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Charles Gunn v. U.S. Dept. of Agri., 96-3995 (1997)

Court: Court of Appeals for the Eighth Circuit Number: 96-3995 Visitors: 12
Filed: Jul. 07, 1997
Latest Update: Mar. 02, 2020
Summary: United States Court of Appeals FOR THE EIGHTH CIRCUIT _ No. 96-3995SI _ Charles Gunn, * * Appellant, * * v. * On Appeal from the United * States District Court for * the Southern District of United States Department of Agriculture * Iowa. and Natural Resources Conservation * Service, * * Appellees. * _ Submitted: May 19, 1997 Filed: July 7, 1997 _ Before RICHARD S. ARNOLD, Chief Judge, BOWMAN and MORRIS SHEPPARD ARNOLD, Circuit Judges. _ RICHARD S. ARNOLD, Chief Judge. Charles Gunn filed this
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                      United States Court of Appeals
                         FOR THE EIGHTH CIRCUIT

                               ____________

                               No. 96-3995SI
                               ____________


Charles Gunn,                           *
                                        *
             Appellant,                 *
                                        *
      v.                                * On Appeal from the United
                                        * States District Court for
                                        * the Southern District of
United States Department of Agriculture * Iowa.
and Natural Resources Conservation      *
Service,                                *
                                        *
             Appellees.                 *
                                  ___________

                          Submitted: May 19, 1997

                               Filed: July 7, 1997
                                ___________

Before RICHARD S. ARNOLD, Chief Judge, BOWMAN and MORRIS SHEPPARD
      ARNOLD, Circuit Judges.
                              ___________


RICHARD S. ARNOLD, Chief Judge.
       Charles Gunn filed this action in the District Court1 to challenge the Soil
Conservation Service’s (SCS's2) determination that certain parts of his farmland were
converted wetlands and could therefore not be farmed without his losing eligibility for
certain farm benefit programs. The District Court held that the SCS’s regulations are
a reasonable interpretation of the pertinent statute, 16 U.S.C. §§ 3801, 3821-24, and
that the SCS’s determination that the lands were wetlands was supported by substantial
evidence. The Court dismissed Gunn’s taking-by-inverse-condemnation claim for lack
of jurisdiction. We affirm.

                                             I.

       Gunn owns 160 acres of land in Iowa that he and his predecessors-in-interest
have farmed since 1906. Before that time the acreage was wetlands and not arable.
In 1906 the local drainage district installed tiles under the land to drain the excess water
from the land. Other tiling allowed water from neighboring farmland to drain across
Gunn’s land. By 1947, additions to the drainage system had increased the drained area
so that the amount of water in some years exceeded the capacity of the system, leaving
parts of Gunn’s land wet and unsuitable for farming. Realizing that a drainage problem
existed, the drainage district in 1992 installed new drainage tiles and dug an open ditch
on Gunn’s land that remedied the system’s shortcomings.

       In order to combat the disappearance of wetlands through their conversion into
crop lands, Congress passed a law known commonly as “Swampbuster.” Food


       1
      The Hon. Charles R. Wolle, Chief Judge, United States District Court for the
Southern District of Iowa.
       2
       The SCS, an agency within the Department of Agriculture, was abolished in
1994, and its functions were transferred to the Natural Resources Conservation Service.
See Pub. L. No. 103-354, § 246, 108 Stat. 3178, 3223-25 (1994) (codified at 7 U.S.C.
§ 6962). For ease of reference, we use the term SCS throughout the opinion.

                                            -2-
Security Act of 1985, Pub. L. No. 99-198, §§ 1201, 1221-23, 99 Stat. 1354, 1504-08
(codified as amended at 16 U.S.C. §§ 3801, 3821-24). This law did not make illegal
the conversion of wetlands to agricultural use, but did provide that any agricultural
production on a converted wetland would cause the farmer to forfeit his eligibility for
a number of federal farm-assistance programs. Among the exemptions to the
provisions of Swampbuster is one for wetlands that had been converted to agricultural
production before December 23, 1985. See § 3821(d). The farming of such previously
converted wetlands does not make the farmer ineligible for benefits.

        In order for a farmer to participate in the benefits programs, he must certify his
eligibility to the SCS. The SCS determines whether the land for which a farmer seeks
benefits contains wetlands that have been converted for agricultural purposes. Charles
Gunn sought certification in 1991, and was told by the SCS that his farm contained
32.9 acres of “farmed wetlands,” which are, in essence, wetlands that are sometimes
dry enough to farm. The SCS advised Gunn that he could continue to farm these lands
as well as maintain the existing drainage system, but if he wished to remain eligible for
benefits he could not improve the land’s drainage. This ruling was upheld after an
appeal within the agency. Gunn did not seek further review.

