the rulemaking.” Agencies’ Brief at 40. Additionally, the PNDI database itself reflects
decisions from other agencies—the Department of Conservation and Natural Resources,
Pennsylvania Fish and Boat Commission, and the Game Commission—that certain
species are of concern. The Agency’s decision to adopt their views “reflects a measured
and appropriate extension of the non-exhaustive statutory list under Section 3215(c) due
to the features they share with other listed resources.” Id.
Regarding the Commonwealth Court’s conclusion that this portion of the
regulations violates the Documents Law, the Agencies characterize the court’s
interpretation of this act as “extreme.” Id. at 44. The Agencies agree that the Documents
Law dictates that agencies must give public notice when they intend to promulgate,
amend, or repeal regulations. Indeed, the Agencies observe that, “[w]hen an agency
creates a ‘binding norm,’ for example through a policy statement or guidance document,
without following this formal rule making process, it is considered an improperly
promulgated regulation, beyond an agency’s authority.” Id.
The Agencies submit that the Commonwealth Court erred by concluding that their
incorporation of the PNDI process in the definition of “other critical communities” created
an improper “binding norm.” The Agencies note that PNDI receipts will be unique to every
[J-55-2022] - 23
potential well site; however, they suggest that the court incorrectly concluded that this
type of process in a regulation can be characterized as imposing an improper binding
norm simply because the outcomes of the process will vary on a case-by-case basis.
Regarding the inclusion of “municipalities and playground owners” as public
resource agencies, the Agencies reiterate their fundamental argument that their
regulatory powers are quite broad, and there were viable statutory sources of authority
for these regulations.
MSC
The MSC responds that the Commonwealth Court did not commingle the
legislative and interpretative tests as indicated by the opinion’s structure. It argues that
the court clearly distinguished legislative rulemaking “from interpretive rulemaking. The
[c]ourt structured its opinion by beginning its analysis of each issue under the heading
‘Statutory Authority’ and then determining [sic] whether the Agencies had legislative
authority for the challenged regulation under the first step of the legislative rulemaking
standard.” MSC’s Brief at 10-11 (citation omitted). Additionally, if the court “used an
interpretive rulemaking standard of review, it would have discussed whether the
Department’s regulations ‘merely explain or offer specific conforming content’ to Act 13
or existing regulations.” Id. at 13. Thus, the MSC argues, the Commonwealth Court did
not fundamentally misapply agency law.
The MSC submits that the Commonwealth Court correctly decided that the
Agencies exceeded their statutory authority. “The heart of the question on appeal is
whether the General Assembly granted the [Agencies] the authority to promulgate their
new regulatory definitions of ‘common areas of a school’s property,’ ‘playground,’ ‘other
[J-55-2022] - 24
critical communities’ or ‘public resource agency’ in 25 Pa. Code § 78a.1[.]” MSC’s Brief
at 13. According to the MSC, the new regulatory definitions “substantially alter the well
permit application process[.]” Id. Addressing the legislative grant of rulemaking authority,
the MSC argues that the Commonwealth Court’s result is correct. The MSC cites
Insurance Federation of Pennsylvania v. Commonwealth, Department of Insurance, 889
A.2d 550, 555 (Pa. 2005), Deoria v. State Athletic Commission, 962 A.2d 697 (Pa.
Commw. 2008), and Rand v. Pennsylvania State Board of Optometry, 762 A.2d 392 (Pa.
Commw. 2000), as three cases establishing that agencies must be clearly authorized to
wield the asserted powers.
The MSC describes Eagle Environmental as expressing “a narrower statement of
the necessary evaluation of statutory authority,” which relied on the purpose of the statute
and its reasonable effects. MSC’s Brief at 15. It further distinguishes Eagle
Environmental on several grounds, as discussed later in more detail. The MSC also avers
that a “delegation of rulemaking power must be ‘clear and unmistakable’ because a
‘doubtful power does not exist.’”Id. at 17 (citation omitted). As to the interaction between
the regulatory definition of “other critical communities” and the Documents Law, the MSC
essentially agrees with the Commonwealth Court’s conclusion that the regulation violates
the law due to the fluid nature of the PNDI database and the fact that changes to the
database are not subject to any notice or comment requirements. MSC’s Brief at 38-42;
id. at 49-52.
VI. Analysis
Although stressed by the Agencies, we do not find it helpful to parse the
Commonwealth Court’s analysis to determine whether it “commingled” the legislative
[J-55-2022] - 25
rulemaking or interpretive rulemaking tests. This type of analysis loses sight of the key
question, which is simply whether the Agencies acted within their statutory grant of
authority. If the statute makes a clear grant of authority, then neither a court nor the
agency can disregard the clearly expressed intent of the General Assembly.
The Agencies argue that this is a legislative rulemaking case and not an
interpretive rulemaking case. The MSC acknowledges that point and insists that the
Agencies want to skip to reasonableness review without addressing statutory authority.
Whether we label this a legislative rulemaking dispute or an interpretive rulemaking
dispute (with the relevant interpretation involving the statutes that purportedly authorize
the legislative rulemaking), at the end of the day the only point that matters is whether
the Agencies were authorized to act.
The Agencies unquestionably have the authority to promulgate regulations, and
therefore we must simply determine how much regulatory leeway the General Assembly
intended to confer. See Agencies’ Brief at 14 (stating that the “Commonwealth Court
failed to analyze the Public Resource Definitions in accordance with Tire Jockey”); MSC’s
Brief at 10 (explaining that “MSC agrees this is case of legislative rulemaking”). Provided
that the Agencies were authorized to promulgate the regulations, the regulations are valid
so long as they are reasonable. See Tire Jockey Serv., Inc., 915 A.2d at 1186.
A.
Statutory ability to define “public resources”
The first issue relates to whether the Commonwealth Court erred by striking the
Agencies’ definitions of “other critical communities,” “common areas of a school’s
[J-55-2022] - 26
property,” and “playground.” Each of these definitions involves 25 Pa. Code §§ 78a.15
and 78a.1. For ease of discussion, we review the relevant language here.
Section 78a.15(f)(1) applies to an “applicant proposing to drill a well at a location
that may impact a public resource,” followed by eight items that qualify as a “public
resource.” See 25 Pa. Code §§ 78a.15(f)(1)(i)-(viii). Of these eight, the MSC challenged
two. The first is Section 78a.15(f)(1)(iv), which applies to well permits “[i]n a location that
will impact other critical communities.” The second challenged definition is set forth at
Section 78a.15(f)(1)(vi) and applies to proposed well sites “[w]ithin 200 feet of common
areas on a school’s property or a playground.” The definitions section of the regulations
defines the key terms “other critical communities,” “common areas of a school’s property,”
and “playground.” See 25 Pa. Code § 78a.1.
This Commonwealth follows the Chevron approach, which asks at the outset
whether the General Assembly “has directly spoken to the precise question at issue. If
the intent … is clear, that is the end of the matter; for the court, as well as the agency,
must give effect to the unambiguously expressed intent[.]” Chevron, U.S.A., Inc. v. Nat.
Res. Def. Council, Inc., 467 U.S. 837, 842–43 (1984). The Commonwealth Court’s
analysis ascertained a limitation on the Agencies’ regulatory authority in Act 13 by the
General Assembly’s use of the phrase “including, but not limited to” in Section 3215(c).
To determine whether the General Assembly clearly limited the Agencies’ ability to define
additional “public resources” by the use of this phrase, we naturally begin with the
statutory text.
“Our standard of review for questions of statutory interpretation is de novo and our
scope of review is plenary.” Matter of Priv. Sale of Prop. by Millcreek Twp. Sch. Dist.,
[J-55-2022] - 27
185 A.3d 282, 290 (Pa. 2018) (citation omitted). “In general, the best indication of
legislative intent is the plain text of the statute.” Commonwealth v. Griffith, 32 A.3d 1231,
1235 (Pa. 2011). This raises the question of what statutory provision is being examined.
The General Assembly conferred broad regulatory powers upon the Agencies, as
indicated by Section 3274’s express grant: “The Environmental Quality Board shall
promulgate regulations to implement this chapter.” 58 Pa.C.S. § 3274.
