United States Court of Appeals
For the First Circuit
Nos. 10-1664
10-1668
UNITED STATES ET AL.,
Plaintiffs, Appellees,
v.
COALITION FOR BUZZARDS BAY ET AL.,
Defendants, Appellants.
____________________
APPEALS FROM THE UNITED STATES DISTRICT COURT
FOR THE DISTRICT OF MASSACHUSETTS
[Hon. Douglas P. Woodlock, U.S. District Judge]
Before
Boudin, Selya and Howard, Circuit Judges.
Seth Schofield, Assistant Attorney General, with whom Martha
Coakley, Attorney General, and Pierce O. Cray, Assistant Attorney
General, were on brief, for appellants Commonwealth of
Massachusetts et al.
Jonathan M. Ettinger, Elisabeth M. DeLisle, Amy E. Boyd, and
Foley Hoag LLP on brief for intervenor-appellant Coalition for
Buzzards Bay.
Philip N. Beauregard on brief for Towns of Bourne, Fairhaven,
Falmouth, Gosnold, Marion, Mattapoisett, Rochester, Wareham, and
Westport, and City of New Bedford, amici curiae.
Anisha S. Dasgupta, Attorney, Appellate Staff, Civil Division,
United States Department of Justice, with whom Tony West, Assistant
Attorney General, Carmen M. Ortiz, United States Attorney, and Mark
B. Stern, Attorney, Appellate Staff, were on brief, for federal
appellees.
C. Jonathan Benner, with whom Jeffrey Orenstein and Reed Smith
LLP were on brief, for intervenors-appellees American Waterways
Operators et al.
May 17, 2011
SELYA, Circuit Judge. Buzzards Bay is a brilliant jewel
in the diadem of Massachusetts waters. It comprises an inlet
flowing landward from the Atlantic Ocean, thirty miles long and up
to ten miles wide. Many people regard it as the gateway to Cape
Cod.
The name "Buzzards Bay" is a fluke. Folklore has it that
early settlers mistook an indigenous flight of ospreys for
buzzards, and the rest is history.
The bay is not only a spectacularly beautiful natural
resource but also a major channel of maritime commerce in
southeastern Massachusetts. The combined environmental and
commercial significance of the bay has sparked a pitched battle
between federal and state sovereigns over the nature of
preventative measures needed to safeguard against the risk of oil
spills. These appeals mark the latest round in that battle.
The overarching question before us involves the Coast
Guard's authority to promulgate regulations that preempt state
environmental law with respect to tank vessels. But as the proverb
teaches, there is many a slip twixt the cup and the lip.
Discerning such a slip, we do not reach the preemption question
but, rather, hold that, during the rulemaking process, the Coast
Guard failed to comply with its obligations under the National
Environmental Policy Act (NEPA), 42 U.S.C. §§ 4321-4347. Inasmuch
as this bevue was not harmless, we reverse the district court's
-3-
entry of summary judgment in favor of the Coast Guard, vacate the
injunction against the enforcement of state law issued below, and
remand for further proceedings.1
I. BACKGROUND
This case had its genesis in a particularly regrettable
maritime misfortune. On April 27, 2003, the Bouchard Barge-120
struck an outcropping of rocks, spilling an estimated 98,000
gallons of oil into Buzzards Bay. Bad things sometimes can lead to
good things and, spurred by this incident, the state legislature
enacted the Massachusetts Oil Spill Prevention Act (MOSPA),
codified as amended primarily at Mass. Gen. Laws ch. 21, §§ 42,
50B-50E; ch. 21M, §§ 1-8. The federal government saw this as a
threat to its power to regulate commercial shipping on Buzzards Bay
and sued to abrogate certain provisions of the MOSPA. The suit
asserted that the challenged provisions of the state statutory
scheme were preempted by the Ports and Waterways Safety Act, Pub.
L. No. 92-340, 86 Stat. 424, as amended by the Port and Tanker
1
The parties to this litigation are numerous. The principal
plaintiffs include the United States, the Coast Guard, and shipping
industry representatives who have intervened on their behalf. The
principal defendants are the Commonwealth of Massachusetts (the
Commonwealth), various state officials and agencies, and the
Coalition for Buzzards Bay, a nonprofit organization that has
intervened to support the Commonwealth's position. An array of
municipalities bordering Buzzards Bay appear as amici in support of
the Commonwealth. Given this crowded field, we opt for simplicity
and refer to the protagonists as the Coast Guard (a shorthand for
the appellees, collectively) and the Commonwealth (a shorthand for
the appellants, collectively).