       In 1992, the local drainage district improved the drainage system, as noted
above. In the process of analyzing the new system, SCS discovered that the previous
drainage system had had a greater capacity than previously realized, but still had been
insufficient to drain the land completely. It also determined that because the new
system completely drained the land, part of Gunn’s land now constituted converted
wetlands. After a series of appeals within the agency, the SCS concluded that 28.2
acres of Gunn’s land were wetlands that had been converted by the drainage district’s
recent activities and could not be farmed by Gunn without his losing eligibility for farm
benefit programs.




                                           -3-
       Gunn then filed this action in the District Court, seeking a declaratory judgment
that he was entitled to farm this land without losing benefits, and damages for his not
having farmed the lands during the decision and appeal process. In the alternative, if
the converted-wetlands determination was upheld, he sought compensation for a taking
of land by inverse condemnation. The District Court held that the classification of the
lands as converted wetlands was reasonable, denied Gunn’s desired declaration, and
refused to award damages. It also dismissed the takings claim for lack of jurisdiction
because Gunn sought compensation in an amount greater than $10,000, a claim over
which the Court of Federal Claims has exclusive jurisdiction. See 28 U.S.C. §§ 1346,
1491. The District Court also stated that the government’s action was not a taking.
Gunn then took this appeal.

                                           II.

        Gunn challenges the SCS’s decision in two ways. First, he contends that the
pertinent regulations are neither consistent with, nor a reasonable interpretation of, the
Swampbuster statute. Second, he argues that the SCS failed to follow its own
regulations in deciding his eligibility. We hold that the regulations are consistent with
the statute and that the SCS followed those regulations in its decision-making process.

                                           A.

       The statute makes ineligible for benefits, listed at 16 U.S.C. § 3821(b), any
person who “converts a wetland by draining, dredging, filling, leveling, or any other
means for the purpose, or to have the effect, of making the production of an agricultural
commodity possible on such converted wetland . . . for that crop year and all
subsequent crop years.” § 3821(c). It also makes ineligible for these same benefits,
such as crop insurance, price supports, and government-sponsored loans, any person
who “produces an agricultural commodity on converted wetland.” § 3821(a). The
act defines a converted wetland as a “wetland that has been drained, dredged, filled,

                                           -4-
leveled or otherwise manipulated” so that agricultural production is made possible.
§ 3801(a)(6)(A). The statute provides one exception relevant to this case: no person
becomes ineligible for agricultural production on converted wetlands “if the conversion
of the wetland was commenced before December 23, 1985.” § 3822(b)(1)(A).

        The SCS has promulgated regulations to refine the scope of these provisions.
Gunn contends the regulations are contrary to the plain language of the statute, and, if
the statute is ambiguous, that the regulations are not a reasonable interpretation under
the rule of Chevron U.S.A., Inc. v. Natural Resources Defense Council, Inc., 
467 U.S. 837
(1984). Therefore, he argues, the decision by the SCS is invalid. We disagree,
and conclude that the regulations carefully follow the statutory language and are
reasonable interpretations of any statutory ambiguities.

       The first aspect of the regulations that Gunn challenges is their definition of a
converted wetland. He contends that the definitions at 7 C.F.R. § 12.2(a)(6) & 12.32
(1992) are contrary to the statute. Section 12.2(a)(6) defines converted wetlands in
terms virtually identical to those used in the statute.3 Section 12.32(a) lists factors that

       3
        16 U.S.C. § 3801(a)(6)(A) provides that:

       The term “converted wetland” means wetland that has been drained,
       dredged, filled, leveled, or otherwise manipulated (including any activity
       that results in impairing or reducing the flow, circulation, or reach of
       water) for the purpose or to have the effect of making the production of
       an agricultural commodity possible if
              (i) such production would not have been possible but for such
              action; and
              (ii) before such action —
                      (I) such land was wetland; and
                      (II) such land was neither highly erodible land nor highly
                      erodible cropland.