However, regarding these three challenged definitions, the focus throughout this
litigation has understandably centered on Section 3215 (“Well location restrictions”), and
its instruction to the Agencies to “consider the impact of the proposed well on public
resources,” followed by the generic language “included, but not limited to,” which is then
followed by six specific items. 10 58 Pa.C.S. § 3215(c). In the absence of other statutory
language, the broad grant within Section 3274 may serve as the enabling statute,
arguably lessening the need to closely scrutinize what effect Section 3215 has within the
10 For ease of reference, we repeat the six items:
(1) Publicly owned parks, forests, game lands and wildlife
areas.
(2) National or State scenic rivers.
(3) National natural landmarks.
(4) Habitats of rare and endangered flora and fauna and other
critical communities.
(5) Historical and archaeological sites listed on the Federal or
State list of historic places.
(6) Sources used for public drinking supplies in accordance
with subsection (b).
58 Pa.C.S. § 3215(c)(1)–(6).
[J-55-2022] - 28
broader legislative scheme. However, Section 3215(e) specifically directs the Board to
develop regulatory criteria concerning “public resources:”
(e) Regulation criteria.--The Environmental Quality Board
shall develop by regulation criteria:
(1) For the department to utilize for conditioning
a well permit based on its impact to the public
resources identified under subsection (c) and for
ensuring optimal development of oil and gas
resources and respecting property rights of oil
and gas owners.
(2) For appeal to the Environmental Hearing
Board of a permit containing conditions imposed
by the department. The regulations shall also
provide that the department has the burden of
proving that the conditions were necessary to
protect against a probable harmful impact of the
public resources.
58 Pa.C.S. § 3215(e).
By specifically instructing the Agencies to develop criteria for “conditioning a well
permit based on its impact to the public resources identified under subsection (c),” the
General Assembly imposed a requirement, on the otherwise broad conferral of regulatory
powers. In practical effect, this requirement functions as a limitation of sorts; absent
subsection (e), the Agencies would, as far as the regulatory statutory scheme is
concerned, be free to ignore any potential impacts to “public resources.” Its presence
requires the Agency to develop specific regulatory criteria concerning “the public
resources identified under subsection (c)[.]” Id. The consequent question is whether
Section 3215 operates as any limitation on the Agencies’ powers to add “public
resources” other than those specified in subsection (c).
[J-55-2022] - 29
To answer that, we agree with the Commonwealth Court that we must determine
whether Sections 3215(c) and (e) reflect unambiguous expressions of legislative intent
precluding the challenged definitions. The Commonwealth Court apparently concluded
that Section 3215(c) was an unambiguous limitation, largely by applying an ejusdem
generis analysis to determine whether the “public resources” added by the Agencies were
sufficiently similar to the six items selected by the General Assembly such that the
General Assembly would have approved of the Agencies’ additions. See Marcellus Shale
Coalition, 193 A.3d at 472 (“[I]tems that are not of the same general nature or class as
those enumerated should not be included. The critical inquiry is whether items are of the
‘same general class or nature’ as the included items.”) (citations omitted). The MSC asks
the Court to accept the ejusdem generis analysis as revealing the definitive manifestation
of legislative intent. “The Commonwealth Court correctly followed this Court’s instruction
regarding the interpretation of non-exhaustive lists and applied the doctrine of ejusdem
generis in recognizing that statutory authority ‘is not unfettered.’” MSC’s Brief at 23.
The difficulty with this position is that the MSC does not argue that the Agencies
were categorically prohibited from defining additional “public resources.” Instead, the
MSC claims that the additional items exceed the statutory bounds via the ejusdem generis
doctrine. Yet, the General Assembly easily could have eliminated any question regarding
the scope of the Agencies’ authority by drafting language such as: “On making a
determination on a well permit, the department shall consider the impact of the proposed
well on the following public resources.” That neither Section 3215 nor any other statutory
[J-55-2022] - 30
provision explicitly binds the Agencies to a “floor” invariably means that the Agencies were
permitted to go farther. 11
B.
Statutory “public resources” and the Environmental Rights Amendment
Before addressing the role of the “including, but not limited to” language and the
ejusdem generis doctrine, we first discuss the factor that we deem decisive in ascertaining
legislative intent. The Commonwealth Court recognized that the term “public resources”
is rooted in the Environmental Rights Amendment (“ERA”). The “statutory concept of
‘public resources’ embodied in Act 13 and the Public Resource Regulations derives from
Article I, Section 27 of the Pennsylvania Constitution.” Marcellus Shale Coalition, 193
A.3d at 469. Indeed, Act 13 expressly states that one of its purposes is to “[p]rotect the
natural resources, environmental rights and values secured by the Constitution of
Pennsylvania.” 58 Pa.C.S. § 3202(4).
Importantly, in Pennsylvania Environmental Defense Foundation v.
Commonwealth, 161 A.3d 911, 931 (Pa. 2017), a majority of this Court adopted the
Robinson Township framework and held that the ERA “grants two separate rights to the
people of this Commonwealth.” One is the “‘right’ of citizens to clean air and pure water,
and to the preservation of natural, scenic, historic and esthetic values of the environment.”
11 The dissent agrees with our conclusion that the General Assembly intended to imbue
the Board with the authority to promulgate regulations pursuant to Act 13. Dissenting
Opinion at 2. Yet, despite that agreement and Section 3215(e)’s clear instruction that the
Board must develop regulatory criteria for the Department “to utilize for conditioning a well
permit based on its impact to the public resources identified under subsection (c)[,]” the
dissent contends that, “[b]y its clear language, … Section 3215(c) does not grant the
Board authority to define ‘public resources’ as it is used in Section 3215(c) or to add
additional resources to those listed.” Id. at 4-5 (footnote omitted). The dissent’s position
seems to ignore the statutory language “including but not limited to” in Section 3215(c).
[J-55-2022] - 31
Robinson Township v. Commonwealth, 83 A.3d 901, 951 (Pa. 2013). The ERA as a
whole “accomplishes two primary goals, via prohibitory and non-prohibitory clauses: (1)
the provision identifies protected rights, to prevent the state from acting in certain ways,
and (2) the provision establishes a nascent framework for the Commonwealth to
participate affirmatively in the development and enforcement of these rights.” Id. at 950.
The first clause of the ERA, which establishes the first right of the citizens, “affirms
a limitation on the state’s power to act contrary to this right. While the subject of the right
certainly may be regulated by the Commonwealth, any regulation is ‘subordinate to the
enjoyment of the right[.]’” Id. at 951 (citations omitted).
The terms “clean air” and “pure water” leave no doubt as to
the importance of these specific qualities of the
environment for the proponents of the constitutional
amendment and for the ratifying voters. Moreover, the
constitutional provision directs the “preservation” of broadly
defined values of the environment, a construct that
necessarily emphasizes the importance of each value
separately, but also implicates a holistic analytical approach
to ensure both the protection from harm or damage and to
ensure the maintenance and perpetuation of an environment
of quality for the benefit of future generations.
Although the first clause of Section 27 does not impose
express duties on the political branches to enact specific
affirmative measures to promote clean air, pure water, and the
preservation of the different values of our environment, the
right articulated is neither meaningless nor merely
aspirational. The corollary of the people’s Section 27
reservation of right to an environment of quality is an
obligation on the government’s behalf to refrain from unduly
infringing upon or violating the right, including by legislative
enactment or executive action.
Id. at 951–52.
The second clause deliberately “left unqualified the phrase public natural
resources, suggesting that the term fairly implicates relatively broad aspects of the
[J-55-2022] - 32
environment, and is amenable to change over time to conform, for example, with the
development of related legal and societal concerns.” Id. at 955. “The drafters seemingly
signaled an intent that the concept of public natural resources would be flexible to capture
the full array of resources implicating the public interest, as these may be defined by
statute or at common law.” Id.
