Filed 8/24/16 Tehachapi First v. City of Tehachapi CA5
NOT TO BE PUBLISHED IN THE OFFICIAL REPORTS
California Rules of Court, rule 8.1115(a), prohibits courts and parties from citing or relying on opinions not certified for
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IN THE COURT OF APPEAL OF THE STATE OF CALIFORNIA
FIFTH APPELLATE DISTRICT
TEHACHAPI FIRST,
F072149
Plaintiff and Appellant,
(Super. Ct. No. S-1500-CV-273965)
v.
CITY OF TEHACHAPI, OPINION
Defendant and Respondent;
WAL-MART STORES, INC.,
Real Party in Interest.
APPEAL from a judgment of the Superior Court of Kern County. Kenneth C.
Twisselman II, Judge.
M.R. Wolfe & Associates and Mark R. Wolfe for Plaintiff and Appellant.
Lebeau Thelen and Patrick Charles Carrick for Defendant and Respondent.
Manatt, Phelps & Phillips and Keli N. Osaki for Real Party in Interest.
-ooOoo-
This appeal involves an environmental impact report (EIR) prepared for the
proposed construction of a Wal-Mart Supercenter in Tehachapi, California. Plaintiff
contends that the revised EIR’s treatment of cumulative noise impacts violated the
California Environmental Quality Act (CEQA)1 on three separate grounds. These
violations are the basis for plaintiff’s contention that the trial court should not have
discharged its writ of mandate directing the City of Tehachapi (City) to address
inadequacies in the initial EIR’s analysis of cumulative impacts.
Plaintiff’s first claim of error relates to the location on residential lots where
measurements were taken to establish the baseline noise level. Plaintiff contends the
measurements should have been taken at the property line rather than next to the lot’s
buildings. We reject this contention because plaintiff has not shown that a general or
specific rule of law dictates where such measurements should be taken. Thus, we
conclude that the identification of the proper location presented a question of fact
committed to the discretion of City in its role as the lead agency.
Plaintiff’s second claim of error relates to the revised EIR’s decision to evaluate
roadway segments containing hotels by using the noise thresholds applicable to
commercial property, rather than residential property. Plaintiff contends that the revised
draft EIR determined that hotels were, in fact, a noise-sensitive land use because it stated
that a hotel may be considered a noise-sensitive use. In our view, that statement was not
a determination, acknowledgement or finding that the hotels in question were noise-
sensitive uses. Consequently, plaintiff has not established the foundation for its argument
that the roadway segments should have been subject to the noise standards used for
residential property.
Plaintiff’s third claim of error relates to the standards or thresholds used to
determine whether cumulative noise impacts were significant and whether the project’s
incremental contributions to significant cumulative noise impacts were “‘cumulatively
1 Public Resources Code section 21000 et seq. All unlabeled statutory references
are to the Public Resources Code.
2.
considerable’” for purposes of CEQA. (§ 21083, subd. (b); Guidelines,2 §§ 15130 &
15355.) This claim of error fails because, among other things, plaintiff has not
demonstrated that the same standards were used for the two inquiries.
We therefore affirm the order discharging the writ of mandate.
FACTS
The Parties
Plaintiff Tehachapi First is an unincorporated organization that alleges its
members are residents, citizens, taxpayers and property owners in Tehachapi and the
Tehachapi area. Plaintiff’s members include Shannon Turner, Rory Turner, Christopher
Zehnder, Susan Robins, and Sara Klingenberg.
Defendant City is organized under the general law of California and is located in
Kern County. It is a “general law city” as that term is defined in Government Code
section 34102 and is the lead agency responsible under CEQA for reviewing the
environmental effects of the proposed project.
Real party in interest Wal-Mart Stores, Inc. is a Delaware corporation with its
principal place of business in Bentonville, Arkansas (Wal-Mart). Wal-Mart is the owner
and proponent of the project. Early in the litigation, the parties stipulated that Wal-Mart
was the “recipient of an approval” for purposes of CEQA and agreed to the dismissal of
the developer, Greenberg Farrow Architecture Incorporated.
The Project
Wal-Mart owns 25 acres of undeveloped land south of Tehachapi Boulevard and
east of, and adjacent to, Tucker Road (State Route 202). The land is designated for
community commercial use by City’s general plan and is zoned “C-3,” general
commercial use, under City’s zoning ordinance. Antelope Run, a natural drainage feature
2 “Guidelines” refers to the regulations promulgated to implement CEQA and set
forth in California Code of Regulations, title 14, section 15000 et seq. (§ 21083.)
3.
on the eastern boundary of Wal-Mart’s land, runs north-south and is a tributary of
Tehachapi Creek.
In July 2007, Wal-Mart applied to City for approval of the construction of a
165,000 square foot Wal-Mart Supercenter and the development of three outlots. The
outlots do not have identified uses, but are likely to become retail space and fast food
restaurants. The Supercenter, with its appurtenant structures and facilities, would offer
groceries and general retail merchandise 24 hours per day. The Supercenter would
include a garden center with an exterior customer pick-up facility and a pharmacy with a
drive-through. It also might include food service, a photo studio, a banking center, and a
vision and hearing care center.
Wal-Mart also proposed dedicating 1.45 acres of the site to City. That land is on
east side of the site and would be used for parking and would provide access to trails and
a proposed bike path along Antelope Run.
Environmental Review
In September 2007, City issued a notice of preparation of an EIR for the project.
Subsequently, City circulated a draft EIR and obtained comments from other agencies
and the public. In December 2010, City released a final EIR that included responses to
the public and agency comments.
On May 19, 2011, the city council held a public hearing on an appeal from City’s
planning commission’s certification of the EIR and approval of the project. After
receiving input from the public, the city council voted to deny the appeal, certified the
final EIR, adopted a statement of overriding considerations with findings, and approved
the project.
The next day, City filed a notice of determination, thereby starting a 30-day statute
of limitations for any CEQA action or proceeding. (§ 21167, subd. (e); Guidelines, §
15094, subd. (g); see § 21152 [notice of determination filed by local agency].)
4.
PROCEEDINGS
In June 2011, plaintiff filed a verified petition for writ of mandate challenging
City’s certification of the EIR and its approval of the project. Plaintiff alleged City
violated many CEQA provisions and the project was inconsistent with City’s general plan
and zoning ordinances.
In June 2012, the trial court determined the EIR for the Wal-Mart Supercenter on
Tucker Road was inadequate and issued a peremptory writ of mandate directing City to
(1) set aside its certification of the EIR and approval of the project and (2) take action to
ensure the EIR’s treatment of cumulative water supply impacts, cumulative off-site traffic
noise, and cumulative traffic impacts complied with CEQA.
In September 2012, City filed an initial return to the peremptory writ stating (1) it
was preparing a supplemental EIR to address the issues identified by the court and (2) its
work on the draft supplemental EIR was at an early stage.
In June 2013, a revised draft EIR was made available to the public for comment.
In November 2013, written responses to the comments were prepared and a revised final
EIR was completed. In December 2013, City’s planning commission held a public
hearing on the revised final EIR. Near the end of that public hearing, the planning
commission passed a resolution certifying the EIR.
Plaintiff appealed the planning commission’s decision to the city council. On
January 27, 2014, the city council held a special meeting and received oral testimony
relating to the revised final EIR. Before the close of that meeting, the city council denied
the appeal, certified the revised final EIR, and reapproved the project.
In October 2014, City filed a motion to discharge the writ, which Wal-Mart joined.