       In comparison, 7 C.F.R. § 12.2(a)(6)(A) provides that:

                                            -5-
are to be considered in determining whether a wetland has been converted, such as
whether woody hydrophytic vegetation has been removed. Finally, Section 12.32(b),
which accords with the exception provided by 16 U.S.C. § 3801(a)(6)(B), explains that
a wetland shall not be considered converted just because natural conditions, such as
drought, allow a farmer to cultivate certain land, so long as that farming does not
“permanently alter or destroy natural wetland characteristics” — the farmed-wetlands
exception. We perceive no inconsistency between the regulations and the statute they
are intended to effectuate. Rather, they provide scientifically defined bases for
determining whether the provisions of the statute have been violated. Such expert
refinements are well within the purview of the SCS, and do not make its determination
in Gunn’s case invalid.
       Next, Gunn challenges the regulations’ definition of “commenced.” The statute
allows the farming of wetlands the conversion of which was commenced before
December 23, 1985, without the farmer’s losing benefits. The regulations allow a
farmer to demonstrate that he has commenced the conversion in one of two ways: by




      Converted wetland means wetland that has been drained, dredged, filled,
      leveled, or otherwise manipulated (including any activity that results in
      impairing or reducing the flow, circulation, or reach of water) that makes
      possible the production of an agricultural commodity without further
      application of the manipulations described herein if (i) such production
      would not have been possible but for such action; and (ii), before such
      action such land was wetland and was neither highly erodible land nor
      highly erodible cropland.

        Gunn points to the phrase “without further application of the manipulations
described herein,” which is in the regulation but not in the statute. We do not see what
of substance this phrase adds or changes. Under the statute, conversion occurs when
wetland is “manipulated” with a certain effect. The regulation simply underscores that
it is the initial manipulation, not some subsequent “applications” of it, that is to be
considered for this purpose. This is a reasonable interpretation of the statute.

                                          -6-
showing he has actually dredged, drained, filled, leveled, or otherwise manipulated the
wetlands before the given date, 7 C.F.R. § 12.2(a)(6) & 12.5(b)(3)(i), or that he has
contractually committed substantial funds to someone else who will perform these
activities, § 12.5(b)(3)(ii). Gunn reads the substantial-funds requirement to have
impermissibly narrowed the statutory term “commenced” from what Congress
intended. Von Eye v. United States, 
92 F.3d 681
, 685 (8th Cir. 1996), which
considered the application of the requirement, suggests it did not. Moreover, the
substantial-funds provision allows a farmer to come within the exception not only by
actually starting the land-moving activities, as the statutory term “commenced”
naturally suggests, but also by simply committing to have such activities undertaken in
the future. Gunn has not shown that the 1992 conversion was commenced under either
the statutory definition or the definition in the regulations. Any discrepancy between
the two, therefore, does not change the conclusion that his wetlands do not come within
the exception for previously converted wetlands.

       Alternatively, Gunn could succeed on his claim if he had actively pursued this
particular conversion since before December 23, 1985. Downer v. United States, 
97 F.3d 999
, 1004 (8th Cir. 1996). The initial improvement took place in 1906, and the
SCS told Gunn he could maintain that drainage system without losing benefits. (This
accords with Von 
Eye, 92 F.3d at 685
, which allows post-1985 conversions only to the
extent of plans already in place in 1985.) In 1992 another conversion took place.
Gunn has not demonstrated that the two constructions, over 80 years apart, were
actually one actively pursued conversion. To the contrary, the 1906 work achieved
what was intended, even though it later proved inadequate.

         Gunn also argues — and this may be his principal point — that he is entitled to
an exemption under the plain words of the statute. Section 3822(b)(1)(A) of Title 16
provides, in relevant part, that “[n]o person shall become ineligible . . . for program
loans or payments . . . [a]s the result of the production of an agricultural commodity
on . . . [a] converted wetland if the conversion of the wetland was commenced before

                                          -7-
December 23, 1985.” Gunn claims that his land fits this definition, because, in his
view, it became a converted wetland in 1906, at the time of the initial improvements.
He points to the definition of the term “converted wetland” in 16 U.S.C.
§ 3801(a)(6)(A). This provision reads, in pertinent part, as follows: “ ‘converted
wetland’ means wetland that has been drained . . . or otherwise manipulated . . . for the
purpose or to have the effect of making the production of an agricultural commodity
possible if . . . before such action . . . such land was wetland . . ..” In 1906, Gunn says,
his land was drained or otherwise manipulated both for the purpose and with the effect
of making the production of agricultural commodities possible. This production, in
fact, has continued ever since. Accordingly, the land became “converted wetland”
before December 23, 1985, and remains in that classification forever, whatever may
have happened later.

