JOHN W. SEDWICK, Senior District Judge.
The State of Alaska ("State") filed suit in January 2017 to challenge federal regulations, promulgated by the National Park Service ("NPS") and the United States Fish and Wildlife Service ("FWS"), governing sport hunting of predators within Alaska's National Preserves and National Wildlife Refuges. A month later, at docket 6, a group of fifteen conservation organizations ("Applicants") filed a motion to intervene as defendants. The State filed an opposition at docket 46. The named defendants representing the federal government ("Federal Defendants") did not file a response. Applicants filed their reply at docket 49. Oral argument was not requested and would not assist the court.
The lawsuit at issue here involves the application of the State's intensive predator management program, which liberalizes hunting regulations for predator species such as wolves and bears in part to improve the levels of prey species for human harvest, on federal lands. The history of the State's predator management program and the State's attempt to implement the program on federal lands has been thoroughly set forth in the Applicants' memorandum at docket 7 and need not be repeated here. For purposes of this order, it suffices to say that a state's hunting regulations apply on federal lands only to the extent they are compatible with federal mandates. Based on perceived incompatibilities, the FWS and NPS objected to the application of the State's regulations that authorized liberalized hunting practices—such as harvesting brown bears over bait; taking wolves and coyotes during denning season; expanding season lengths and increasing bag limits; and authorizing same-day airborne take of bears at registered bait stations—within Alaska's National Preserves and Wildlife Refuges. The two agencies concluded that these predator-management practices conflict with their mandates to conserve natural diversity and maintain natural predator-prey relationships in National Preserves and Wildlife Refuges. They requested that the State exclude National Preserves and Wildlife Refuges from the state-authorized practices, but the State refused. Consequently, the FWS and NPS promulgated regulations prohibiting such hunting practices within Alaska's National Preserves and Wildlife Refuges, which the State now challenges in this lawsuit
The Applicants seek to intervene by right under Rule 24(a) of the Federal Rules of Civil Procedure or, alternatively, by permission under Rule 24(b) in order to defend the federal regulations. They contend that intervention in the lawsuit will allow them to "protect their interest in the wildlife, habitat, and wilderness values of the National Preserves and National Wildlife Refuges in Alaska from State-authorized sport hunting methods designed to reduce predator population and artificially inflate prey species."
Rule 24(a) requires the court to grant intervention to anyone who (1) submits a timely motion; (2) claims an interest relating to the property or transaction that is the subject of the action; (3) is so situated that disposing of the action may, as a practical matter, impair or impede the movant's ability to protect its interest; and (4) is not adequately represented by the existing parties.
In making a determination about adequacy of representation under Rule 24(a), the court must consider three factors: "(1) whether the interest of a present party is such that it will undoubtedly make all the intervenor's arguments; (2) whether the present party is capable and wiling to make such arguments; and (3) whether the would-be intervenor would offer any necessary elements to the proceedings that other parties would neglect."
The State's opposition to the Applicants' motion relies on a presumption of adequacy. It argues that the Applicants share the same "ultimate objective" as the Federal Defendants—defending the legality of the challenged regulations—and therefore a presumption of adequacy exists. They argue that "the Applicants [must] show that their interests would not be protected in the event the regulations are upheld as legally valid, or that the Applicants and [Federal] Defendants have `fundamentally differing points of view' on the litigation as a whole."
The Applicants argue that the State has misinterpreted the case law applying the heightened burden. They argue that the cases do not stand for the proposition that an applicant and federal agency share unified objectives simply because they are taking the same position in the litigation. They argue that the cases the State relies on are merely examples of situations where an applicant and a federal defendant have divergent interests and that the cases do not stand for the proposition that a federal defendant and an applicant both seeking to defend regulations share an ultimate objective unless the federal defendant had taken a contrary position prior to the litigation or where there was some delay or reluctance on the part of the defendant in relation to the regulation at issue. The Applicants argue that the analysis regarding the presumption of adequacy is broader and more fact-based, focusing on the existing parties' overall interests and objectives as compared to the applicant's.
The court need not decide whether the State misinterpreted what it means to have the same "ultimate objective." Here, the Federal Defendants' ultimate objective is unknown given that they have not yet filed an answer and did not file any response to the Applicants' motion to intervene. Any assumption that the Federal Defendants would necessarily defend their own regulations is unwarranted here because there has been an administration change since the regulations were promulgated and the President recently signed House Joint Resolution 69, nullifying the challenged FWS regulations.
Moreover, even if the Federal Defendants plan to defend the remaining NPS regulations and that alone is sufficient under the case law to constitute a unity of objectives for the purposes of applying a presumption of adequacy, the Applicants have made a compelling showing of inadequate representation to rebut that presumption and permit intervention. The signing of House Joint Resolution 69 raises serious doubts about whether the Federal Defendants will make all the same arguments as the Applicants and whether they are still willing to make such arguments. As the Applicants note in their reply, "[i]t is fair to assume that an administration that is willing to nullify the challenged FWS regulations with the stroke of a pen may not vigorously defend similar NPS regulations in this litigation."
Alternatively, even if intervention is not warranted as of right under Rule 24(a), the court exercises its discretion under Rule 24(b) to allow the Applicants to intervene based on the situation presented. Permissive intervention under Rule 24(b) should be granted when the applicant (1) demonstrates an independent ground for jurisdiction; (2) files a timely motion; and (3) presents a claim or defense that shares a common question of law or fact.
Based on the preceding discussion, the Applicants' motion to intervene at docket 6 is GRANTED.