City and Wal-Mart contended (1) the revised analysis of cumulative impacts to the water
supply was supported by substantial evidence, (2) the findings relating to cumulative
traffic impacts were supported by substantial evidence, (3) the revised analysis of off-site
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traffic noise was legally proper, and (4) the findings that noise impacts were less than
significant were supported by substantial evidence. Plaintiff opposed the motion.
In April 2015, the trial court held a hearing on the motion. On May 5, 2015, the
trial court issued an order granting the motion to discharge the peremptory writ of
mandate. After notice of entry of the order was served, plaintiff filed a notice of appeal
from the order granting City’s motion to discharge the writ.
DISCUSSION
I. CEQA PRINCIPLES
A. Standard of Review
Appellate review in this CEQA proceeding is governed by the abuse of discretion
standard set forth in section 21168.5. Consequently, our “inquiry shall extend only to
whether there was a prejudicial abuse of discretion. Abuse of discretion is established if
the agency has not proceeded in a manner required by law or if the determination or
decision is not supported by substantial evidence.” (§ 21168.5.)
Under this abuse of discretion standard, we independently review claims that a
public agency committed legal error (i.e., did not proceed in the manner required by law)
in conducting the environmental review required by CEQA. (Vineyard Area Citizens for
Responsible Growth, Inc. v. City of Rancho Cordova (2007) 40 Cal.4th 412, 426-427
(Vineyard Area Citizens).) By comparison, we review claims that an agency committed
factual errors under the substantial evidence standard. (Id. at p. 426.)
B. Noise
1. CEQA and the Guidelines
The Legislature has specifically declared that it is the policy of California to
“[t]ake all action necessary to provide the people of this state with … freedom from
excessive noise.” (§ 21001, subd. (b).) Consequently, CEQA lists noise as one of the
physical conditions that constitute part of the “[e]nvironment.” (§ 21060.5; see
6.
Guidelines, § 15360 [“[e]nvironment” includes “ambient noise”].) CEQA does not
contain specific provisions addressing how EIR’s should analyze noise levels and
impacts—its only references to noise involve impacts from projects related to airports
and transportation. (§§ 21096, subd. (b), 21099; see Guidelines, §§ 15074, subd. (e)
[airport land use plan], 15154 [projects near airports].)
The Guidelines also adopt a general approach to noise. The Guidelines use noise
as an example of a direct physical change in the environment caused by a project.
(Guidelines, § 15064, subd. (d)(1).) They also define a significant effect on the
environment as a substantial, or potentially substantial, adverse change in ambient noise
within the area affected by the project. (Guidelines, § 15382.)
Appendix G in the Guidelines is an environmental checklist used to evaluate
project impacts. It contains questions about a number of topics such as aesthetics,
agriculture resources, air quality, biological resources, hydrology and water quality,
noise, recreation, and traffic. Two of the questions about noise ask if the project would
result in (1) exposure of persons to noise levels in excess of standards established in the
local general plan or noise ordinance, or applicable standards of other agencies and (2) a
substantial permanent increase in ambient noise levels in the project vicinity above levels
existing without the project. (Guidelines, appen. G, § XII(a) & (c).) The first question
requires the lead agency to examine local land use planning documents and noise
ordinances for specific noise standards.
2. Land Use Plans, General and Specific
Land use planning documents are a source of noise standards because the
Legislature has required local governments to address noise in their general plans. (Gov.
Code, § 65302 [required elements of a general plan].) The noise element shall (1)
identify and appraise noise problems in the community; (2) analyze and quantify, to the
extent practicable, current and projected noise levels from freeways, highways, major
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local streets, railroad operations, aircraft and airport operations, industrial plants and
other stationary noise sources; (3) show noise contours for all these sources stated in
terms of community noise equivalent level (CNEL) or day-night average sound level
(Ldn);3 and (4) include implementation measures that address existing and foreseeable
noise problems. (Id., subd. (f).) Specific plans may, but are not required to, address
noise. (Gov. Code, §§ 65451, 65452.)
CEQA cases addressing the noise impacts of a proposed project often include
references to the noise element in the applicable local land use plan. (See Mount Shasta
Bioregional Ecology Center v. County of Siskiyou (2012) 210 Cal.App.4th 184, 205
[decibel standards in noise element of general plan and in city’s noise ordinance].) In
Gray v. County of Madera (2008) 167 Cal.App.4th 1099, we referred to the noise element
in the Madera County General Plan and its 60 dBA Ldn as the maximum acceptable noise
level for residential uses affected by transportation noise. (Id. at p. 1123.) We concluded
that the EIR’s analysis of cumulative noise impacts was inadequate because the EIR did
not address whether a 2.1 dBA addition to existing noise levels, which already were in
excess of the maximum acceptable noise level, would be significant. (Ibid.)
II. TRAFFIC NOISE BASELINE
The first of plaintiff’s three claims of error contends the revised EIR’s analysis of
cumulative noise impacts is legally defective because the baseline for off-site traffic noise
substantially understated the actual amount of roadway noise. Plaintiff argues the
understatement occurred because noise measurements for residential lots were taken next
to the buildings and not taken in the front yards or at the property lines.
3 “The noise contours shall be prepared on the basis of noise monitoring or
following generally accepted noise modeling techniques for the various sources .…”
(Gov. Code, § 65302, subd. (f)(2).) “The noise contours shall be used as a guide for
establishing a pattern of land uses in the land use element that minimizes the exposure of
community residents to excessive noise.” (Id., subd. (f)(3).)
8.
A. Revised EIR’s Approach
The revised draft EIR contained a section addressing operational off-site traffic
noise. That section’s description of the environmental setting4 included seven paragraphs
under the heading “Traffic Noise Analysis Methodology.” (Boldface omitted.) After
stating that estimates of traffic noise levels could be based on mathematical models,
measurements, or both, the revised draft EIR stated that City had elected to acquire actual
measurements. It also stated: “Existing ambient daytime noise levels were measured at
representative residential receptor locations along the study area roadway segments.”
Next, it described the equipment and methodology used to obtain noise measurements.
The “representative residential receptor locations” were nine roadway segments in
residential areas. The revised draft EIR’s description of those locations included the
street address and where the sound meter was placed on each property. For instance, at
Tucker Road south of Valley Boulevard, “[n]oise levels were measured within the front
landscaping of the apartment complex at a distance of approximately 66 feet from the
centerline of Tucker Road,” which was the approximate distance between the road’s
centerline and the nearest unit. For a residential property on Red Apple Avenue west of
Tucker Road, the revised draft EIR stated noise levels were measured within the
driveway of the home and also stated:
“This home is located approximately 67 feet from the centerline of Red
Apple Avenue and is the closest home along this roadway segment to the
roadway centerline. The sound level meter was set up at roughly the same
distance to the roadway as the residential structure. The primary source of
noise at this location was traffic on Red Apple Avenue. A total of 172
4 Normally, the environmental setting (i.e., the physical environmental conditions
existing in the vicinity of the project when the notice of preparation or environmental
analysis is commenced) constitutes “the baseline physical conditions by which a lead
agency determines whether an impact is significant.” (Guidelines, § 15125, subd. (a).)
9.
vehicles drove along this roadway segment during the 20-minute noise
level measurement period.”5
In contrast to the place where the readings were taken on the foregoing properties,
the noise measurements at a residence on Tucker Road north of Tehachapi Boulevard
were taken “to the immediate east of the property fence at a distance of approximately
143 feet from the centerline of Tucker Road.” At another location, noise levels were
measured within the public right-of-way immediately in front of the home. Thus, some
measurements were taken near the residential buildings and some were taken closer to the
roadway.6 The average daily noise levels for the roadway segments were presented in
Table IV.I-2 of the revised draft EIR and used as the baseline noise levels.