        We agree with Gunn that the words of the statute, considered in isolation, can
bear the meaning for which he contends. The agency’s interpretation, however, is
different, and we believe that the interpretation is sufficiently plausible to meet the
Chevron test. The agency stresses the requirement that “converted wetland” is land
that before drainage “was wetland.” On this view, land is either wetland or converted
wetland. If significant wetland characteristics remain, the land remains wetland and
cannot be converted wetland. If the drainage or other manipulation has been sufficient
to make crops producible, as is the case here, the land is best described as “farmed
wetland,” a term that does not appear in the statute but that the agency’s regulations
have adopted. “Farmed wetland” can continue to be farmed without the loss of
benefits, but only so long as the previously accomplished drainage or manipulation is
not significantly improved upon, so that wetland characteristics are further degraded
in a significant way. In the present case, of course, the 1992 improvements have done
exactly that. They were designed to and have in fact further degraded the wetland
characteristics of the farm. It follows that part of the farm is “converted wetland,” but
that it did not become converted wetland until 1992.


                                            -8-
       This interpretation also accords with the general purpose of the statute — to
preserve those wetland characteristics still in existence in 1985. Gunn’s view, by
contrast, would run counter to this purpose, at least to a significant extent. Under his
approach, if any drainage has taken place before December 23, 1985, making it
possible to produce agricultural commodities to any significant extent, the property
becomes exempt altogether, no matter what further improvements might occur. As
Gunn recognizes, under this approach, “it does not matter if the production [made
possible by the earlier drainage] is merely 20% possible or 99% possible.” Reply Brief
for Appellant 12. The land, once any improvement whatever has occurred before 1985,
becomes permanently exempt from the statute. We do not think that this interpretation
furthers Congress’s general purpose, nor do we think that it is the only one possible
under the statutory language. We therefore defer to the interpretation of the
Department of Agriculture. Gunn does not contest the fact that the land continued to
have significant wetland characteristics before the 1992 work. Part of the purpose of
Congress was to preserve these characteristics.

        Next, Gunn argues that the conversion comes within the outside-agent exception
to the anti-conversion rules. The regulations establish a presumption that conversions
undertaken by a drainage district, in whose jurisdiction a farmer resides and which has
assessed the farmer for part of the costs of the activity, are attributed to the farmer,
unless he can show that the conversion was caused by an unassociated third person and
that he is not using the land for agricultural production. See 7 C.F.R.
§ 12.5(b)(1)(iv)(D). Gunn contends that the drainage district’s ditch-digging should
not, as a matter of law, be attributed to him, and therefore that his land should not be
deemed converted. But Gunn has not met the burden placed upon him by the
regulations, and nothing in the statute exempts a farmer from the provisions of the Act
simply because that land is converted by a drainage district.4 We have found no


      4
       Gunn contends that the regulations are inconsistent with a subsequently enacted
(1990) provision, 16 U.S.C. § 3824, which provides that croplands that have been

                                          -9-
evidence in the record to support Gunn’s argument that attribution to him of the
district’s activities was erroneous. In fact, Gunn joined with other landowners in the
petition to have the improvements made. Jt. App. 108. Therefore, he can be held
responsible for the conversion of wetlands that the improved drainage was found to
have caused, and he is not entitled to the exemption in the regulation.5

                                           B.

       Gunn also argues that the SCS failed to follow its own regulations in determining
that the acreage in question was “wetland.” He cites 7 C.F.R. § 12.33(b). The portion
of the regulation on which Gunn relies reads as follows:

      Maintenance or improvement of . . . converted wetlands for the
      production of agricultural commodities are not subject to this rule so long
      as such actions do not bring additional wetland into the production of an
      agricultural commodity. Additional wetland means any natural wetland



turned into wetland by “the actions of an unrelated person or public entity, outside the
control of, and without the prior approval of, the landowner . . . shall not be considered
to be wetland.” That provision does not apply to Gunn’s situation. Section 3824
allows a farmer whose cropland is turned into wetland to return that land to cropland
without converting it within the meaning of the statute. We do not see how this statute
is applicable to the case at hand, as Gunn does not contend that his land was turned into
wetland by the drainage district. He contends the opposite: that his wetlands were
turned into cropland. In addition, the drainage district is not “unrelated” to Gunn. His
land is included within it, and he was one of the landowners who applied for the 1992
ditching.
      5
       We have received a brief amicus curiae from the Iowa Drainage District
Association in support of Gunn’s position. We have considered it to the extent it
supports arguments advanced by Gunn on appeal. We have no reason to consider the
arguments it advances that were not raised by Gunn himself. Knetsch v. United States,
364 U.S. 361
, 370 (1960).