This Court has not been asked to definitively resolve what would qualify as a
“public resource,” and it is perhaps impossible to do so. The ERA “directs the
‘preservation’ of broadly defined values of the environment, a construct that necessarily
emphasizes the importance of each value separately, but also implicates a holistic
analytical approach” to protect the environment. Id. at 951. The six delineated “public
resources” in Section 3215(c) reflect this holistic approach, as the General Assembly did
not instruct the Agencies to develop criteria to protect “clean air” or the “esthetic values”
of the environment.
Instead, it chose to define six specific items that do not share any obvious
commonalities. The inclusion of “[p]ublicly owned parks, forests, game lands and wildlife
areas,” i.e., governmental property used for recreation and enjoyment of nature, has little
in common with privately-owned structures that are the subject of other provisions. As
this Court recently explained in U.S. Venture, Inc. v. Commonwealth, 255 A.3d 321 (Pa.
2021), the term “public” can, in context, refer either to government-owned or something
that is open to or otherwise accessible by the general public. Id. at 331. Section 3215(c)
includes items that could be closed to the public, and the Commonwealth Court’s
observation that the statutory items “are not purely private property” is at least partially
incorrect.
[J-55-2022] - 33
Consider (c)(3), “National natural landmarks.” The federal National Natural
Landmarks Program’s website states that nearly one-third of the 602 current National
Natural Landmark sites are owned by private parties. 12 Likewise, the statutory (c)(5) item
refers to historical and archaeological sites on the Federal or State list of historic places.
By way of example, Fallingwater, the famous home designed by Frank Lloyd Wright, is
on the federal registry and was donated by the Kaufmann family to the nonprofit
conservation organization Western Pennsylvania Conservancy. While that organization
permits the public to tour the home and its grounds, that benefit is due to the generosity
of the Kaufmann family and the Western Pennsylvania Conservancy. 13 Thus, the
statutory list includes buildings owned by private actors, with no apparent requirement
that the public be allowed to access the resource at all.
The ERA’s conception of “public resources” as embracing “broadly defined values
of the environment,” Robinson Township, 83 A.3d at 951, which includes historic and
esthetic values, comports with the items enumerated by the General Assembly in Section
3215(c). Its list of “public resources” does not neatly break down into “purely private” and
“purely public” categories. As shown, even a privately-owned piece of property closed to
12 NAT’L PARK SERV., National Natural Landmarks Directory,
https://www.nps.gov/subjects/nnlandmarks/nation.htm (last visited Nov. 23, 2022).
13Edgar Kauffman Jr.’s remarks on why the family donated the property eloquently
describe the transformation of a private residence to a “public resource.”
Such a place cannot be possessed. It is a work of man for
man; not by a man for a man. Over the years since it was built,
Fallingwater has grown ever more famous and admired, a
textbook example of modern architecture at its best. By its
very intensity it is a public resource, not a private indulgence.
W. PA. CONSERVANCY, Fallingwater, https://waterlandlife.org/entrusted-wpc-1963/ (last
visited Nov. 23, 2022).
[J-55-2022] - 34
the public can qualify as a “public resource” per Section 3215(c). In light of the ERA, this
is not surprising. Its concept of “public resources” encompasses resources essential to
the quality of the life of Pennsylvania citizens, a concept that is not cabined by public or
private ownership.
Nor is it cabined by natural or man-made categories. The Concurring Opinion
challenges the premise that Section 3125(c) has anything whatsoever to do with the ERA,
apparently concluding that it is absurd to find that Section 3125’s reference to “public
resources” has anything to do with the “public natural resources” protected by the ERA.
See Concurring Op. at 12 (Wecht, J.) (accusing the Majority of “stuffing Section 3125(c)
into the ERA’s ill-fitting clothes”).
We respectfully disagree with our learned colleague. If the ERA is an ill-fit, the
General Assembly did not think so; it declared that one of the purposes of Act 13 is to
“[p]rotect the natural resources, environmental rights and values secured by the
Constitution of Pennsylvania.” 58 Pa.C.S. § 3202(4). It is difficult to imagine what
provision of our charter that the General Assembly referenced if not the ERA. It is
consistent with the ERA’s holistic approach and Act 13’s declared purpose of protecting
“values secured by the Constitution of Pennsylvania” to conclude that the reference to
“public resources” in Section 3215(c), while not parroting the ERA’s language, was
designed to afford the Agencies a great degree of leeway in adding additional “public
resources” consistent with the constitutional provision.
The assertion that an architectural masterpiece like Fallingwater is obviously not
protected by the ERA is startling. Concurring Op. at 12. In the Concurrence’s view,
Gettysburg could be described as a mere tract of land or the Liberty Bell a decorative
[J-55-2022] - 35
adornment. But for decades, this Court has recognized that the ERA “reflects a state
policy encouraging the preservation of historic and aesthetic resources.” United Artists'
Theater Cir., Inc. v. City of Philadelphia, 635 A.2d 612, 620 (Pa. 1993); id. (concluding
that an ordinance was consistent with the ERA because it was dedicated to preserving
and protecting “buildings, structures, sites, objects, and districts of historic, architectural,
cultural, archeological, educational and aesthetic merit”); see also Commonwealth v. Nat’l
Gettysburg Battle Tower, Inc., 311 A.2d 588, 592 (Pa. 1973) (opining that, after ratification
of the ERA, “for the first time, at least insofar as the state constitution is concerned, the
Commonwealth has been given power to act in areas of purely aesthetic or historic
concern[]”).
Suggesting that a site such as Fallingwater is not protected by the ERA rolls back
almost 50 years of precedent by reading out of the ERA any protection of historic or
aesthetic value that is created by humans. We, on the other hand, honor our precedent
and recognize that the General Assembly intended to permit the Agencies, in exercising
their fiduciary duties, to add items that “fall within the ERA’s conception of a ‘public
resource.’” Majority Op. at 39.
For its part, the Commonwealth Court recognized that the term “public resource”
derives from the ERA. However, in resolving the question of legislative intent, the
Commonwealth Court did not consider that the General Assembly, by using statutory
language referencing the ERA’s conception of “public resources,” which itself is broad
and undefined, intended for the Agencies to have a large degree of regulatory flexibility
[J-55-2022] - 36
in defining those additional resources. 14 Moreover, it is consistent with legislative intent
to interpret the statutory term “public resources” in a fashion consistent with the ERA
because both the General Assembly and the Agencies are themselves trustees under the
ERA. See Pa. Env’t Def. Found., 161 A.3d at 931 n.23 (“Trustee obligations are not
vested exclusively in any single branch of Pennsylvania’s government, and instead all
agencies and entities of the Commonwealth government, both statewide and local, have
a fiduciary duty to act toward the corpus with prudence, loyalty, and impartiality.”). The
fact that the Agencies are required to consider their trustee duties in making decisions on
well permits supports the conclusion that the General Assembly, in listing specific items
within Section 3215(c) that defy categorization as privately-owned or publicly-accessible,
intended for the Agencies to provide additional protections geared towards protecting the
quality of life of Pennsylvania citizens and otherwise effectuating the ERA’s purpose. 15
14 Stated differently, the Commonwealth Court failed to recognize that the term “public
resources” has acquired a peculiar and appropriate meaning in Pennsylvania
constitutional jurisprudence. Accordingly, the Statutory Construction Act instructs that
this term must “be construed according to such peculiar and appropriate meaning or
definition.” 1 Pa.C.S. § 1903(a).
15 Simultaneously, the ERA does not foreclose industrial development. “[R]ather, as with
the rights affirmed by the first clause of Section 27, the duties to conserve and maintain
are tempered by legitimate development tending to improve upon the lot of
Pennsylvania’s citizenry, with the evident goal of promoting sustainable development.”
Robinson Township, 83 A.3d at 958. Act 13’s declaration of purpose, 58 Pa.C.S.
§ 3202(1) (“Permit optimal development of oil and gas resources of this Commonwealth
consistent with protection of the health, safety, environment and property of Pennsylvania
citizens.”), and the regulation codified in Section 78a.15(g)(5) (listing optimal development
of the gas resources and the property rights of gas owners as factors to be considered
before issuing a permit), reflect that goal.