-4-
Safety Act, Pub. L. No. 95-474, 92 Stat. 1471, codified at 33
U.S.C. §§ 1221-1232 and scattered sections of 46 U.S.C., and by
Coast Guard regulations promulgated thereunder.
The district court (Tauro, J.) granted an injunction.
United States v. Massachusetts, 440 F. Supp. 2d 24, 48 (D. Mass.
2006). The Commonwealth appealed, seeking to reinstate the MOSPA's
manning and tug escort requirements for vessels. We vacated the
injunction because the district court had not applied the correct
analytical model for resolving federal-state regulatory conflicts.
United States v. Massachusetts, 493 F.3d 1, 4-5 (1st Cir. 2007).
The case was remanded for further development of the record. Id.
at 4.
With the case pending before the district court, the
Coast Guard changed the legal seascape by promulgating a final rule
relating to navigation in Buzzards Bay (the 2007 Rule). This rule,
unlike the version previously before this court, purported
expressly to preempt the challenged provisions of the MOSPA. See
72 Fed. Reg. 50,052, 50,056-57 (Aug. 30, 2007). It established
manning and escort requirements limited to Buzzards Bay. See id.
at 50,052.
As part of the rulemaking process that culminated in the
issuance of the 2007 Rule, the Coast Guard eschewed the preparation
of either an environmental impact statement (EIS) or an
environmental assessment (EA). It determined instead that its
-5-
proposed action fell within a categorical exclusion that obviated
any such analysis.
There are material differences between the protections
afforded by the MOSPA and those afforded by the 2007 Rule. The
MOSPA, with an exception not relevant here, requires a tugboat
escort for all tank vessels transiting Buzzards Bay that carry
6,000 or more barrels of oil. Mass. Gen. Laws ch. 21M, § 6. The
2007 Rule has a variant tug escort provision, which does not apply
at all to double-hulled barges. See 72 Fed. Reg. at 50,054,
50,059. Similar disparities exist as to manning requirements. The
MOSPA demands that "[t]he navigation watch on all tow vessels
transiting Buzzards bay and carrying 6,000 or more barrels of oil
shall consist of at least 1 licensed deck officer or tow vessel
operator, who shall serve exclusively as a lookout" and that
"[t]hree licensed officers or tow vessel operators shall be on a
tow vessel" when it is escorting a tank barge. Mass. Gen. Laws ch.
21M, § 4(a). The MOSPA also establishes crew requirements for tank
barges. Id. § 4(b). Once again, the 2007 Rule takes a divergent
approach; as to manning requirements, it is in some respects
broader than the MOSPA and in some respects narrower. See 72 Fed.
Reg. at 50,059.
Due to circumstances beyond the parties' control, the
case below was passed from judge to judge to judge. On October 29,
2007, the Coast Guard renewed its motion for an injunction against
-6-
the enforcement of the challenged MOSPA provisions. While that
motion was pending, Judge Lindsay allowed the Commonwealth to file
counterclaims alleging that the Coast Guard, in the process of
promulgating the 2007 Rule, had violated both the Administrative
Procedure Act (APA), 5 U.S.C. §§ 551-559, 701-706, and the NEPA.
In the fall of 2008, the district court (Young, J.),
acting in conformity with a magistrate judge's recommendation,
preliminarily enjoined the enforcement of the challenged MOSPA
provisions. The parties subsequently cross-moved for summary
judgment. The magistrate judge recommended that summary judgment
enter for the Coast Guard on the ground that the 2007 Rule
preempted the challenged MOSPA provisions.
On de novo review, the district court (Woodlock, J.)
found a NEPA violation, but concluded that this violation was
"essentially harmless" because "the substance of the Coast Guard's
actual rulemaking analysis was the functional equivalent of what an
environmental impact statement would have generated." United
States v. Massachusetts, 724 F. Supp. 2d 170, 174-75 (D. Mass.
2010). The court proceeded to overrule the Commonwealth's other
objections, found preemption appropriate, entered a declaratory
judgment for the Coast Guard, and permanently enjoined enforcement
of the controverted portions of the state statute. Id. at 175.
These timely appeals followed.
-7-
II. NEPA COMPLIANCE
We review an appeal from the entry of summary judgment de
novo. URI Student Senate v. Town of Narragansett, 631 F.3d 1, 7
(1st Cir. 2011). In the administrative law context, our evaluation
is informed by the APA. See Assoc'd Fisheries of Me., Inc. v.