                                          -10-
      or any converted wetland that has reverted to wetland as the result of
      abandonment of crop production.

      We do not believe that the quoted language helps Gunn’s case. His property, for
reasons we have given earlier in this opinion, never became “converted wetland,”
because it retained continuously from 1906 until at least 1992 wetland characteristics.
The property was thus properly classified as “farmed wetland,” rather than “prior
converted wetland.” The quoted portion of the regulation comes into play only if
“converted wetlands” are involved.

      We add that the concluding sentence of the regulation appears to lend further
support to the SCS position in this case. This sentence reads as follows, in pertinent
part:

      Furthermore, the maintenance of any alteration or manipulation that
      affects the reach or flow of water made to a wetland that was cropped
      before December 23, 1985, would not cause a person to be determined to
      be ineligible under this part, provided that the maintenance does not
      exceed the scope and effect of the original alteration or manipulation, as
      determined by SCS . . ..



       We think this language fits Gunn’s situation. His property is wetland that was
cropped before December 23, 1985. The work undertaken in 1992 definitely did
exceed the scope and effect of the original manipulation. Accordingly, SCS acted
consistently with its own regulations in determining that the 28.2 acres in question were
wetlands, on which Gunn could not farm by mechanical means without losing his
eligibility for federal farm benefits.




                                          -11-
                                           III.

       Both parties now agree that the District Court was without jurisdiction to
entertain Gunn’s claim for just compensation under the Fifth Amendment, because
Gunn requested damages in excess of $10,000.00. See 28 U.S.C. §§ 1491 &
1346(a)(2), the Little Tucker Act. Gunn argues on appeal, however, that the District
Court should have transferred this claim to the United States Court of Federal Claims.
Such a transfer is authorized by 28 U.S.C. § 1631 if the interests of justice warrant it
and the court to which the case is transferred would have jurisdiction. Another statute,
28 U.S.C. § 1500, provides that the Court of Federal Claims has no jurisdiction over
a claim for which, or in respect of which, a case is pending in another court. The
Federal Circuit has interpreted this provision to bar the Court of Federal Claims’
jurisdiction over a claim only when another claim based on the same operative facts
and seeking the same type of relief is pending in a different court. See Loveladies
Harbor, Inc. v. United States, 
27 F.3d 1545
, 1551 (Fed. Cir. 1994) (en banc). The two
claims in Loveladies were a challenge to the government’s denial of a wetlands-use
permit under the Administrative Procedure Act and a takings claim based on that
denial. The court held the two claims sought different types of relief. 
Id. at 1551-52.
Gunn’s two claims are similar. We think the Court of Federal Claims would have
jurisdiction over the takings claim if it were transferred.

       Gunn also must show that the interests of justice require transfer of his claim, a
decision that lies within the discretion of the trial court. Section 1631 was enacted so
that parties confused about which court has subject-matter jurisdiction would not lose
an opportunity to present the merits of a claim by filing in the wrong court and then,
upon dismissal, having the claim barred by a statute of limitations. Accordingly, we
have in the past directed transfer when a plaintiff in good faith filed in the wrong court
and the statute of limitations would have run before he could refile properly. See In re
Apex Oil Co., 
884 F.2d 343
, 346 (8th Cir. 1989); Hempstead County & Nevada
County Project v. United States E.P.A., 
700 F.2d 459
, 463 (8th Cir. 1983). Gunn has

                                          -12-
not shown that either of those circumstances exists here. So far as we can tell from the
record now before us, Gunn is free at any time to file his takings claim in a separate
action before the Court of Federal Claims.

       An additional word should be added to clarify the situation in the event of further
proceedings on count II in the Court of Federal Claims. The District Court’s opinion,
slip op. 7, states that “Gunn has not shown that he is entitled to compensation under an
inverse condemnation theory.” This statement appears in the opinion after the Court
had already held that it lacked jurisdiction of count II, which is the count containing the
inverse-condemnation theory. We take this statement to be dictum. The District Court
had no jurisdiction to pass on the merits of the inverse-condemnation theory, and if this
theory, either in a separate action or otherwise, should later be asserted before the
Court of Federal Claims, we do not believe the District Court’s statement should be
taken to preclude whatever rights Gunn may have. In that event, in other words, it
would be up to the Court of Federal Claims to decide the merits of Gunn’s inverse-
condemnation theory.

      On this understanding, the judgment of the District Court is

      Affirmed.

      A true copy.

             Attest:

                     CLERK, U.S. COURT OF APPEALS, EIGHTH CIRCUIT.




                                           -13-

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