[J-55-2022] - 37
An ejusdem generis analysis is not appropriate
The Commonwealth Court and the MSC both narrowly focus on the language
“including, but not limited to” in Section 3215(c) as a basis to conclude that the General
Assembly did not authorize the Agencies to add the challenged “public resources” to the
list based on the ejusdem generis doctrine. “Under our statutory construction
doctrine ejusdem generis (‘of the same kind or class’), where general words follow the
enumeration of particular classes of persons or things, the general words will be
construed as applicable only to persons or things of the same general nature or class as
those enumerated.” McClellan v. Health Maint. Org. of Pa., 686 A.2d 801, 806 (Pa. 1996)
(per curiam) (citations omitted). 16 Ejusdem generis, like any other principle of statutory
construction, is simply a method employed to ascertain legislative intent. However, the
fact that a statute employs language which often justifiably results in using that principle
does not mean that it is the appropriate means to determine legislative intent, particularly
where, as here, statutory language is clear. As we stated in Commonwealth v. Sitkin’s
Junk Co., 194 A.2d 199 (Pa. 1963), “the ejusdem generis rule … yields if the result of its
application is to arrive at a conclusion ‘inconsistent with the manifest intent of the
Legislature.’” Id. at 203 (internal quotation marks and citation omitted). See also Friends
of Danny DeVito v. Wolf, 227 A.3d 872, 889 (Pa. 2020) (“[W]hile ejusdem generis is a
useful tool of statutory construction, such tools are used for the sole purpose of
determining the intent of the General Assembly. Ejusdem generis must yield in any
16 The doctrine also applies to situations where the generic words precede the list.
“Where the opposite sequence is found, i.e., specific words following general ones … the
doctrine is equally applicable, and restricts application of the general term to things that
are similar to those enumerated.” McClellan, 686 A.2d at 806.
[J-55-2022] - 38
instance in which its effect would be to confine the operation of a statute within narrower
limits that those intended by the General Assembly when it was enacted.”).
We find that ejusdem generis plays no role in the statutory analysis. In ascertaining
legislative intent, we always start with the plain text. “When the words of a statute are
clear and free from all ambiguity, the letter of it is not to be disregarded under the pretext
of pursuing its spirit.” 1 Pa.C.S. § 1921(b). The plain text “including, but not limited to”
language does not define “public resources.” Instead, it lists the public resources for
which the Agencies must develop regulatory criteria. The “including, but not limited to”
language clarifies that the General Assembly did not intend to limit the Agencies’ powers
to only those public resources.
The Commonwealth Court’s ejusdem generis analysis is myopic because it asks
whether the additional “public resources” as defined by the Agencies could fit within the
six statutory items codified at Section 3215(c)(1)–(6). This analysis would perhaps be
controlling if the term “public resources” did not already carry a legally significant
meaning. 17 See 1 Pa.C.S. § 1903(a) (explaining that courts must construe “technical
words and phrases and such others as have acquired a peculiar and appropriate meaning
… according to such peculiar and appropriate meaning or definition”). Here, as the
Commonwealth Court correctly recognized, “public resource” derives from the ERA. As
a result, an ejusdem generis analysis is misplaced.
17Because we find that the application of the ejusdem generis principle is not appropriate,
we express no view on whether the Commonwealth Court’s ejusdem generis analysis of
Section 3215 is correct.
[J-55-2022] - 39
We further highlight that in Department of Environmental Protection v. Cumberland
Coal Resources, LP, 102 A.3d 962 (Pa. 2014), we summarized the conditions that justify
using ejusdem generis to discern legislative intent:
In sum, the presence of such a term as “including” in
a definition exhibits a legislative intent that the list that follows
is not an exhaustive list of items that fall within the definition;
yet, any additional matters purportedly falling within
the definition, but that are not express, must be similar to
those listed by the legislature and of the same general class
or nature.
Id. at 976.
This is not a situation where Section 3215(c) can plausibly be interpreted as a
definitional section because “public resources” already has a defined meaning within the
statutory framework of the Oil and Gas Act: public resources as understood by the ERA.
The statutory language demands that regulatory criteria be developed regarding at least
the six specific “public resources” that could be impacted by a proposed well. The
insertion of the “not limited to” language ensured that the Agencies, in their discretion,
could determine that other “public resources,” as contemplated by the ERA, warranted
the same treatment.
In discerning legislative intent, it is important to recognize that the conferral of
legislative power here authorizes the Agencies, charged with regulating the
unconventional gas well industry, to adopt regulations to do so. Had the General
Assembly wished to impose stricter limits on the Agencies, the language “included, but
not limited to” could have been eliminated. 18 The Legislature knows “to speak in plain
18 In this regard, we note that when analyzing “species of special concern[,]” the
Commonwealth Court applied ejusdem generis to determine “whether the regulatory term
(continued…)
[J-55-2022] - 40
terms when it wishes to circumscribe, and in capacious terms when it wishes to enlarge,
agency discretion.” City of Arlington v. F.C.C., 569 U.S. 290, 296 (2013). Here, the
General Assembly spoke capaciously.
For these reasons, we conclude that the plain text signals the intent to confer the
Agencies with the legislative power to protect additional “public resources” at their
discretion. See Robinson Township, 83 A.3d at 955 (stating that the drafters of the
second clause of the ERA “seemingly signaled an intent that the concept of public natural
resources would be flexible to capture the full array of resources implicating the public
interest, as these may be defined by statute or at common law”). The General Assembly
simply chose to let the Agencies, in the field of their subject-matter expertise, define those
additional resources when regulating this industry. 19
Because the term “public resource” is rooted in the ERA, we hold that the proper
test is whether the items chosen by the Agencies fall within the ERA’s conception of a
“public resource.” Here, all three do.
‘species of special concern’ is of the same general nature or class as the statutory items
listed.” Marcellus Shale Coalition, 193 A.3d at 473. The “statutory items listed” for that
purpose were “rare and endangered flora and fauna and other critical communities.” 58
Pa.C.S. § 3215(c)(4). The ejusdem generis analysis thus asked if the General Assembly
intended for “other critical communities” to fit within Section 3215(c)(4). Yet, even if the
“included, but not limited to” language was eliminated, the Agencies would still be entitled
to protect “other critical communities.” This illustrates that the ejusdem generis analysis
is misplaced because we are not addressing a statute that purports to define a term.
19 As a result, in the Oil and Gas Act, the General Assembly did not delegate the power
to define “public resources” for every conceivable purpose. Instead, the Agencies’
definitions are limited to the regulatory scheme at issue.
[J-55-2022] - 41
C.
“Other critical communities” as a public resource
1. Analysis of regulatory language
“Other critical communities” is defined as follows:
(i) Species of special concern identified on a PNDI receipt,
including plant or animal species:
(A) In a proposed status categorized as
proposed endangered, proposed threatened,
proposed rare or candidate.
(B) That are classified as rare or tentatively
undetermined.
(ii) The term does not include threatened and endangered
species.
25 Pa. Code § 78a.1.
Plants or animal species that meet the (i)(A) or (B) criteria are “public resources”
as contemplated by the ERA. It is understandable that the Agencies would proceed with
caution with plants or animal species that are already at risk. 20 We stated in Pennsylvania
Environmental Defense Foundation v. Commonwealth, 255 A.3d 289, 310 (Pa. 2021),
that the ERA “unmistakably conveys to the Commonwealth that when it acts as a trustee
20 The Commonwealth Court observed that by excluding “threatened species” the
Agencies’ regulation “is illogical and seems contrary to the intention of the General
Assembly to protect at risk species.” Marcellus Shale Coalition, 193 A.3d at 475
(emphasis omitted). Aside from the fact that the purported illogical nature of a regulation
speaks to whether the regulation is reasonable and not whether it was statutorily
authorized, the Commonwealth Court overlooked that other portions of the regulations
already extend protections to threatened and endangered species. First, the definitions
section separately defines “threatened or endangered species,” and thus the definition
merely clarifies that the two definitions refer to different things. Second, the Section
78a.15 regulations require that a “well permit application must include a detailed analysis
of the impact of the well, well site and access road on threatened and endangered
species[.]” 25 Pa. Code § 78a.15(a).