Daley, 127 F.3d 104, 109 (1st Cir. 1997). That paradigm applies
here. Under it, we may set aside agency action if that action is
"arbitrary, capricious, an abuse of discretion, or otherwise not in
accordance with law." 5 U.S.C. § 706(2)(A).2
Employing this yardstick, an agency rule fails "if the
agency relied on improper factors, failed to consider pertinent
aspects of the problem, offered a rationale contradicting the
evidence before it, or reached a conclusion so implausible that it
cannot be attributed to a difference of opinion or the application
of agency expertise." Assoc'd Fisheries, 127 F.3d at 109.
In this case, our task begins and ends with the issue of
NEPA compliance. We focus the lens of our inquiry accordingly.
A. The NEPA Framework.
The NEPA "is our basic national charter for protection of
the environment." 40 C.F.R. § 1500.1(a). It has dual objectives.
"First, it 'places upon an agency the obligation to consider every
2
There is a special interplay between summary judgment and
discretionary agency judgments under the APA. See, e.g., Mass.
Dep't of Pub. Welfare v. Sec'y of Agric., 984 F.2d 514, 525 (1st
Cir. 1993). We need not dwell upon those subtleties here.
-8-
significant aspect of the environmental impact of a proposed
action.'" Balt. Gas & Elec. Co. v. NRDC, 462 U.S. 87, 97 (1983)
(quoting Vt. Yankee Nuclear Power Corp. v. NRDC, 435 U.S. 519, 553
(1978)). "Second, it ensures that the agency will inform the
public that it has indeed considered environmental concerns in its
decisionmaking process." Id.
As a means of achieving its twin goals, the NEPA directs
federal agencies, "to the fullest extent possible," to prepare an
EIS for "major Federal actions significantly affecting the quality
of the human environment." 42 U.S.C. § 4332. Timing is important.
If the NEPA's prescribed analysis is to factor into the
decisionmaking process as Congress intended, the agency must
"consider all significant environmental impacts before choosing a
course of action." Sierra Club v. Marsh, 872 F.2d 497, 502 (1st
Cir. 1989); see Vt. Yankee, 435 U.S. at 558; Wilderness Watch v.
Mainella, 375 F.3d 1085, 1096 (11th Cir. 2004). After all, "[p]art
of the harm NEPA attempts to prevent in requiring an EIS is that,
without one, there may be little if any information about
prospective environmental harms and potential mitigating measures."
Winter v. NRDC, 129 S. Ct. 365, 376 (2008). It follows inexorably
that "when a decision to which NEPA obligations attach is made
without the informed environmental consideration that NEPA
requires, the harm that NEPA intends to prevent has been suffered."
Massachusetts v. Watt, 716 F.2d 946, 952 (1st Cir. 1983).
-9-
Though significant, the NEPA's requirements are
procedural in nature. Dep't of Transp. v. Pub. Citizen, 541 U.S.
752, 756 (2004). So long as the environmental effects of a
proposed action have been adequately identified and studied, the
agency is free to weigh those effects and decide — within the
limits fixed by the APA — that other values overbalance
environmental costs. Robertson v. Methow Valley Citizens Council,
490 U.S. 332, 350 (1989). Seen in this light, the role of judicial
review is simply to "insure that the agency has taken a 'hard look'
at environmental consequences." Kleppe v. Sierra Club, 427 U.S.
390, 410 n.21 (1976).
The NEPA's general requirement that federal agencies
prepare either an EIS or an EA in anticipation of any major action
is not absolute. The exemptions are fleshed out in implementing
regulations promulgated by the Council on Environmental Quality
(CEQ). See 40 C.F.R. § 1500.3. The CEQ is a body that Congress
created for the express purpose of administering the NEPA. See 42
U.S.C. § 4342. Under this regulatory regime, an affected agency is
charged in the first instance with determining if a proposed action
is one which, on the one hand, ordinarily requires an EIS, or
which, on the other hand, is exempted from environmental review
because it comes within a categorical exclusion. 40 C.F.R.
§ 1501.4(a). A categorical exclusion is meant to encompass "a
category of actions which do not individually or cumulatively have
-10-
a significant effect on the human environment and which have been
found to have no such effect in procedures adopted by a Federal
agency in implementation of these regulations." Id. § 1508.4.
Such actions normally do not require the preparation of either an
EIS or an EA. Id.
If a proposed agency action is not one that ordinarily
would require an EIS, but nevertheless is not exempted from
environmental review, the agency must prepare an EA. Id.