B. Noise Element in an Applicable Land Use Plan
The revised draft EIR describes the federal, state and local regulatory framework
applicable to noise. One component of local noise regulation applicable to the project
site is contained in the County of Kern’s Greater Tehachapi Area Specific and
Community Plan adopted November 2010 (GTA Plan). The GTA Plan includes a noise
element with goals and policies. The policy relevant to this appeal provides:
“Policy NOI.2: Use good land use planning principles to reduce conflicts
related to noise emissions and require noise compatibility between existing
and future development according to the County’s noise standards.
Effective mitigation measures will be incorporated into project design if
required. Mitigation shall be designed to reduce noise levels to the
5 Plaintiff’s expert asserted that “the Street View function of Google Maps clearly
shows a picnic table in the front of this residence at a distance of approximately 50’ from
the roadway. It is inappropriate for environmental analysts to make assumptions about
where and in what manner people enjoy their own property. This is, we believe, a
primary reason why the vast majority of noise regulations apply unambiguously at the
property line.”
6 Plaintiff does not challenge all the measurement locations. It argues that “there is
no factual dispute that four of the nine locations sampled did in fact contain outdoor
activity areas located in front yards, closer to the roadway noise sources than the building
facades.”
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County’s required levels of 65 dBA Ldn in outdoor activity areas and 45
dBA Ldn or less within interior living spaces or other noise-sensitive interior
spaces. The Plan does not adopt a standard for land uses that are not noise-
sensitive.”7 (Italics added.)
Plaintiff’s claim of error relates to the interpretation and application of the policy’s
phrase “outdoor activity areas.”
C. Contentions of the Parties
Plaintiff’s comments to the revised draft EIR set forth its argument about the
proper location for noise measurements. Plaintiff asserted that noise should be measured
at the residential property line rather than building facades because the intent of the
exterior noise standards—particularly the GTA Plan’s standard for “outdoor activity
areas”—was to protect outdoor uses, not just conversations and activity next to the
building. In plaintiff’s view, City’s choice of measurement locations caused an
underreporting of existing noise levels in outdoor activity areas, which resulted in an
underreporting of noise impacts.
City disagreed with plaintiff’s comment as to the correct place for taking noise
measurements and responded in the revised final EIR as follows:
“Outdoor activity areas are normally located near or adjacent to the main
residential building and are areas where people expect to congregate for
conversation. Outdoor activity areas for single-family residential uses are
typically represented by back yards or the building setback. Outdoor
activity areas for multi-family uses are typically private patios greater than
6 feet in depth and common areas for congregating. The property line of
residential properties adjacent to roadways is not considered to be an
outdoor living environment. For the most part, the locations that were
selected for measurement are representative of the nearest outdoor living
environment of the uses along the study area roadways. There were a few
instances where the EIR consultant was not able to access a residential
property for measurement.”
7 The revised EIR describes noise levels using CNEL or day-night average levels
(stated in decibels), which is how noise contours in the noise element of general plan are
stated. (Gov. Code, § 65302, subd. (f)(2).) (See fn. 3 and accompanying text, ante.)
11.
Plaintiff does not dispute the accuracy of the data collected and reported in the
revised draft EIR, but “challenges the data’s legal relevance as environmental baseline
information. Noise levels measured at locations farther [a]way from the noise source
than the impacted outdoor activity areas simply do not—and cannot—accurately
represent pre-Project noise levels in these same activity areas.”
D. Choice of Methodologies
The dispute over the locations used for taking noise measurements could be
viewed as a dispute over methodology. Appellate courts in California have held for over
two decades that a lead agency’s choice of methodology for studying an impact is subject
to judicial review under the substantial evidence test. (City of Long Beach v. Los Angeles
Unified School Dist. (2009) 176 Cal.App.4th 889, 898; San Joaquin Raptor Rescue
Center v. County of Merced (2007) 149 Cal.App.4th 645, 654; Bakersfield Citizens for
Local Control v. City of Bakersfield (2004) 124 Cal.App.4th 1184, 1198; Barthelemy v.
Chino Basin Mun. Water Dist. (1995) 38 Cal.App.4th 1609, 1620.) This general
principle, however, is subject to an exception. The deferential substantial evidence test
does not apply when the agency has applied an erroneous legal standard in making its
choice of methodologies. (Federation of Hillside & Canyon Associations v. City of Los
Angeles (2000) 83 Cal.App.4th 1252, 1259; see § 21168.5 [abuse of discretion if “agency
has not proceeded in a manner required by law”].)
In this case, plaintiff contends that City has misconstrued plaintiff’s arguments
relating to baseline noise measurements as a dispute over methodology. We accept
plaintiff’s assertion that it is not challenging the methodology used by City to establish a
baseline and analyze the project’s noise impacts. A litigant controls the nature of the
arguments its presents and we will not construe plaintiff’s argument to be something that
it has explicitly renounced.
12.
E. Identification of Outdoor Activity Areas Is a Question of Fact
Plaintiff’s reply brief states that it “argues only that baseline information should
have been presented for the actual outdoor activity areas most likely to be affected by
roadway noise generated by this Project.” Plaintiff contends the property line is the most
conservative location and its noise expert, Derek Watry, explained that “most local noise
regulations generally do apply at the property line in order to ensure that all outdoor
activity areas are protected.” Based on these contentions, plaintiff concludes that “City’s
choice to depart from this norm in the current case was materially prejudicial,” as shown
by Watry’s analysis of an outdoor activity area located 99 feet from the road where City’s
measurement was taken 116 feet from the road.
Our analysis of the proper identification of “outdoor activity areas” as that phrase
is used in the noise element of the GTA Plan begins with the fundamental question of
whether the determination of what constitutes an outdoor activity area is a question of
law or a question of fact. We conclude it is a question of fact. As such, City’s
identification of the outdoor activity areas is subject to review under the deferential
substantial evidence test. (See Vineyard Area Citizens, supra, 40 Cal.4th at p. 426 [claim
that an agency committed factual error is reviewed under the substantial evidence
standard]; § 21168.5 [abuse of discretion occurs if the agency’s determination is not
supported by substantial evidence].)
The first reason for concluding that the identification of an outdoor activity area
for purposes of defining an environmental baseline presents a factual question is the lack
of a definition in the GTA Plan. For example, the GTA Plan does not state that an
“outdoor activity area” is (1) all ground within a residential lot’s boundaries that is not
occupied by a building or (2) where the residents gather for more than a specified number
of hours over the course of a week, month or year. Furthermore, we have located, and
plaintiff has cited, no law, regulation, ordinance or other planning document that defines
the phrase. Consequently, plaintiff has not convinced this court that the identification of
13.
an outdoor activity area is a question of law that can be resolved by the mechanical
application of a clear cut legal definition, such as a definition stating that an activity area
begins at the property line.
The second reason for concluding that the identification of an outdoor activity area
presents a factual question is revealed in the wording of plaintiff’s argument. Plaintiff
refers to what “most local noise regulations generally do” and “this norm.” The words
“most,” “generally” and “norm” do not demonstrate that a legal standard is being applied
to determine where to measure the noise experienced by an outdoor activity area. Under
CEQA, an agency commits legal error when it “has not proceeded in a manner required
by law.” (§ 21168.5.) Plaintiff has cited no authority for the principle that City was
“required by law” to do what most local noise ordinances generally do or that a “norm” is
a “law” for purposes of section 21168.5. Consequently, we reject plaintiff’s argument
that City committed a legal error in choosing where to take the noise measurements on
residential lots.