[J-55-2022] - 42
it must consider an incredibly long timeline and cannot prioritize the needs of the living
over those yet to be born.” We held that the current citizens and the generations yet to
come are “simultaneous beneficiaries” who are entitled to “the conservation and
maintenance of the public natural resources.” Id. at 311. A species that is presently in a
proposed state of risk could be thrust into further jeopardy by nearby unconventional well
development. We do not agree with the Commonwealth Court’s notion that the Agencies
were required to wait until a species reaches an even higher threat threshold as a
prerequisite to protection where the interest of future generations of citizens must be
considered.
2. Documents Law
We further scrutinize this portion of the regulations given the Commonwealth
Court’s conclusion that it violates the Documents Law. Importantly, the intermediate court
did not conclude that the Agencies generally failed to follow the public notice requirements
of the Documents Law in promulgating the various regulations at issue in this case.
Rather, the court held (and the MSC argues) that, because the regulatory definition of
“other critical communities” includes the utilization of PNDI receipts and because third-
party agencies regularly supplement the PNDI database without the changes being vetted
by the formal rulemaking functions, the definition runs afoul of the Documents Law’s
requirement that an agency must give public notice of its intention to amend a regulation.
See 45 P.S. § 1201 (stating that an agency must give “public notice of its intention to
promulgate, amend or repeal any administrative regulation”).
By way of background, the Department’s sister agency, the Department of
Conservation and Natural Resources (“DCNR”), is statutorily required:
[J-55-2022] - 43
[t]o undertake, conduct and maintain the organization of a
thorough and extended survey of this Commonwealth for the
purpose of inventory, survey and elucidation of the ecological
resources of this Commonwealth, to gather and digest
information from sources within and outside this
Commonwealth and to put the results of the survey into a form
convenient for reference. The ecological survey should
identify the significant natural features of this Commonwealth
and the species which comprise these features.
71 P.S. § 1340.305(a)(10). The DCNR fulfils its obligations in this regard by, inter alia,
maintaining the PNDI database through the Pennsylvania Natural Heritage Program
(“PNHP”). See generally PNHP website at https://www.naturalheritage.state.pa.us (last
visited Feb. 23, 2023). The Department, in turn, “requires applicants for most permits
throughout Pennsylvania to utilize PNHP’s [PNDI] database, accessible through the
online Conservation Explorer.” Id. at
https://www.naturalheritage.state.pa.us/methodology.aspx (last visited Feb. 23, 2023).
Indeed, the Department generally “uses PNDI as the primary source of information during
the permit review process for the protection of threatened and endangered or species of
special concern.” Id.
With this background in mind, we reject the Commonwealth Court’s holding that
the inclusion of the PNDI process in the regulatory definition of “other critical communities”
amounts to a continuing, de facto amendment of the regulation, exposing it to endless
public notice requirements. To be clear, our case law prohibits an agency from regulating
by creating binding norms through procedures, such as issuing statements of policy, that
evade the public notice requirements of the Documents Law. See, e.g., Lopata v. Com.,
Unemployment Comp. Bd. of Review, 493 A.2d 657 (Pa. 1985) (concluding that a Bureau
of Unemployment Compensation bulletin was invalid because it did not simply offer
[J-55-2022] - 44
generalized guidelines or articulate statements of policy; rather, the bulletin amounted to
a binding rule of law that failed to conform to the requirements of the Documents Law).
That is not what occurred in the instant matter.
There is no dispute that the identification of species of special concern by way of
a PNDI receipt was included in the regulatory definition of “other critical communities”
when the regulations proceeded through the formal rulemaking procedures. The
Agencies did not alter the manner in which that well-established process works. Instead,
the Agencies gave appropriate public notice of the manner in which species of special
concern were to be identified for purposes of information gathering in the pre-permitting
stages of unconventional oil and gas wells. While the PNDI receipt information may vary
by site and over time, the basis for inclusion in the statutorily mandated database does
not. It would indeed be illogical to require an inventory of the special ecological features
of our Commonwealth but prohibit the Department from referencing it when considering
permit applications. We, therefore, hold that the Commonwealth Court erred by
concluding that the regulatory definition of “other critical communities” violates the
Documents Law. 21
21In his Concurring and Dissenting Opinion (“CO/DO”), Justice Wecht concludes that the
regulatory definition of “other critical communities” “is contained in a regulation that was
properly promulgated.” CO/DO at 4. The CO/DO, however, disagrees with our
conclusion that the Commonwealth Court erred by holding that this definition violates the
Documents Law. Id. at 22-25. In so doing, the CO/DO relies on an analogy to this Court’s
decision in Protz v. Workers’ Compensation Appeal Board (Derry Area School District),
161 A.3d 827 (Pa. 2017), in which we enforced the Pennsylvania constitutional
requirement that the Commonwealth’s legislative powers rest exclusively in the General
Assembly. See PA. CONST. art. II, § 1 (“The legislative power of this Commonwealth shall
be vested in a General Assembly, which shall consist of a Senate and a House of
Representatives.”). Justice Mundy reaches a similar conclusion in her Dissenting
Opinion, wherein she asserts that the regulatory definition of “other critical communities”
(continued…)
[J-55-2022] - 45
D.
“Common areas of a school’s property” and “playgrounds” as a public resources
“Common areas of a school’s property” and “playgrounds” likewise qualify as
public resources as contemplated by the ERA. As the Agencies explained, these items
were not initially included but were added after receiving public commentary. Agencies’
Brief at 52. The Agencies decided to promulgate the definition because they “are
frequently used for outdoor recreation, similar to parks.” Id.
Unadulterated outdoor recreation space is a basic component of quality of life and
encompassed in the broadly defined values of the environment protected by the ERA. An
unconventional gas well near spaces used by the public for recreational purposes could
threaten the ambient air quality and cause significant noise pollution. See Robinson
Township, 83 A.3d at 937–38 (recounting an affidavit of homeowner living approximately
1,500 feet from drilling operations; “traffic caused significant noise pollution … Air quality
also became degraded, beginning ‘to smell of rotten eggs, sulfur, and chemicals’”); id. at
1005 (“As Challengers duly note, these industrial-like operations include … noise from
the running of diesel engines, sometimes nonstop for days, traffic from construction
vehicles, tankers, and other heavy-duty machinery, the storage of hazardous materials,
violates the Documents Law because the PNDI “database of resources [has] not gone
through formal notice and comment rulemaking.” Dissenting Opinion at 8.
Here, we are not asked to determine whether the General Assembly improperly delegated
lawmaking power nor, in our view, are we tasked with deciding whether the Agencies
similarly violated some corollary tenet applicable to state agencies. Rather, this appeal
requires us to examine whether the Commonwealth Court erred by finding that the
regulation at issue violated the Documents Law. We respectfully submit that our
straightforward application of the explicit requirements of the Documents Law
demonstrates that the Commonwealth Court erred by finding that the regulatory definition
of “other critical communities” violates the Documents Law.
[J-55-2022] - 46
[and] constant bright lighting at night[.]”) (Baer, J., concurring). Whether those
environmental effects are present in any given drilling operation is not relevant. The
point is simply that the Agencies’ decision to account for those concerns in deciding
whether to grant a permit near sites where the public engages in recreational activity is
consistent with legislative intent.
E.
Eagle Environmental
Finally, we agree with the Agencies that Eagle Environmental supports our
determination that these regulations are valid products of legislative rulemaking and must
be afforded a high degree of deference. In Eagle Environmental, the Board adopted a
“harms/benefits test” as part of the permitting process for waste disposal facilities
pursuant to the Solid Waste Management Act (“SWMA”). That test applied after a finding
that mitigation measures for environmental harms were adequate, as the applicant then
was required to “demonstrate that the benefits of the project to the public clearly outweigh
the known and potential environmental harms.” Eagle Environmental II, L.P. v. Dep’t of
Env’t Prot., 884 A.2d 867, 871 (Pa. 2005). One of the issues presented was whether the
agency had the power to dictate the harms/benefits test. The challengers argued that “if
the legislature intended to impose [the test], it would have done so in clear and
unmistakable language as in other statutes.” Id. at 876–77. The Court concluded that
the agency properly enacted the harms/benefit test. In so doing, we recognized that “the
overriding goal of the SWMA and Act 101 was to establish a comprehensive state and
local solid waste management program, involving permits for disposal facilities, which
[J-55-2022] - 47
would provide the necessary disposal facilities and also protect the environment and the
public … while encouraging conservation and recycling.” Id. at 878.