§ 1501.4(b). That EA is intended to serve as the foundation upon
which the agency will make its determination about whether it is
necessary to prepare an EIS. Id. § 1501.4(c). While an EA is not
as extensive as an EIS, it nonetheless must include "discussion[]
. . . of the environmental impacts of the proposed action and
alternatives." Id. § 1508.9(b).
B. The Coast Guard's Supplemental Procedures.
The CEQ regulations are not meant to stand alone but,
rather, contemplate that the agencies to which they apply adopt
supplemental procedures, if and as needed. Id. § 1507.3(a). The
Coast Guard has adopted such supplemental procedures and codified
them in Commandant Instruction M16475.1D (Nov. 29, 2000). These
supplemental procedures describe thirty-five categorical exclusions
(CEs). COMDTINST M16475.1D, fig. 2-1. This compendium includes
CEs that cover "[r]egulations establishing, disestablishing, or
changing Regulated Navigation Areas and security or safety zones"
-11-
and "[r]egulations in aid of navigation." Id. fig. 2-1, ¶34(g),
(i). When promulgating the 2007 Rule, the Coast Guard asserted the
applicability of both of these exclusions. 72 Fed. Reg. at 50,058.
The Commonwealth does not dispute that the Coast Guard's proposed
action fell within the compass of these CEs. But the applicability
of a CE does not automatically relieve an agency of the obligation
to prepare either an EIS or an EA.
The CEQ regulations recognize that even agency actions
that are of a kind typically excluded from NEPA review by the
operation of a CE "may have a significant environmental effect."
40 C.F.R. § 1508.4. In response to that concern, the Coast Guard,
like many other agencies, has enumerated in its supplemental
procedures various considerations to guide its assessment of
whether a particular action, though nominally covered by a CE,
involves "extraordinary circumstances" and, thus, requires the
preparation of either an EIS or an EA. COMDTINST M16475.1D, ch. 2,
§ B.2.b. In effect, this constitutes a list of exceptions to the
exclusions.
The Coast Guard has identified ten extraordinary
circumstances exceptions which, if applicable, may trump a CE and
require it to prepare an EIS or an EA. Id. By the same token, the
Coast Guard may not rely upon a CE if its proposed action triggers
any of the extraordinary circumstances exceptions limned in an
incorporated Department of Transportation (DOT) order. Id. The
-12-
incorporated order requires the preparation of an EIS or an EA for
agency actions that are likely to involve any of four additional,
albeit overlapping, extraordinary circumstances. Id. encl. 1 (DOT
5610.1C), § 20.b.(2).
The Coast Guard attempts to put a new gloss on the
extraordinary circumstances described in its NEPA procedures. It
claims the right to do so in consequence of its reassignment from
the DOT to the Department of Homeland Security (DHS), which
occurred in 2003. This reassignment, the Coast Guard implies,
rendered its preexisting NEPA compliance procedures subject to
creative interpretation (at least to the extent that they conflict
with the DHS's own regulations).3 Under the guise of this creative
interpretation, the Coast Guard rips out the heart of its own
exceptions.
The Coast Guard cites very little authority for this
partial repudiation of its clearly delineated extraordinary
circumstances exceptions. In taking this position, it cites cases
such as Auer v. Robbins, 519 U.S. 452, 461 (1997), and claims that
it has the authority to interpret its own supplemental procedures.
The existence of that power is undeniable, but it cannot be wielded
to read a provision in a manner that is utterly contrary to its
plain language. Id. (explaining that an agency's interpretation of
3
The DHS's regulations are set forth in 71 Fed. Reg. 16,790
(Apr. 4, 2006).
-13-
its own regulations is controlling unless "plainly erroneous or
inconsistent with the regulation" (quoting Robertson, 490 U.S. at
359)). For purposes of this case, the Coast Guard attempts to
nullify plainly stated provisions of its own longstanding NEPA
procedures — and judicial deference to agency interpretations
cannot be stretched so far.4
In its March 2006 notice of proposed rulemaking, the
Coast Guard explicitly cited Commandant Instruction M16475.1D — its
own set of procedures, which incorporate the DOT order. It
described this matrix as the document that would "guide[] the Coast
Guard in complying with the [NEPA]." 71 Fed. Reg. 15,649, 15,654
(Mar. 29, 2006). In August of 2007, the Coast Guard reiterated
this point when it published the final rule. 72 Fed. Reg. at
50,058. In neither of these notices did the Coast Guard identify
any other instructions as applicable to its NEPA compliance.
Neither the DHS's regulations nor the Coast Guard's newly minted
interpretation of its own procedures were ever mentioned.