The third reason for concluding that the identification of an outdoor activity area
presents a factual question relates to plaintiff’s reliance on an expert. Plaintiff’s expert
Watry disagreed with the approach taken by Michael Brown of Cadence Environmental
Consultants. This disagreement tends to show (but does not necessarily establish) that
the controversy involves a question of fact rather than a question of law. Generally,
CEQA regards the opinion of an expert supported by fact as “substantial evidence” for
purposes of applying the substantial evidence test. In particular, section 21080,
subdivision (e)(1) states that, for purposes of CEQA, “substantial evidence includes …
expert opinion supported by fact.” (See § 21082.2, subd. (c); Guidelines, § 15384, subd.
(b) [definition of substantial evidence].) The factual nature of matters addressed by
experts is reflected in Guidelines section 15151, which states: “Disagreement among
experts does not make an EIR inadequate, but the EIR should summarize the main points
of disagreement among the experts.” Consequently, we conclude that each side’s
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reliance on an expert provides additional support for our determination that the
identification of an outdoor activity area is a question of fact.
F. Substantial Evidence and Factual Error
Plaintiff’s attempt to establish reversible error was based on “whether the baseline
noise data obtained from these sampling locations provide a legally adequate description
of the environmental baseline for purposes of CEQA.” Plaintiff’s contentions were not
presented as a factual dispute. Accordingly, plaintiff did not develop the argument that
City’s choice of location for taking noise measurements was not supported by substantial
evidence. Therefore, we need not describe in detail the evidence presented and explain
why it constitutes substantial evidence supporting City’s choice of locations for taking
noise measurements.
III. HOTELS: RESIDENTIAL OR COMMERCIAL LAND USE
A. Contentions of the Parties
1. Plaintiff’s Contentions
Plaintiff contends the revised EIR (1) improperly evaluated the cumulative noise
impacts to occupants of two hotels located along affected roadways and (2) erroneously
concluded the project would cause no significant cumulative noise impact at those
locations. Plaintiff argues that a hotel is a noise-sensitive use because people sleep there
and, accordingly, City was required to apply the standards for residential noise levels to
the two hotels in question. In plaintiff’s view, “City’s decision to classify the hotels as
non-residential uses was prejudicial error” because it lead to the application of the more
lenient noise standards for commercial uses and a determination of no significant
environmental effect.
2. City’s Contentions
City contends plaintiff has not accurately described the EIR’s analysis of the
impacts of traffic noise at the hotels in question. City contends the EIR discussed
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cumulative traffic noise impacts to the hotels from two perspectives. First, the EIR
analyzed the noise impacts as though the hotels were a noise sensitive land use. Second
and alternatively, the EIR analyzed the locations as though they were commercial areas
not sensitive to noise. Under either scenario, the EIR concluded that the cumulative
traffic noise impact would be less than significant. City also contends the alternate
analysis of the hotels as commercial uses was appropriate because the question of noise
sensitivity is a question of fact and a finding that the hotels were not noise sensitive is
supported by substantial evidence.
B. Discussion in the EIR
The EIR examined traffic noise at 13 off-site locations in the vicinity of the
proposed Wal-Mart Supercenter. Four of the 13 roadway segments were in commercial
areas, two of which included hotels. The roadway segments with a hotel were (1)
Tehachapi Boulevard west of Mill Street and (2) Mulberry Street south of Tehachapi
Boulevard. The EIR analyzed the project’s noise impact at these and the other off-site
locations and the cumulative noise impact at those locations of the project and reasonable
foreseeable future projects.
The EIR’s discussion of the project’s impacts on traffic noise at the two road
segments where the hotels were located stated:
“Although Tehachapi Blvd., west of Mill Street, and Mulberrry Street south
of Tehachapi Blvd., are commercial roadways, they each include a hotel,
which may be considered a noise-sensitive use because people sleep there.
As previously explained, train noise is the dominant noise source at these
locations. Although baseline noise at both locations exceeds the standard
for noise-sensitive uses, the incremental increase in total exterior noise
caused by the project would be 0.1 dBA at the first location, and none at the
second. Under the substantial/excessive criteria for noise-sensitive uses,
the project’s impact on Mulberry Street south of Tehachapi Blvd. would be
nonexistent, and its impact on Tehachapi Blvd. west of Mill Street would
result in an imperceptible increase in total acoustical energy, which would
not cause persons to be exposed to excessive noise levels or represent a
substantial increase in noise. Thus, if these roadways were analyzed as
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noise-sensitive, the project’s impact would be less than significant. If they
were analyzed as purely non-noise-sensitive uses, the applicable standard
of 70 dBA would not be exceeded, even with the addition of the project, and
neither would the applicable substantial/excessive criteria. The project’s
impact on these roadways would thus be less than significant.” (Italics
added.)
Much of the foregoing discussion was repeated in the EIR’s discussion of the
cumulative impact of the project and 14 other projects on traffic noise:
“As previously explained, although Tehachapi Blvd. west of Mill Street,
and Mulberrry Street south of Tehachapi Blvd. are commercial roadways,
they each include a hotel, which may be considered a noise-sensitive use
because people sleep there. Train noise is the dominant noise source at
these locations. Although baseline noise at both locations exceeds the
standard for noise-sensitive uses, the cumulative incremental increase in
total noise would be 0.4 dBA at the first location and none at the second,
which do not exceed the substantial/excessive criteria. Thus, if these
roadways were analyzed as noise-sensitive, the cumulative traffic noise
impact would be less than significant. If they were analyzed as purely non-
noise-sensitive uses, neither the applicable standard of 70 dBA nor the
substantial/excessive criteria applicable to non-noise-sensitive uses would
be exceeded. The cumulative traffic noise impact on these roadways would
thus be less than significant.”
Earlier in the EIR, City identified thresholds of significance of cumulative traffic
noise impacts based on whether the land was noise-sensitive or not sensitive to noise.
For noise-sensitive land uses, the cumulative impact would be regarded as significant if
(1) it pushed total traffic noise above the 65 dBA CNEL threshold or (2) the incremental
increase in traffic noise caused by the cumulative projects would be substantial or
excessive under a sliding scale criteria. Under that sliding scale, an increase of 1.5 dBA
would be regarded as substantial or excessive if the baseline exterior noise was between
60 and 65 dBA. In comparison, the cumulative impact would be regarded as significant
for land uses not sensitive to noise if it pushed the total traffic noise above the 70 dBA
threshold or the combined increase in noise level was 5 dBA or more.
The final EIR included the public’s comments to the revised draft EIR and City’s
responses to those comments. City’s responses addressing traffic noise impacts treated
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the two road segments with hotels as commercial uses, rather than continuing to use the
either-or approach of the revised draft EIR.
C. No Explicit Legal Requirements for Classifying Hotels
Our first task is to identify any legal requirements that applied to City’s analysis of
the impacts of noise on the hotels. Those legal requirements are essential to deciding
whether or not City has “proceeded in a manner required by law” for purposes of section
21168.5 when it analyzed the cumulative impact of traffic noise. (See Vineyard Area
Citizens, supra, 40 Cal.4th at pp. 426-427; see generally, Code Civ. Proc., §§ 1896
[written laws defined], 1899 [unwritten law defined].)