The harms/benefits test at issue in Eagle Environmental shares some key
similarities with the definitions of “public resource” challenged by the MSC. While the
MSC attacks each regulation separately, the overall thrust of its argument is that the
Agency is imposing more regulatory obstacles to securing an unconventional gas well
permit than the General Assembly envisioned. The harms/benefit test was similarly
criticized: “In regard to the argument that Article I, Section 27 provides authority for the
Harms/Benefits Test, Appellants assert that no further balancing is required in that the
legislature made the basic policy choice of balancing the potential impact of landfills on
the public’s health and safety and the environment with the need for waste disposal
facilities by requiring compliance with engineering principles and environmental
standards.” Id. at 877. We disagreed, concluding that the test “allows for the infinite
variations of factors and considerations which will present themselves in various petitions
for permits.” Id. at 879. We concluded that the agencies were authorized to enact the
regulations even absent any reference to the ERA.
The MSC’s attempts to distinguish Eagle Environmental are unconvincing. It first
argues that the Agencies cite Eagle Environmental as establishing “a narrower statement
of the necessary evaluation of statutory authority, that when determining whether a
rulemaking power has been delegated we are not limited to the letter of the law, but must
look to the purpose of the statute and its reasonable effect[.]” MSC’s Brief at 15 (quotation
marks and citation omitted).
[J-55-2022] - 48
The MSC argues that “[t]his framework for statutory analysis must be qualified in
at least two ways.” Id. at 16. The first is that Eagle Environmental is factually
distinguishable because that case involved waste facilities, which “are of particular
concern to communities and are within a highly regulated industry,” whereas “oil and gas
well sites are not waste facilities but are highly regulated to ensure restoration after
construction and strict water handling during operation of the wells.” Id. The MSC further
argues that the statutory schemes are likewise distinguishable. Specifically, the SWMA
“contains two express provisions that are not in Act 13.” Id. Those are a statutory
command that its provisions be liberally construed, and statutory provisions regarding
economic impacts to communities. “When this Court considered if the harms benefit test
created by regulation was within the statutory authority of the SWMA, it looked to these
provisions.” Id. Act 13, however, does not contain either type of provision.
Further, the MSC argues that the second distinguishing feature is that the asserted
regulatory power in this case is more doubtful than the power wielded in Eagle
Environmental.
Second, the legislature’s delegation of rulemaking power
must be “clear and unmistakable” because a “doubtful power
does not exist.” Gilligan v. Pa. Horse Racing Comm’n, 422
A.2d 487, 490 (Pa. 1980); Green v. Milk Control Comm’n, 16
A.2d 9, 9 (1940). Rather than assuming that all agency
regulation is authorized if it is directed to the general purpose
of the statute, this latter principle must apply here because the
plain language of the statute precludes the claimed authority
to adopt the new public resource definitions.
Id. at 17.
We are not persuaded by either distinction. Beginning with the industries at
issue—waste facilities versus oil and gas drilling—it is obvious that both industries are “of
[J-55-2022] - 49
particular concern” to their local community, and to those in proximity of the drilling
activities, unconventional oil and gas wells seem to raise as at least as many concerns
as landfills. Additionally, it is illogical to conclude that an agency authorized to regulate
the industry cannot regulate because the General Assembly has already regulated the
matter. That would be true if the statutory text foreclosed the assertion of the authority,
but it does not.
Indeed, the General Assembly chose to bestow regulatory authority upon the
Agencies in the first place, and agencies are given that authority precisely because some
issues are so highly complex and technical that the legislative branch approves of the
agency addressing the complexities. When reviewing agency action, the expertise of the
agency is a consideration in determining whether the General Assembly intended for the
agency to act. Cf. Barnhart v. Walton, 535 U.S. 212, 222 (2002) (holding that Chevron
applies due to “the interstitial nature of the legal question, the related expertise of the
Agency, the importance of the question to administration of the statute, the complexity of
that administration, and the careful consideration the Agency has given the question”).
The Agencies possess that expertise, and the lengthy notice-and-comment period, which
included over 28,000 public comments for the Agencies’ consideration and the long
review process following those comments, indicates that the process worked exactly as
the General Assembly intended. As the Chevron Court remarked, agencies may
“resolv[e] the competing interests which Congress itself either inadvertently did not
resolve, or intentionally left to be resolved by the agency charged with the administration
of the statute in light of everyday realities.” Chevron U.S.A., Inc. v. Nat. Res. Def. Council,
467 U.S. 837, 865–66 (1984). We find that is the case here. The General Assembly
[J-55-2022] - 50
intentionally permitted the Agencies, which possess the requisite subject-matter
expertise, to identify additional public resources in need of consideration. Similarly, as in
Eagle Environmental, the “infinite variations of factors and considerations” were
understandably left to the Agencies to sift through.
We are also persuaded that the General Assembly intended for the Agencies to
enact these regulations because there is no “mismatch” between the Agencies’ asserted
power and the statutory scheme. That concept serves to distinguish cases that the MSC
relies on to establish that the Agencies exceeded their statutory authorization, such as
Deoria and Insurance Federation of Pennsylvania.
Deoria involved the State Athletic Commission (“SAC”). Deoria v. State Athletic
Comm’n, 962 A.2d 697 (Pa. Commw. 2008). The SAC is required by law to approve
contracts between a boxer and the manager. The SAC approved a contract between
Harry Yorgey and his manager James Deoria. About two years later, the parties had a
contractual dispute over Yorgey’s fight schedule. Deoria and Yorgey met with the
executive director of the SAC to discuss the dispute. The director upheld the contract,
finding that Doeria did not breach its terms.
At Yorgey’s request, the full SAC held a hearing. The Commission “affirmed the
decision of the Executive Director to the extent that the contract remains in effect in
substantial part. However, the Commission modified the second and fifth provisions of
the contract[.]” Id. at 699. The Commonwealth Court ultimately agreed with Deoria that
the Commission had no authority under the Boxing Act to resolve contract disputes. The
court found that the Boxing Act authorized the Commission to “govern[ ] the form, content
and ultimate approval of boxer-manager contracts,” but it conferred no authority to
[J-55-2022] - 51
adjudicate contractual disputes. Id. at 701. The panel determined this was a
“jurisdictional” issue.
Despite these enumerated powers and duties, the Boxing Act
is silent with regard to the Commission's jurisdiction to resolve
or arbitrate contractual disputes. While contracts are subject
to the approval of the Commission, neither the Boxing Act nor
the rules and regulations of the Commission governing boxing
give the Commission explicit or implicit jurisdiction or authority
to resolve contractual disputes between boxers and
managers. Pursuant to the Boxing Act, the only express
authority for Commission hearings is in connection with a
recommendation by the executive director regarding the
suspension or revocation of a permit or license.
Id.
Deoria is a clear example of an agency straying from its statutory authority. The
General Assembly enumerated specific powers and duties, but the relevant statutory
conferrals of legislative rulemaking were “silent with regard to the Commission’s
jurisdiction to resolve or arbitrate contractual disputes.” Id. Notably, the Deoria Court
addressed whether the SAC possessed “explicit or implicit jurisdiction or authority to
resolve contractual disputes between boxers and managers.” Id. The statutory text did
foreclose that assertion of authority because it did not give the SAC the power to resolve
contractual disputes. Additionally, there is little reason to think that the General Assembly
intended for an agency to resolve contractual disputes, which requires answering a
question of law. The SAC strayed far outside its wheelhouse in aggrandizing the power
to determine legal contractual disputes. The same cannot be said of the Agencies’
regulations here. There is an obvious mismatch in having the SAC resolve questions of
law that are not present in this case. The regulatory decisions made by the Agencies are
squarely within their subject-matter expertise.