No incongruity inheres in the Coast Guard's continued
use of the incorporated DOT order. Under the CEQ regulations,
nothing prevents one agency from incorporating into its
4
To cite but one example, where Commandant Instruction
M16475.1D makes an extraordinary circumstance applicable when an
action "is likely to be highly controversial in terms of scientific
validity or public opinion," the Coast Guard now seeks to interpret
that provision to apply only where there exists "scientific
controversy" over a proposed action, thus reading the "public
opinion" language out of the exception entirely.
-14-
supplemental NEPA procedures guidance borrowed from another agency.
See 40 C.F.R. § 1507.3. And in any event, even if the incorporated
DOT order were somehow set aside, the Coast Guard's professed
interpretation of its own procedures itself defies logic and
exceeds the bounds of reasonable agency interpretations entitled to
deference.
The government must turn square corners when dealing with
the public, and we think that it is bound by its express reliance
on the document that includes the incorporated DOT order and makes
no reference to the supposed DHS policy. Cf. NRDC v. EPA, 824 F.2d
1258, 1284-85 (1st Cir. 1987) (explaining that agencies must
present proposals to the public with sufficiently clear notice so
that commenters will have a fair opportunity to express their
views). The Coast Guard took the position during the rulemaking
process incident to the 2007 Rule that the document that included
the incorporated DOT order was part of the regulatory mix. It
never provided the public with any hint that either its
reassignment to the DHS or the DHS's policies had effected a change
in its procedures. Given the Coast Guard's continued reliance on
materials predating its reassignment to the DHS, the absence of any
explicit disavowal of the incorporated DOT order, and its utter
failure to integrate the DHS regulations into its procedures,5 we
5
This failure is particularly perplexing in light of the
DHS's declarations that its "Directive shall prevail in case of any
inconsistencies" and that the Coast Guard "will amend [its]
-15-
hold that the NEPA determination in this case must give full effect
to the content of Commandant Instruction M16475.1D.
C. The Violation.
The next question that we must answer is whether the
Coast Guard complied with the NEPA. In promulgating the 2007 Rule,
it used a standard environmental checklist. See COMDTINST
M16475.1D, encl. 2. This checklist included prompts corresponding
to the extraordinary circumstances exceptions that might prevent
the Coast Guard from relying on a CE. Each prompt received a
simple "yes" or "no" answer.
The completed checklist contains a negative response to
the prompt asking whether the proposed action is "likely to [have]
a significant effect on public health or safety." Elaborating, the
document explains that "[i]mplementation of the rule would have an
indirect and beneficial impact on public health and safety" due to
its anticipated prevention of future oil spills in Buzzards Bay.
Negative responses also accompany prompts asking whether the
proposed action presents the potential "to be highly controversial
in terms of scientific validity or public opinion" or whether the
proposed action would potentially violate state environmental law.
There is no discussion of the reasoning behind these negative
responses.
procedures to conform to this Directive." 71 Fed. Reg. at 16,790.
The Coast Guard has apparently ignored this mandate.
-16-
The checklist does contain a lone affirmative response.
This affirmative response is to the prompt asking whether the
proposed action is to take place "on or near a unique
characteristic of the geographic area." The Coast Guard added, in
a wholly conclusory fashion, that the proposed action "is projected
to produce negligible adverse impacts on the environment from
increased air and water emissions from the additional tugs."
In a bid to shut off further inquiry into the sufficiency
of those responses, the Coast Guard says that the Commonwealth's
failure to object during the notice-and-comment period to its
proposed reliance on a CE amounts to a waiver. As articulated,
this claim rests entirely on the Supreme Court's decision in Public
Citizen, where the Court explained that "[p]ersons challenging an
agency's compliance with NEPA must 'structure their participation
so that it . . . alerts the agency to the [parties'] position and
contentions.'" 541 U.S. at 764 (alterations in original) (quoting
Vt. Yankee, 435 U.S. at 553). But nothing in Public Citizen shifts
the burden of ensuring NEPA compliance from the agency that is
proposing an action to those who wish to challenge that action.
Indeed, the Public Citizen Court stressed that "the agency bears
the primary responsibility to ensure that it complies with NEPA."
Id. at 765.
In all events, the case at hand is readily
distinguishable from Public Citizen. There, the agency had
-17-
prepared an EA and determined that it need not take the more
laborious step of preparing an EIS. Id. at 763. The challenge to
that determination was premised on the agency's supposed failure to
consider specific alternatives when compiling the EA, but the
challenger had not objected to the EA on that ground during the
comment period. Id. at 764. In fine, the dispute was one about
the substance of what evidence the agency should have considered.