Plaintiff has not identified any statute, regulation, published opinion, general plan,
specific plan or zoning ordinance that explicitly required City to proceed with its
evaluation of noise impacts by (1) classifying hotels as residences and (2) applying the
standards for residential uses to the hotels.8
D. General Requirement for an Internally Consistent Analysis
1. General Principles
Plaintiff’s claim of error seems to be based on the idea that CEQA requires an
EIR’s discussion of an environmental impact to be internally consistent. Guidelines
section 15130, subdivision (b) requires an EIR’s discussion of cumulative impacts to “be
guided by the standards of practicality and reasonableness.” We interpret this
reasonableness standard to mean that a discussion of cumulative impacts should be
internally consistent. Consequently, we consider whether the revised EIR has analyzed
the noise impact at hotel locations in an internally inconsistent manner.
8 We note that state regulations addressing noise problems in communities
surrounding airports treat residences as an incompatible land use within an airport’s noise
impact area, but do not list hotels or motels among the incompatible land uses. (Cal.
Code Regs., tit. 21, § 5014; see Cal. Code Regs., tit. 21, §§ 5010 [purpose of regulations],
5012 [airport noise standard].) Thus, the state regulations provide an example of a law
that treats residences and hotels differently for purposes of acceptable noise levels.
18.
2. Contentions Relating to the Proper Interpretation of the EIR
Plaintiff interprets the revised EIR as an acknowledgement by City “that hotels are
noise-sensitive land uses.” Based on this interpretation, plaintiff argues that the revised
EIR’s analysis of the noise impacts at the hotels “should have applied the more stringent
criteria applicable to noise-sensitive land uses.”
City disagrees with plaintiff’s interpretation and contends the EIR’s statement that
a hotel “may be considered a noise-sensitive use because people sleep there” is not an
admission or finding that hotels are noise-sensitive uses. City argues plaintiff’s
interpretation is contradicted by the totality of the traffic noise analysis in the EIR, which
discussed the roadway segments with hotels as commercial uses that were not sensitive to
noise while also examining them as if they were noise-sensitive uses. City contends the
revised draft EIR’s either-or approach was not internally inconsistent and actually
provided the decisionmakers and the public with more information.
Plaintiff’s reply brief addresses City’s argument about the EIR’s use of the word
“may” instead of “are” in the statement that a hotel “may be considered a noise-sensitive
use.” Plaintiff argues (1) City’s interpretation of the word “may” is a disingenuous post
hoc parsing of the EIR’s language; (2) the EIR never stated that hotels were not noise-
sensitive uses; and (3) any reasonable member of the public reading the EIR “would
conclude that the City was treating hotels as noise-sensitive uses ‘because people sleep
there.’” The logic underlying plaintiff’s argument is that City found hotels were a noise-
sensitive use and, therefore, was obligated by the need for internal consistency to apply
the standards for noise-sensitive uses.
3. Interpreting the EIR
We reject plaintiff’s interpretation of the EIR’s statement that a hotel “may be
considered a noise-sensitive use.” We conclude this statement communicated the idea
that City had not made a definitive finding that the hotels in question were noise-sensitive
uses.
19.
First, the dictionary definition of the verb “may” is might or “be in some degree
likely to.” (Webster’s 3d New Internat. Dict. (1993) p. 1396.) Thus, under its usual
meaning, the word “may” is not the equivalent of “are.” (See Wasatch Property
Management v. Degrate (2005) 35 Cal.4th 1111, 1121-1122 [courts may refer a word’s
dictionary definition to ascertain its ordinary, usual meaning].)
Second, the use of the word “considered” in the phrase “may be considered”
further indicates that the question being discussed was not fully resolved and the EIR
simply identified one possibility. A comparison of the phrases “hotels may be
considered” and “hotels are” a noise-sensitive use illustrates that “may be considered” is
an improbable choice for a drafter trying to inform readers that a definitive resolution of
the question of noise sensitivity has been made.
Third, a basic rule of interpreting written documents is that words or provisions
should be read in context, not in isolation. (E.g., City of Dinuba v. County of Tulare
(2007) 41 Cal.4th 859, 865 [pleading must be interpreted as a whole and its parts in
context]; Bank of the West v. Superior Court (1992) 2 Cal.4th 1254, 1265 [contractual
language must be interpreted in the context of the instrument as a whole]; POET, LLC v.
State Air Resources Bd. (2013) 218 Cal.App.4th 681, 749 [words of statute must be
construed in the context of the entire statutory scheme].) Here, the context for the phrase
“may be considered a noise-sensitive use” is established later in the paragraph where the
EIR analyzes the roadway segments with hotels as containing noise-sensitive uses and,
alternatively, as containing “non-noise-sensitive uses.” This discussion of alternatives
demonstrates the EIR’s drafters did not intend to make a definitive finding that hotels
were a noise-sensitive use, but intended to address both possibilities. Consequently, we
interpret the EIR as not determining, acknowledging or finding that the hotels in question
were noise-sensitive uses. Instead, the EIR merely acknowledged that it was possible to
consider them as such.
20.
Plaintiff’s argument that City failed to “proceed[] in a manner required by law” (§
21168.5) in discussing the cumulative impact of traffic noise on the hotels was based on
its interpretation of the revised draft EIR as finding that hotels were noise sensitive uses.
Our rejection of that interpretation means the remainder of plaintiff’s line of argument
fails. Accordingly, we need not address its subsequent components.
IV. DETERMINING WHEN AN EFFECT IS CUMULATIVELY CONSIDERABLE
A. Overview of Cumulative Impact Analysis
1. Two Fundamental Questions
When a public agency is preparing the section of an EIR that addresses a particular
cumulative impact, the contents of the EIR’s discussion will be shaped by how the public
agency answers two fundamental questions. The first question concerns the big picture—
specifically, whether the cumulative impact is significant. The second question addresses
a smaller picture—that is, whether “the project’s incremental effect is cumulatively
considerable.” (Guidelines, § 15130, subd. (a); see § 21083, subd. (b).)9
2. City’s Determinations of Those Questions
As to the first question, City determined that the cumulative noise impacts at eight
residential locations were significant. The parties do not dispute this determination.
As to the second fundamental question, City determined that the project’s
incremental contribution to the cumulative noise impacts was not “cumulatively
9 The statutory definition is rudimentary, stating that “‘cumulatively considerable’
means that the incremental effects of an individual project are considerable when viewed
in connection with the effects of past projects, the effects of other current projects, and
the effects of probable future projects.” (§ 21083, subd. (b)(2).)
The regulatory definition is nearly identical: “‘Cumulatively considerable’ means
that the incremental effects of an individual project are significant when viewed in
connection with the effects of past projects, the effects of other current projects, and the
effects of probable future projects.” (Guidelines, § 15065, subd. (a)(3), italics added.)
The word “significant” is italicized in this quote because it differs from the statute, which
uses the word “considerable.”
21.
considerable” for purposes of CEQA. In plain English, City decided the project’s
incremental noise contribution to the larger noise impact was unimportant.
City’s not-cumulatively-considerable decision had practical consequences
affecting the contents of the revised EIR. First, the revised EIR was not required to
include the more extensive discussion required when a project’s incremental effect makes
a cumulatively considerable contribution to a significant cumulative impact. (See
Guidelines, § 15130, subd. (b)(1)-(5).) Second, the revised EIR was not required to
discuss feasible mitigation measures that would reduce the project’s incremental noise
contribution or the cumulative noise impact. (Guidelines, § 15130, subd. (a)(3).)
Plaintiff contends City erred in determining that the project’s incremental
contribution to the significant cumulative noise impacts was not “cumulatively
considerable”—that is, was not important enough to merit a detailed discussion and the
consideration of mitigation measures. Plaintiff argues City used an erroneous test or
standard to determine whether the project’s incremental noise contribution was
“considerable.”