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In Insurance Federation of Pennsylvania, this Court determined that the
Department of Insurance exceeded its regulatory authority. Ins. Fed’n of Pa. v. Dep’t of
Ins., 889 A.2d 550 (Pa. 2005). The dispute started when Liberty Mutual Insurance
Company filed a proposed revision to its private passenger insurance policies seeking to
eliminate arbitration for uninsured and underinsured motorist claims. The Insurance
Department rejected the policy and determined that arbitration is required. The Insurance
Federation of Pennsylvania filed a petition for declaratory judgment. This Court
determined that the Insurance Department could not demand arbitration. As sources of
legislative rulemaking authority, the opinion stated that the General Assembly requires all
non-exempt vehicles to carry insurance, and, pursuant to the Insurance Department Act,
requires all policies to be approved by the Insurance Commissioner. Additionally, the
Uninsured Motorist Act requires all policies to include provisions for uninsured motorist
coverage unless rejected by the insured, and in 1984, the Motor Vehicle Financial
Responsibility Law set standards for what must be included in insurance policies,
including the requirement that uninsured and underinsured motorist coverage provisions
must be offered (even if they could be waived). Taken together, these laws require that
“a policy must include a provision for [uninsured] and [underinsured] insurance in order
to be approved by the Insurance Commissioner.” Id. at 554.
These statutes did not expressly grant the Insurance Department with the authority
to require mandatory binding arbitration. Thus, the Court asked “whether the Insurance
Department has the implied authority” to promulgate that regulation. Id. The
Commonwealth Court accepted the Insurance Commissioners’ conclusion that the Motor
Vehicle Financial Responsibility Law declared a public policy that arbitration is the fastest
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and least expensive method of accomplishing the goal of aiding innocent victims. Id.
(stating that the panel “deferred to the Insurance Commissioner’s expertise”). This Court,
however, did not specifically pass on that judgment. “Salient or not, the public policy …
does not create an implied legislative mandate allowing the Insurance Department to
change the normal course of judicial proceedings simply because arbitration is less costly
and less time-consuming than traditional litigation.” Id. at 555. The Court determined
that there was no “substantive provision of the law” requiring mandatory binding
arbitration. As a result, the agency “overstepped its legislative mandate.” Id.
The Insurance Department decision is about implicit authority. As we have
explained at length, the specific statutory authorizations within Section 3215 grant the
Agencies power to expand the list of “public resources.” This is therefore a case of how
far the Agencies may go, whereas Insurance Department is about whether the Agencies
could address the subject matter at all. 22
22 The MSC also cites Rand v. Pennsylvania State Board of Optometry, 762 A.2d 392
(Pa. Commw. 2000), as a case establishing that an agency must be clearly authorized to
wield a specific power. That case is readily distinguishable. There, optometrist Lawrence
Rand completed a course in 1987 for prescribing therapeutic agents while in optometry
school. In 1999, he applied to the Pennsylvania State Board of Optometry (“PSBO”) for
a certificate to administer therapeutic agents. The PSBO had promulgated regulations
stating that an applicant could not do so unless he or she obtained their optometry license
on or after April 1, 1993. It therefore denied his application. Rand appealed, claiming
that the PSBO lacked authority to promulgate that regulation because the relevant statute
did not authorize it.
The Commonwealth Court agreed and struck the regulation as exceeding the agency’s
legislative powers. The Commonwealth Court observed that the April 1, 1993 “is a date
frozen in time.” Id. at 395. As a result, the “regulation does nothing to advance the intent
of the Act, which is to ensure the optometrists’ knowledge regarding pharmaceutical
agents is current.” Id. We are not bound by Rand, and its criticisms appear to be directed
at the reasonableness of the chosen date. See Slippery Rock Area Sch. Dist. v.
Unemployment Comp. Bd. of Rev., 983 A.2d 1231, 1242 (Pa. 2009) (stating that a
regulation is not reasonable if it is “so entirely at odds with fundamental principles as to
(continued…)
[J-55-2022] - 54
We thus reject the assertion that Eagle Environmental permits courts to engage in
a “narrower evaluation” of statutory authority. The question is always whether the agency
has exceeded its authority. Eagle Environmental, like this case, required a determination
of whether the General Assembly intended for the agency to have the asserted power.
Context matters, of course, but there is no “narrower” or “looser” evaluation. The absence
of a provision demanding that the Oil and Gas Act be construed in a liberal manner is
simply one factor in the contextual analysis, which here includes consideration of the
express guarantees of the ERA.
Similarly, our conclusion that the Agency has statutory authorization to identify
these three “public resources” respects legislative intent. Determining whether the three
additional items are valid would require the balancing of competing policy concerns, a
task that courts are ill-equipped to do. Consider the Commonwealth Court’s conclusion
regarding the definition of “other critical communities.” The panel stated that its
“interpretation is logical when one considers the purpose of Act 13 and the balance that
must be struck between oil and gas and environmental interests.” Marcellus Shale
Coalition, 193 A.3d at 475. Aside from the fact that this analysis is misplaced in the
context of a plain language statutory analysis (because it cites factors that apply only
when the words of the statute are not explicit, see 1 Pa.C.S. § 1921(c)(1) (permitting a
court to examine the “occasion and necessity for the statute”)), the goal of striking a
balance between industry and the environment was intentionally left in the hands of the
be the expression of a whim rather than an exercise of judgment”). In any event, the case
is not comparable to this dispute because the Commonwealth Court did not conclude that
the PSBO was powerless to devise regulations to ensure that optometrists’ knowledge
remained current.
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Agencies. By attempting to determine whether the regulations promote the Oil and Gas
Act’s balancing, the court assumed a power that was entrusted to the Agencies in their
expertise. For all the foregoing reasons, we conclude that the three challenged
regulations do not exceed the Agencies’ statutory authorizations.
F.
Reasonableness
The question remains whether the three regulatory definitions are reasonable. In
Pennsylvania Human Relations Commission v. Uniontown Area School District, 313 A.2d
156 (Pa. 1973), we set forth the following points of law.
A court, in reviewing such a regulation, ‘is not at liberty to
substitute its own discretion for that of administrative officers
who have kept within the bounds of their administrative
powers. To show that these have been exceeded in the field
of action . . . involved, it is not enough that the prescribed
system of accounts shall appear to be unwise or burdensome
or inferior to another. Error or unwisdom is not equivalent to
abuse. What has been ordered must appear to be ‘so entirely
at odds with fundamental principles . . . as to be the
expression of a whim rather than an exercise of judgment.’
Id. at 169 (quoting Am. Tel. & Tel. Co. v. United States, 299 U.S. 232 236–37 (1936)).
The Commonwealth Court’s belief that the regulations “upset[ ] the balance
between industry and the environment” is just an alternative way of saying that they are
“unwise or burdensome or inferior to another.” Marcellus Shale Coalition, 193 A.3d at
476. That weighing is for the agencies, not the courts. We may strike the regulations
only if they are fundamentally at odds with the statutory scheme. These are not. The
statutory conception of “public resources,” with its link to the ERA, demonstrates that
these definitions are reasonable.
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Moreover, as stated in American Telephone & Telegraph, courts must pay
attention to what the regulations are designed to promote. Am. Tel. & Tel., 299 U.S. at
237. Here, these three regulations only serve the Agencies’ information gathering
requirements and simply require the applicants to submit more information if the proposed
well “may impact” those public resources. That additional information has an obvious
connection to the Agencies’ unquestioned power to issue permits. The goal it seeks to
achieve is to allow the Agencies to make a more reasoned determination of whether, or
under what, if any, conditions, the permits should issue. The regulations are not designed
to interfere with the development of unconventional gas well sites.
The MSC’s primary argument attacking the reasonableness of these definitions,
particularly the “other critical community” definition, is that those definitions are “an
expression of whim for the Agencies to define critical communities to include non-listed
special concern species.” MSC’s Brief at 45. Their arguments simply repackage the
assertion that the Agencies lacked statutory authority to promulgate the regulations. Id.
at 47 (“Distorting the statute to claim authority for the protection of non-listed species that
clearly are not on par with rare and endangered species upsets the very balance the
General Assembly established between development and environmental protection.”).