By contrast, the dispute here is functional. The Coast
Guard's reliance on a CE permitted it to avoid any environmental
analysis. The principles announced in Public Citizen cannot be
twisted so far as to cover such a situation. See 'Ilio'ulaokalani
Coal. v. Rumsfeld, 464 F.3d 1083, 1092 (9th Cir. 2006).
This brings us to the question of whether the Coast
Guard, in relying on a CE as a means of sidestepping any meaningful
environmental analysis, acted arbitrarily. In arguing for an
affirmative answer to this question, the Commonwealth focuses on
four extraordinary circumstances exceptions that, in its view,
prevented the agency from relying on a CE. These extraordinary
circumstances exceptions relate to (i) agency actions affecting
"[p]ublic health or safety," (ii) those touching upon a site
including or "near a unique characteristic of the geographic area,"
(iii) those "likely to be highly controversial in terms of
scientific validity or public opinion," and (iv) those creating
"[a] potential or threatened violation of . . . state . . . law
-18-
. . . imposed for the protection of the environment." COMDTINST
M16475.1D, ch. 2, § B.2.b. If any one of these exceptions applies,
then the Coast Guard was bound to determine whether further
analysis was required based on the potential environmental effects
of the proposed action. Id. And in that event, reliance on the CE
would be inappropriate.
Here, we can limit our consideration to the extraordinary
circumstances exception for proposed actions that are "likely to be
highly controversial in terms of . . . public opinion" (to the
extent that other exceptions might also apply, they are
superfluous).6 Careful perscrutation of the record in this case
persuades us that the Coast Guard's bareboned negative response —
a simple "no" — to the prompt asking whether the proposed action
was likely to be highly controversial was arbitrary and capricious.
Judicial review of the applicability of an extraordinary
circumstances exception is informed by the agency's guidelines.
See Stone Forest Indus., Inc. v. United States, 973 F.2d 1548, 1551
(Fed. Cir. 1992) (explaining that internal guides for agency
employees are evidence of agency's custom and practice); Burroughs
v. Hills, 741 F.2d 1525, 1529 (7th Cir. 1984) (per curiam)
6
The concern about reliance on a CE for potentially
controversial actions, expressed in the Coast Guard's procedures,
is echoed in the incorporated DOT order, which likewise prohibits
the use of a CE when the proposed action is likely to involve
"substantial controversy." COMDTINST M16475.1D, encl. 1 (DOT
5610.1C), § 20.b.(2).
-19-
(similar). The Coast Guard's guidelines outline the considerations
that should be factored into the decisionmaker's evaluative
process. COMDTINST M16475.1D, encl. 2. As to the exception for
"highly controversial" actions, they direct decisionmakers to
"[c]onsider first whether [the] action is likely to be
controversial in any way." Id. If the decisionmaker concludes
that it is, he is directed to "consider whether this controversy is
likely to have an environmental element." Id. The guidelines
specifically caution decisionmakers to "be sure not to interpret
the word 'environmental' too narrowly" to guard against "missing a
controversial issue that should be addressed under NEPA." Id.
We need not tarry. The record in this case belies the
Coast Guard's conclusory determination that its proposed action was
not likely to be highly controversial within the meaning of its own
procedures and guidelines. During the rulemaking process, the
Coast Guard received a plethora of worried comments from local
officials, state legislators, and other representatives of state
government. The state's principal environmental regulator, the
Massachusetts Department of Environmental Protection (MDEP),
expressed grave concerns about the potential environmental
consequences of the proposed rule. The MDEP indicated that, in its
strongly held view, tug escorts for all tank barges were necessary
to reduce the risk of oil spills in Buzzards Bay. The MDEP
specifically noted that escort requirements for double-hulled tank
-20-
barges were enforced "in other environmentally sensitive waters"
and should not be forsaken in Buzzards Bay. The Massachusetts
congressional delegation urged the Coast Guard to adopt broader tug
escort standards parallel to those embedded in the MOSPA, so that
both single and double-hulled barges would be covered. This
coverage was essential, the solons wrote, in order to "provide[]
crucial protection" for Buzzards Bay.
The Coast Guard shrugs off this tidal wave of comments as
mere political opposition. Of course, many of the comments were
submitted by "political" figures. But in a democracy, citizens may
justifiably rely on political leaders to speak for them, and the
fervent community concern expressed here went directly to
potentially serious environmental effects of the Coast Guard's
proposed action. This is the very type of controversy that the
Coast Guard's guidelines direct decisionmakers to consider. At any
rate, the public officials' comments were supplemented by
submissions from private groups and individuals who believed that
protections beyond those described in the proposed rule were needed
to prevent environmental damage to Buzzards Bay.