Our approach to plaintiff’s claim of error is to describe the sequence of steps taken
by City in its analysis of the noise impacts and to identify the rules of law that govern the
steps where plaintiff contends an error was committed. Under this approach, an overview
of the legal principles governing cumulative impacts is not provided. Instead, this
unpublished opinion focuses on the rules of law that apply to the disputes raised by the
parties.
B. City’s Discussion of Noise Impacts
The specific arguments presented by plaintiff refer to the thresholds of
significance used by City to determine whether the project-specific noise impacts and
cumulative impacts were significant. Consequently, our description of the steps taken by
22.
City in its analysis of the noise impacts begins with its adoption of thresholds of
significance.
1. City’s Initial Approach to Thresholds of Significance for Noise
The original EIR concluded that an increase in noise level of more than 5 dbA is
readily noticeable and, therefore, is significant. It also concluded that an increase of less
than 5 dBA is not significant. The trial court concluded this unrefined approach to
thresholds of significance was legally inadequate and required the EIR to be revised.
2. Revised EIR’s Approach to Thresholds of Significance
In response to the trial court’s ruling, City adopted thresholds that analyzed
smaller cumulative noise impacts and did not regard every increase under 5 dBA as less
than significant. For noise-sensitive (e.g., residential) uses, the revised EIR adopted two
separate tests for significance.
The first test was a relatively simple test. It considered whether the cumulative
increase caused the threshold of 65 dBA to be exceeded. If the baseline noise level was
below the threshold of 65 dBA, and adding the noise predicted to be generated by the
project and 14 other projects caused the total predicted noise level to exceed 65 dBA, the
cumulative increase was deemed to be a significant environmental impact. For example,
the baseline noise level for the roadway segment of Tucker Road north of Conway
Avenue was 63.6 dBA. The combined projects, including the Wal-Mart Supercenter,
were predicted to increase the noise level to 65.4 dBA. This increase, which the revised
EIR described as 1.9 dBA because of rounding, caused the 65 dBA threshold to be
exceeded and, thus, was deemed a significant cumulative impact.
The second, more intricate test was designed to address increases that did not push
the predicted future noise level above the 65 dBA threshold, either because the baseline
noise level already was above the 65 dBA threshold or, alternatively, because the
predicted future noise level was less than the 65 dBA threshold. The latter situation is
23.
illustrated by the roadway segment at Curry Street south of Valley Boulevard, where the
baseline noise level was 61.8 dBA and the predicted future noise level with all future
projects was 64.4 dBA. The former situation is illustrated by the roadway segment at
Valley Boulevard west of Curry Street, where the baseline noise level was 71.0 dBA and
the predicted future noise level was 73.4 dBA. These increases, because of rounding,
were described as 2.7 and 2.5, respectively, in the revised EIR and were deemed to be
significant cumulative impacts.
The second test is more intricate because it has a stair-step structure derived from
a sliding scale contained in the Federal Transit Administration’s (FTA) 2006 manual
entitled “Transit Noise and Vibration Impact Assessment.” The fundamental idea
underlying the FTA’s sliding scale is that the higher the level of baseline noise, the
smaller the noise increase needed to cause a significant impact. In other words, the
significance determination reflects an inverse relationship between the baseline noise
level and the noise increase. The revised EIR described the sliding scale in its text,
depicted it graphically in Figure IV.I-2. The vertical axis of the graph indicated the noise
exposure increase in a range from zero to 20 decibels. The horizontal axis of the graph
indicated the existing noise exposure in a range from 40 to 80 decibels. The graph was
divided into three regions by two curves. The upper region was labeled “Severe impact,”
the middle region was labeled “Moderate impact,” and the lower region was labeled “No
impact.” For example, an increase in noise exposure of 15 to 20 decibels fell within the
severe-impact region for all existing noise levels shown on the graph. In contrast, an
increase in noise exposure of 5 decibels or less for existing noise levels of 40 to 50
decibels fell within the no-impact region. An increase of 5 decibels for an existing noise
level of 60 decibels fell on the curve dividing moderate impacts from severe impacts.
City used the curve dividing the moderate-impact region from the no-impact
region of the graph as the basis for its stair-step thresholds of significance for noise
24.
increases. Those thresholds were applied to both project-specific and cumulative noise
impacts and treated the following increases as substantial/excessive (i.e., significant):
(1) 3 or more dBA when the baseline noise level was 56 dBA or
more, but less than 60 dBA;
(2) 2 or more dBA when the baseline noise level was 60 dBA or
more, but less than 65 dBA;
(3) 1.5 or more dBA when the baseline noise level was 65 dBA or
more, but less than 72 dBA; and
(4) an increase of 1.0 or more dBA when the baseline noise level
was 72 dBA or more, but less than 75 dBA.
Additional steps were not needed because the baseline noise levels under
consideration did not exceed 71.0 dBA.
Application of the foregoing thresholds of significance required City to determine
a baseline noise level for each residential location under consideration—a process
describe in part II of this opinion. In addition, City was required to predict the increase in
noise level that would occur at each location as a result of the project and as a result of
the other present projects and reasonably foreseeable future projects. Each prediction
was then compared to the applicable threshold of significance to determine whether the
project-level or cumulative increase was significant.
As previously noted, City answered the first fundamental question about
cumulative noise impacts by determining that the predicted cumulative impacts at eight
residential locations were significant, despite the project-specific increase at those
locations being insignificant.
3. Revised EIR’s Approach to Cumulatively Considerable
Based on the findings that there would be significant cumulative noise impacts,
City was required to proceed to the second fundamental question and determine whether
the project’s incremental noise contribution to those impacts was “cumulatively
25.
considerable.” (§ 21083, subd. (b)(2); Guidelines, §§ 15130, 15355.) City’s
determination of this question involved three steps. First, it adopted a test for what
constituted a cumulatively considerable incremental increase. Like the thresholds of
significance, the test was inversely related to level of baseline noise. Thus, the higher the
level of baseline noise, the smaller the incremental contribution needed to be deemed
cumulatively considerable. Second, City compared (1) the noise level predicted by
adding the noise generated by the project and all other present and reasonably foreseeable
projects to the existing baseline to (2) the noise level predicted by adding the noise from
the other projects to the existing baseline. This comparison showed how much of the
cumulative impact could be attributed to the project’s incremental contribution. Third,
the test adopted in the first test was applied to the project’s share of the cumulative
impact determined by the second step. The test result determined whether the project’s
incremental contribution was “considerable” and, thus, triggered further disclosure
requirements and the discussion of feasible mitigation measures. Under this method of
analysis, the revised EIR concluded that the project’s incremental noise effects at the
eight residential locations were not cumulatively considerable.
C. Analysis of Plaintiff’s Four Arguments
Plaintiff’s reply brief asserts there are four elements in its challenge to City’s
determination that the project’s incremental noise impacts were not important—that is,
were not “cumulatively considerable” for purposes of CEQA. These elements all relate
to the test City adopted for determining what constituted a cumulatively considerable
incremental increase. Summarized in general terms, plaintiff contends City erroneously
used the same “substantial increase” standard as the significance threshold for the
project’s individual impacts and as the test for whether its incremental contribution to a
significant cumulative noise impact was considerable.
26.
1. Application of the Same Thresholds as Sole Criteria
Plaintiff’s first specific argument asserts that the revised EIR “used the same FTA
manual thresholds as the sole criteri[on] to determine both whether there [was] a
significant Project-specific noise impact and whether the Project makes a considerable
contribution to the acknowledge[d] significant cumulative impacts.”