These arguments are invitations to courts, under the guise of a reasonableness analysis,
to balance those objectives ourselves. If the General Assembly wishes to curtail the
Agencies’ powers in this regard, it can clearly do so by removing the Agencies’ ability to
add “public resources” to the list.
Finally, the MSC agrees with the Commonwealth Court that the regulation
concerning schools and playgrounds is unreasonable because, for example, “the list of
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schools is seemingly endless as any institution providing some form of educational
services would ostensibly qualify as a ‘school’ under the regulatory definition.” MSC’s
Brief at 25. The Agencies, however, accurately highlight that the list is not endless, a
“permit applicant seeking to drill a new unconventional well[] need only look 200 feet from
the proposed limit of disturbance of a nearly five acre well site to see whether a
neighboring feature may fit the definition of a ‘playground’ or ‘common area’ of a school
that is open to the public.” Agencies’ Brief at 57. We are persuaded by the Agencies’
position that ascertaining whether these features are within the small-scale boundaries of
a proposed new unconventional well is not nearly as burdensome as the Commonwealth
Court has suggested. In fact, the burden borders on de minimis.
G.
“Playground owners” as a “public resource agency”
The second issue is whether the Agencies were permitted to include a “playground
owner” as a “public resource agency.” Unlike the designation by the Agencies of
additional public resources, there is no specific statutory provision concerning “public
resource agencies.” As a result, the generic rulemaking authorization becomes pertinent.
The Commonwealth Court concluded that the Agencies lacked statutory
authorization to include “playground owners” as a valid “public resource agency,” in part
because entities that manage playgrounds are not “agencies” in the traditional
understanding of the term. That is correct, but irrelevant. The fact that the Agencies
chose to use the term “public resource agency” and included private actors within that
definition is perhaps a less than optimal choice, but the label attached makes no
difference in terms of agency authority.
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The MSC additionally submits that these definitions lack statutory authorization
because “[o]ne cannot argue that a swing set in a public area of a residential
neighborhood or on a school playground is natural or is similar to historic sites listed by
state and federal agencies. Playgrounds may be community recreational assets, but they
are not managed to ensure conservation of natural resources.” MSC’s Brief at 23–24.
This again is an inaccurate and misplaced ejusdem generis argument, ignoring the value
of unadulterated outdoor recreation opportunities.
In addition to our general rejection of the ejusdem generis tool, its use is even more
inappropriate here because there is no specific statute addressing public resource
agencies. Indeed, the MSC does not challenge the balance of the regulatory provision,
which lists specific governmental agencies like the United States Fish and Wildlife Service
as a “public resource agency.” Thus, our determination that a “playground” is a valid
public resource effectively resolves this legal challenge because the “owner” of that
resource is responsible for it.
The MSC additionally agrees with the Commonwealth Court that “playground
owners” are not trustees and, therefore that Agencies lacked statutory authority to
“elevate” their status. See Marcellus Shale Coalition, 193 A.3d at 485 (“The Agencies
have no authority to elevate private entities as public agencies responsible for ensuring
the public trust.”). This fundamentally misconstrues what the regulation does. The
Agencies are not elevating “playground owners” to trustee status. Instead, the Agencies,
as trustees themselves, have determined that it is appropriate in discharging their
regulatory duties to seek the input of certain actors when a well may affect the regulated
public resources. In the absence of specific limitations on the Agencies’ authority in this
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regard, we conclude that the general conferral of rulemaking authority provides a valid
statutory source for this regulation. See generally Eagle Environmental, 884 A.2d 867.
Accordingly, we find that the regulation is both within the statutory regulation and
reasonable.
H.
The Section 78a.15(g) regulation
Lastly, we address the Commonwealth Court’s holding that this regulatory
provision, which permits commentary from the defined “public resource agencies,” is
invalid. The Commonwealth Court identified a statutory restriction on the Agencies in
Section 3215(d), which states:
(d) Consideration of municipality and storage operator
comments.--The department may consider the comments
submitted under section 3212.1 (relating to comments by
municipalities and storage operators) in making a
determination on a well permit. Notwithstanding any other law,
no municipality or storage operator shall have a right of appeal
or other form of review from the department’s decision.
58 Pa.C.S. § 3215(d).
As the court stated, we struck this statute as invalid in Robinson Township.
However, the basis for doing so was that the statute was not sufficiently deferential to
municipality concerns. We described Section 3215(d) as a “further blanket
accommodation of industry and development … limit[ing] the ability of local government
to have any meaningful say respecting drilling permits and well locations in their
jurisdictions.” Robinson Township, 83 A.3d at 973–74. We declared the subsection
unconstitutional for the following reasons:
Section 3215(d) marginalizes participation by residents,
business owners, and their elected representatives with
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environmental and habitability concerns, whose
interests Section 3215 ostensibly protects. See 58 Pa.C.S.
§ 3202 (Declaration of purpose of chapter). The result is
that Section 3215 fosters decisions regarding the
environment and habitability that are non-responsive to local
concerns; and, as with the uniformity requirement of Section
3304, the effect of failing to account for local conditions
causes a disparate impact upon beneficiaries of the trust.
Moreover, insofar as the Department of Environmental
Protection is not required, but is merely permitted, to account
for local concerns in its permit decisions, Section 3215(d) fails
to ensure that any disparate effects are attenuated. Again,
inequitable treatment of trust beneficiaries is irreconcilable
with the trustee duty of impartiality. See Hamill’s Estate, 410
A.2d at 773; 20 Pa.C.S. § 7773.
Calling upon agency expertise to make permit decisions that
comply with the Commonwealth’s trustee obligations does not
dissipate the structural difficulties with a statutory scheme that
fails both to ensure conservation of the quality and quantity of
the Commonwealth’s waters and to treat all beneficiaries
equitably in light of the purposes of the trust.
Robinson Township, 83 A.3d at 984.
The Commonwealth Court recognized that the regulations cured the flaw by
mandating the Department to consider municipalities’ comments. Where the court erred
was by finding that Robinson Township’s decision obliterated statutory authorization to
promulgate regulations regarding municipalities. The general conferral of rulemaking
authority is still intact and thus no “additional” authorization is needed. See Marcellus
Share Coalition, 193 A.3d at 484.
Moreover, even if we accept that Section 3215(d) can be read as a restriction on
the Agencies’ powers, which is a questionable proposition given that Robinson Township
suggested in dicta that the Department would still be “permitted” to consider municipality
commentary, the fact remains that Robinson Township determined that the municipalities
were not given sufficient say in the process. We fail to see how the General Assembly’s
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attempt to unconstitutionally limit a municipality’s participation can be read to deprive the
Agencies of their regulatory powers to provide an opportunity for municipalities to have
their concerns considered in the permitting process. Critically, the Commonwealth
Court’s resolution also risks placing the Agencies in the position of violating their trustee
duties. Therefore, as with the previous issue, we find that the Agencies have authority
via their general rulemaking powers to enact this regulation. We agree with the Agencies
that “Section 78a.15(g), which is authorized by surviving sections of the 2012 Oil and Gas
Act … succeeds where Section 3215(d) of the 2012 Oil and Gas Act failed.” Agencies’
Brief at 66.
VII. Conclusion
The Commonwealth Court deemed invalid and unenforceable several regulations
promulgated by the Agencies that serve primarily to aid the Agencies in information
gathering attendant to the issuance of permits for unconventional gas well operations.
For all of the reasons set forth above, we find that the Agencies did not exceed their
legislative rulemaking powers in enacting the challenged regulations, and so, we reverse
the Commonwealth Court’s order.
Chief Justice Todd joins the opinion and Justice Dougherty joins Parts I-V and VI(C)(2)
of the opinion.
Justice Dougherty files a concurring and dissenting opinion.
Justice Wecht files a concurring and dissenting opinion.
Justice Mundy files a dissenting opinion.
The Late Chief Justice Baer did not participate in the decision of this matter.
Justice Brobson did not participate in the consideration or decision of this matter.
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