What makes the Coast Guard's refusal to recognize the
potential for controversy all the more difficult to fathom is that,
during the notice-and-comment period, the Coast Guard was already
embroiled in litigation that touched upon the environmental effects
of a prior rule that affected Buzzards Bay. It made its decision
-21-
to rely on a CE (and thereby avoid a more in-depth environmental
analysis) while this litigation remained unresolved. At the very
least, the pendency of that bitterly contested case should have
alerted the Coast Guard to the existence of a serious disagreement
about the wisdom of displacing the Commonwealth's regulatory regime
and the environmental effects of the proposed federal action.
The short of it is that, during the time when rulemaking
was underway, there was ferocious and widespread opposition to the
Coast Guard's approach to the regulation of oil barges in Buzzards
Bay. The Coast Guard knew of this opposition and also knew that
much of it implicated the not implausible fear that environmental
harm would ensue should the protections afforded by the MOSPA be
eliminated and the proposed federal standards adopted. In the
idiom of the Coast Guard's own procedures, "the potential
significance of the proposed action's effects on the environment"
was great. COMDTINST M16475.1D, ch. 2, § B.2.b. In the view of
many, the proposed rule threatened to decrease materially the level
of protection against oil spills in Buzzards Bay. Given these
realities, we conclude, as did the district court, that the Coast
Guard's eschewal of any meaningful environmental inquiry was
arbitrary and capricious. See Massachusetts, 724 F. Supp. 2d at
174 (characterizing Coast Guard's decision not to prepare an EIS as
"an act of procedural hubris").
-22-
D. Harmless Error.
This does not end our voyage. The Coast Guard contends
that even if the existence of extraordinary circumstances
foreclosed it from relying on a CE, its failure to prepare either
an EIS or an EA was harmless. We turn to this contention.
Assuredly, NEPA violations are subject to harmless error
review. See Save Our Heritage, Inc. v. FAA, 269 F.3d 49, 61 (1st
Cir. 2001); see also 5 U.S.C. § 706. "[T]he burden of showing that
an error is harmful normally falls upon the party attacking the
agency's determination." Shinseki v. Sanders, 129 S. Ct. 1696,
1706 (2009). The circumstances of a particular case often will
make clear whether the error was harmless or not. Id. In this
case, the Coast Guard premises its harmless error argument on the
notion that it conducted an analysis functionally equivalent to an
EIS or an EA during the rulemaking process. The district court
accepted this argument, relying heavily on our decision in Save Our
Heritage. See Massachusetts, 724 F. Supp. 2d at 175. That
reliance was misplaced.
In Save Our Heritage, the agency had determined that a
proposed modification to a preexisting rule (authorizing the
addition of a few new flights) would have a de minimis
environmental impact and, thus, invoked a CE to pretermit further
NEPA review. We noted that the agency had "directly studied the
three types of potential effects from the additional flights:
-23-
noise, fuel emissions, and surface traffic." 269 F.3d at 58-59.
Moreover, it had "extrapolated" from two previously prepared
documents: a generic environmental impact report (which had
anticipated the future environmental effects of increased
commercial aviation in the area) and a prior surface traffic study.
Id. at 59. Finally, to confirm the continued reliability and
accuracy of the findings contained in the generic environmental
impact report, the agency compared its projections to actual growth
patterns. Id. On these facts, we applied the harmless error
doctrine and concluded that it would "make[] no sense to remand for
an environmental assessment where, as here, the [agency] has
already made a reasoned finding that the environmental effects are
de minimis." Id. at 61.
The case at hand is readily distinguishable from Save Our
Heritage. Although the Coast Guard, in its advance notice of
proposed rulemaking, mentioned two prior local studies (a 1996
regional risk assessment recommendation and a 2003 safety
assessment), see 69 Fed. Reg. 62,427, 62,428 (Oct. 26, 2004), there
is no indication that it took any steps to confirm the continued
relevance of the information contained in those studies. The same
is true of a 1999 regulatory assessment prepared for Puget Sound
and included in the administrative record here.