City argues that (1) the standards adopted were not the same and (2) it referred to
the FTA methodology to assist its determination, not as the sole criterion for whether the
incremental noise impacts were cumulatively considerable. City contends the standards
were not the same because its stair-step approach to thresholds of significance was
derived from the FTA’s sliding scale, while the test it used for whether a contribution was
cumulatively considerable “applied the FTA’s noise impact criteria, without
modification, to a new base consisting of baseline and cumulative traffic noise other than
the noise caused by the project.” In short, the two differences identified by City are a
slightly different scale involving a smooth curve instead of stair-steps and a slightly
different starting point (i.e., the existing baseline versus the existing baseline increased by
the cumulative impact of the other projects without the Wal-Mart Supercenter).
City also rebuts the argument that the same standards were used by referring to a
memorandum prepared by its noise expert, Michael Brown. Brown used the data for
Tucker Road north of Conway Avenue to construct a hypothetical showing the standards
were different. For that location, the applicable stair-step threshold of significance was a
2.0 dBA increase, because the baseline of 63.6 dBA fell between 60 and 65 dBA. Brown
concluded that a contribution equating to 1.5 dBA was required to meet the standard
adopted for a cumulatively considerable contribution, where the baseline plus the other
projects equaled 64.7 dBA. Plaintiff disputed this point because its expert Watry
contradicts Brown’s analysis.
We conclude that Brown’s calculations are an expert opinion supported by facts
and, therefore, constitute substantial evidence for the conclusion that the standards were
27.
not the same. (Guidelines, § 15384, subd. (b) [definition of substantial evidence].) The
disagreement between Brown and Watry, like disagreements among experts in general,
does not make the EIR inadequate. (Guidelines, § 15151.)10
Based on our review of the revised final EIR and the Brown memorandum, we
conclude that City did not use the same standard as (1) the threshold of significance and
(2) the test for determining whether the project’s incremental contribution to a significant
cumulative impact was “cumulatively considerable.” Both standards were based on the
FTA methodology, but were not identical. There are two clear differences. First, the
thresholds of significance were the only standards that were stair-stepped. Second, the
starting number (baseline) for the calculations were not the same.
Furthermore, the response to comments contained in the revised final EIR states
that the FTA’s no-impact classification was used to assist the analysis of whether the
project’s effect was cumulatively considerable, thus implying that the FTA’s
classification was not the sole criterion considered. We accept the EIR’s description of
the reasoning process used even though the same results would have been reached if the
FTA’s classification was used as the exclusive criterion for determining whether a
contribution was cumulatively considerable.
10 We also note that in comparing the two standards used in Brown’s hypothetical, it
appears City would have concluded an incremental contribution to a significant
cumulative impact of 2.0 dBA was “cumulatively considerable” only if it contributed 75
percent or more to that cumulative impact. Brown’s memorandum stated: “Using a
percentage methodology to determine a considerable contribution to a significant
cumulative impact such as the one discussed by the commenter is difficult because
people could argue about what the threshold percentage should be.” This shallow
observation provides no useful information to the reader because the act of establishing
any threshold or standard involves line-drawing and people could argue about where the
line should be drawn even when it is not based on a percentage. Thus, the observation
about the possibility of argument is not a rational basis for distinguishing a percentage
test from other types of tests. More importantly, as shown by the first sentence in this
footnote, a percentage can be calculated once the data from another type of test is
available. Here, a percentage is inherent in the standards adopted by City.
28.
Therefore, we conclude that plaintiff has failed to demonstrate that the same
standards were, in fact, used for the two inquiries. As a result of this failure, we reject the
first element or argument of plaintiff’s claim that City erred in its analysis of whether the
project’s incremental effect was cumulatively considerable.
2. Analysis of a Cumulatively Considerable Effect—Reasonableness
As its second argument, plaintiff contends that the use of the same FTA standards
for adopting thresholds of significance and determining whether the project’s incremental
noise impacts were cumulatively considerable rendered the analysis redundant and
essentially meaningless. City urges us to construe this argument literally and conclude it
fails because its factual foundation that the same standards were used is not accurate. We
will not strictly construe plaintiff’s argument that the “cumulatively considerable”
analysis performed was essentially meaningless. Instead, we interpret the argument that
the analysis was essentially meaningless as inherently including the position that the
revised EIR’s analysis was unreasonable.
This reasonableness standard is based on the following interpretation of
Guidelines section 15130. Subdivision (b) of Guidelines section 15130 identifies the
“elements … necessary to an adequate discussion of significant cumulative impacts.”
Those necessary elements do not address the point at which a project’s individually
minor contribution to a significant cumulative impact becomes cumulatively
considerable. (Guidelines, § 15130, subd. (b)(1)-(5).) However, the last element requires
“[a] reasonable analysis of the cumulative impacts of the relevant projects.” (Guidelines,
§ 15130, subd. (b)(5).) This reference to a reasonable analysis reiterates the language in
the lead-in to the element that states: “The discussion should be guided by standards of
practicality and reasonableness.” (Guidelines, § 15130, subd. (b).) We construe these
provisions to mean that the EIR must contain a reasonable analysis of whether the
project’s incremental effect is cumulatively considerable. Consequently, the EIR’s brief
29.
description of the “basis for concluding that the incremental effect is not cumulatively
considerable” must be reasonable. (Guidelines, § 15130, subd. (a).) If the basis for the
conclusion is unreasonable, the agency has violated the Guidelines and, thus, “has not
proceeded in a manner required by law” for purposes of the abuse of discretion standard
set forth in section 21168.5.
Our conclusion that the reasonableness requirement from Guidelines section
15130 applies leads to the question of whether the reasonableness determination involves
a question of fact or a question of law. This distinction is important for determining the
applicable standard of review, because under CEQA claims of legal error are subject to
independent review and claims of factual error are subject to the substantial evidence
standard. (Vineyard Area Citizens, supra, 40 Cal.4th at pp. 426-427.)
As a general rule, California law regards the question of reasonableness as an issue
of fact. For example, whether a party’s conduct satisfies the standard of reasonable care
applied in a negligence case is a question of fact, even though it sometimes is capable of
being decided as a matter of law. (See Lugtu v. California Highway Patrol (2001) 26
Cal.4th 703, 722-724 [summary judgment reversed because trial court erred in finding as
a matter of law that defendant was not negligent].) The question of reasonableness also is
a question of fact in other contexts. (Wilson v. 21st Century Ins. Co. (2007) 42 Cal.4th
713, 724 [insurance company entitled to summary judgment when it is undisputed that
the basis for its denial of the insured’s claim was reasonable]; Pioneer Electronics (USA),
Inc. v. Superior Court (2007) 40 Cal.4th 360, 370 [invasion of a reasonable expectation
of privacy is a mixed question of law and fact that may be resolved as a matter of law
when the material facts are undisputed]; Grisham v. Philip Morris U.S.A., Inc. (2007) 40
Cal.4th 623, 637 [in fraud case, the reasonableness of plaintiff’s reliance is a question of
fact for the jury, but may be decided as a matter of law where the facts permit reasonable
minds to come to just one conclusion]; Conte v. Wyeth, Inc. (2008) 168 Cal.App.4th 89
[whether a consequence is reasonably foreseeable is a question of fact for jury that may
30.
be decided as a matter of law when there is no room for a reasonable difference of
opinion].)