In all events, these reports standing alone are neither
sufficiently focused nor sufficiently detailed to serve, separately
-24-
or in cumulation, as a proxy for the environmental analysis that
the NEPA requires. The 1996 study recommended a Regulated
Navigation Area, which, when adopted, would "impose[] certain
requirements on single-hulled tank barges transiting New England
waters, including Buzzards Bay." Id. The record offers no further
information about this study. The 2003 report — a ports and
waterways safety assessment — recognized "that the risk for oil or
hazardous material discharge in Buzzards Bay is relatively high"
and that one way of reducing this risk would be to "establish
requirements for escort tugs." Id. But this report did not
purpose to evaluate the merits (or relative merits) of any
particular courses of action. Rather, its goal was to spur
regional risk mitigation efforts by generating input from
interested parties about ways to reduce the risks associated with
a broad range of navigation concerns.
The last of the documents upon which the Coast Guard
leans — the 1999 regulatory assessment for Puget Sound — goes into
some depth in describing "the potential impact of oil spills on the
environment." But this data is presented in the site-specific
context of the topography and environmental characteristics of a
body of water some 2,500 miles distant from Buzzards Bay. While
this assessment could be relevant, the Coast Guard made no
explanation of how it might apply to the presumably different
topography and environmental characteristics of Buzzards Bay.
-25-
These shortcomings are troubling, but the sockdolager is
that the Coast Guard did not perform any environmental analysis at
all. Indeed, it made no site-specific appraisal of the potential
environmental effects of its proposed action. For ought that
appears, it took no "hard look" at the situation. It gave the
matter the barest of glances and, in the parlance of the Save Our
Heritage court, made no "reasoned finding." 269 F.3d at 61.
In a nutshell, this is not a case, like Save Our
Heritage, in which an agency, while failing to carry out a formal
EIS or EA, nevertheless performed a substantial environmental
analysis. The absence of any such analysis is antithetic to a
finding of harmlessness. See Wilderness Watch, 375 F.3d at 1096
(noting that courts "have only been willing to declare a NEPA
violation harmless when the relevant decision makers actually
engaged in significant environmental analysis prior to the decision
but failed to comply with the exact procedures mandated"); see also
Cal. Wilderness Coal. v. U.S. Dep't of Energy, 631 F.3d 1072, 1106
(9th Cir. 2011) (finding error not harmless where agency had not
shown that it had taken a "hard look" at the environmental
consequences of its proposed action).
The Coast Guard suggests that the comments submitted
during the rulemaking process compensate for the missing
environmental analysis. We do not agree. Although these comments
may have brought certain environmental concerns to the agency's
-26-
attention, they did not bridge the gap between agency awareness of
potentially detrimental environmental effects and agency analysis
of those effects. It is precisely such an analysis that the NEPA
requires. See 40 C.F.R. § 1508.9(b) (requiring an EA to include
discussion "of the environmental impacts of the proposed action and
alternatives").
At the expense of carting coal to Newcastle, we add that
the NEPA framework is designed in part to stimulate public
participation in the rulemaking process. See Pub. Citizen, 541
U.S. at 768 (describing an EIS as intended to "provid[e] a
springboard for public comment" (alteration in original) (quoting
Robertson, 490 U.S. at 349)); New Mexico ex rel. Richardson v.
Bureau of Land Mgmt., 565 F.3d 683, 708 (10th Cir. 2009) (finding
failure to prepare a supplemental EIS not harmless and noting that
"[a] public comment period is beneficial only to the extent the
public has meaningful information on which to comment"). It would
be Kafkaesque to deem the very comments submitted by the public, in
and of themselves, a competent proxy for the NEPA determination
that is meant to prompt and inform such comments.
What we have said to this point dictates what must be
done. The error here was one of function, not merely of form. The
administrative record, viewed as a whole, does not show that the
Coast Guard ever analyzed, or even adequately studied, the
-27-
environmental impact of its proposed action. Consequently, its
failure to prepare either an EIS or an EA was not harmless.7
III. CONCLUSION
We need go no further. Where, as here, an agency has
failed to satisfy its obligations under the NEPA and its error is
not demonstrably harmless, the appropriate remedy is a remand to
the agency for performance of those obligations. See, e.g.,
Georgetown Univ. Hosp. v. Bowen, 821 F.2d 750, 758 (D.C. Cir.
1987). Accordingly, we reverse the entry of summary judgment,
vacate the injunction, and return the case to the district court
with instructions to remand it to the Coast Guard for further
proceedings consistent with this opinion. We take no view of the
overarching preemption issue, the applicability vel non of any
other extraordinary circumstances exception, the APA issue, or any
of the parties' other contentions.
So Ordered.
7
For present purposes, we need not decide whether the Coast
Guard should have prepared an EIS or an EA. What is apparent is
that some further level of analysis was required.
-28-