Accordingly, we conclude that the question of reasonableness presented by
Guidelines section 15130 is a question of fact subject to review under the substantial
evidence standard. Thus, the role of appellate courts in reviewing an agency’s factual
determinations under the substantial evidence standard is deferential and does not
reweigh conflicting evidence to decide who has the better argument. (Laurel Heights
Improvement Assn. v. Regents of University of California (1988) 47 Cal.3d 376, 393.)
We conclude City’s implied finding of fact that there was a reasonable basis for
adopting the “cumulatively considerable” test described in the revised final EIR, even
though other standards would have qualified as more reasonable. The reasonableness of
City’s “cumulatively considerable” test must be considered in context, rather than in an
abstract, facial inquiry. In other words, the surrounding facts and circumstances will aid
the finder of fact in deciding what is reasonable. Here, part of the relevant context is
established by the fact that the cumulative impacts being analyzed were less than 3.0
dBA (the largest is 2.7 dBA), an increase in ambient noise that is not discernible to the
average human ear. Another relevant fact is that the project’s individual contribution to
the noise level predicted at the eight locations, when analyzed by itself, was less than 1.0
dBA. In addition, the project’s share of the cumulative noise impacts (the largest
cumulative impact was 2.7 dBA) was never more than 0.7 dBA or, in percentage terms,
37 percent of the cumulative noise impact. In this extremely narrow context of noise
impacts, City’s reliance on the sliding scale to assist in determining whether the project’s
incremental effect was cumulatively considerable appears to be supported by substantial
evidence. That evidence includes the FTA’s manual and the opinion of City’s expert,
Brown, which is reflected in his testimony at a public hearing before the city council and
his memorandum. (See § 21080, subd. (e)(1) [substantial evidence includes expert
opinion supported by fact].)
31.
We readily acknowledge that plaintiff has presented logical arguments supporting
its position that City used unreasonable standards to determine whether the project’s
incremental effects were cumulatively considerable. Furthermore, plaintiff’s arguments
are consistent with the legislative policies set forth in CEQA. (See §§ 21000, 21001,
21002, 21002.1, 21003.) For example, in this case a significant cumulative impact on
noise levels was recognized, but no steps were taken to reduce or mitigate that impact.
Consequently, one might conclude that City has failed to adhere to the policies of taking
“all action necessary to provide the people of this state with … freedom from excessive
noise” and ensuring “the long-term protection of the environment.” (§ 21001, subds. (b),
(d).) Similarly, one could conclude that City’s approach contradicted the policy that a
“public agency shall mitigate or avoid the significant effects on the environment of
projects that it … approves whenever it is feasible to do so.” (§ 21002.1, subd. (b).)
In particular, a standard that a project must contribute 1.5 dBA or more to a
significant cumulative noise increase of 2.0 dBA before City regards that contribution as
“cumulatively considerable” for purposes of CEQA, would allow individually
insignificant noise impacts to quickly accumulate and produce a significant cumulative
noise impact without any evaluation of mitigation measures or a finding of overriding
considerations. In situations where the increases are detectible to the human ear, such
treatment of a 75 percent contribution to a significant cumulative impact might hinder
rather than promote CEQA’s attempts to have significant cumulative effects addressed
before they adversely impact the environment.
However, our review is limited to the narrow facts presented in this case, which
involve cumulative noise impacts less than 2.7 dBA. Furthermore, we are constrained by
the legislative directive that CEQA and the Guidelines shall not be interpreted in a
manner that imposes substantive requirements beyond those explicitly stated in the
statute or regulations. (§ 21083.1, added by Stats. 1993, ch. 1070, § 2, p. 5917; see
Leavitt v. County of Madera (2004) 123 Cal.App.4th 1502, 1515 [a literal, i.e., explicit,
32.
approach to statutory construction is mandatory under CEQA].) Under this directive, we
cannot create a general rule of law that requires a project’s incremental contribution to a
significant cumulative impact of a particular percentage—such as 20 percent, 33 percent
or 51 percent—to be regarded as “cumulatively considerable” simply because doing so
would appear to serve the general policies identified in CEQA. Therefore, we treat the
reasonableness of City’s approach as a question of fact and further conclude that it cannot
be resolved as a matter of law on the present record.
In summary, we conclude that (1) the revised final EIR has adequately described
the standard used to determine whether the project’s incremental effect was cumulatively
considerable and (2) the reasonableness of that standard is supported by substantial
evidence, despite there being conflicting evidence that supports a contrary finding.
3. Individually Minor Impact May Be Cumulatively Considerable
As its third argument, plaintiff contends that the standard used to determine
whether the project’s incremental effect was cumulatively considerable violated CEQA
because it failed to recognize that an individually minor increase may be a considerable
contribution to an impact caused by many separate projects.
Plaintiff’s contention is based on the language adopted in Guidelines section
15355, subdivision (b) to define cumulative impacts. The last sentence of that
subdivision states: “Cumulative impacts can result from individually minor but
collectively significant projects taking place over a period of time.”11 This statement
helps explain the concept of a cumulative impact, but provides little help in
distinguishing whether an individually minor impact is or is not “cumulatively
11 This sentence is not reasonably susceptible to being interpreted to mean that all
individually minor impacts are cumulatively considerable. As a background, we note that
the sentence appears nearly verbatim in the federal regulation’s definition of cumulative
impacts. (See 40 C.F.R. § 1508.7.) The only difference is that the federal regulation
used the phrase “collectively significant actions” instead of “collectively significant
projects.”
33.
considerable” for purposes of subdivision (b) of section 21083 and Guidelines section
15130. Consequently, plaintiff has not shown that City committed legal error in its
adoption of a standard for determining when an individually minor (i.e., insignificant)
incremental effect was cumulatively considerable for purposes of CEQA.
This argument appears to be a reiteration of plaintiff’s first argument about the
inappropriate use of the same standards for determining significance and whether a
project’s incremental effect was cumulatively significant. For instance, plaintiff’s reply
brief contends that “use of the same threshold to determine project-specific noise impacts
and to evaluate cumulative noise impacts is improper because it fails to recognize that
‘individually minor’ impacts may nonetheless constitute a considerable contribution as
they add up.” As discussed in part IV.C.1, ante, the standards were not the same and,
consequently, that part of plaintiff’s argument failed.
4. Substantial Evidence to Support the Standard
As its fourth argument, plaintiff contends that (1) the revised EIR did not justify
its considerable contributions thresholds with substantial evidence and (2) the revised
final EIR did not adequately respond to comments challenging those thresholds.
Earlier we concluded that (1) the revised final EIR adequately described the
standard used to determine whether the project’s incremental effects were cumulatively
considerable and (2) the reasonableness of that standard was supported by substantial
evidence. That evidence included the testimony and memorandum of Brown, the City’s
expert who analyzed noise impacts, and the FTA’s manual. Thus, we reject plaintiff’s
argument that the revised EIR did not justify its considerable contributions thresholds
with substantial evidence.
Furthermore, we conclude the response to comment No. 4-13 set forth in the
revised final EIR adequately explained the basis on which City chose the standards used
to determine whether the project’s incremental effects were cumulatively considerable.
34.
The response also explained how those standards were different from the thresholds of
significance. Plaintiff’s contention that the response in the revised final EIR “does not
justify using the same thresholds” is flawed because the same thresholds were not used.
Accordingly, we reject the claim that the responses were inadequate.
DISPOSITION
The order discharging the writ of mandate is affirmed. City shall recover its costs
on appeal.
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FRANSON, J.
WE CONCUR:
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DETJEN, Acting P.J.
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SMITH, J.
35.