HOLMES, Circuit Judge.
The U.S. Fish and Wildlife Service ("the Service") conveyed to a consortium of local
Rocky Flats (at times, "the Flats") is comprised of roughly 6,200 acres in Colorado. For a number of years the Department of Energy ("Energy") and its predecessor agency used the central part of the Flats to manufacture components involved in nuclear weapons, while the remainder of the Flats sat idle. As a result of the weapons work, some of the land became polluted by various hazardous materials, including plutonium. In 1989, a large-scale cleanup operation began. Recognizing the progress that had been made in the cleanup effort, Congress passed the Rocky Flats Act in 2001. National Defense Authorization Act for Fiscal Year 2002, Pub.L. No. 107-107, 115 Stat. 1012, §§ 3171-82 (2001), 16 U.S.C. § 668dd note.
The Rocky Flats Act further provided that Energy would transfer to the Service administrative jurisdiction of the land marked for refuge status as soon as the EPA determined the cleanup was complete. See id. § 3175(a). Importantly, the Rocky Flats Act set aside a piece of land along the Flats's border to be made available for transportation improvements. See id. § 3174(e)(1)(A). To facilitate the transportation improvements, the Rocky Flats Act provided that, "[o]n submission of an application meeting" certain criteria not relevant to this appeal, "[Energy], in consultation with the [Service], shall make available land along the eastern boundary of Rocky Flats for the sole purpose of transportation improvements along Indiana Street." Id. The transfer was to take place within a month of the EPA certifying the cleanup as complete. Id. § 3175(a)(2), (3).
Pursuant to the Rocky Flats Act, Energy transferred the Flats to the Service when the EPA issued its certification in 2007. Not long after, Energy and the Service mutually decided that the applications for the transportation improvements were the Service's to consider, in consultation with Energy. And so it was that the
The Preble's Meadow Jumping Mouse (sometimes, "the mouse") is a threatened species with critical habitat in the corridor. Prior to its final approval of the land exchange, and pursuant to the ESA, the Service issued two biological opinions on the potential consequences of the exchange to the mouse. The product of those opinions was a determination that the exchange would not jeopardize the continued existence of the mouse or adversely modify its critical habitat.
In addition to the ESA, NEPA imposed on the Service various obligations regarding the exchange. Most relevant here, NEPA directs federal agencies to prepare an environmental impact statement ("EIS") whenever they undertake "major Federal actions significantly affecting the quality of the human environment." 42 U.S.C. § 4332(C). To determine whether the statutory conditions for preparation of an EIS are present, an agency generates an environmental assessment ("EA"). See 40 C.F.R. § 1501.4(b). If the EA leads to the conclusion that no EIS is necessary, the agency creates a "finding of no significant impact" ("FONSI"). See id. § 1501.4(e). The Service in this case issued an EA and a FONSI rather than an EIS. After the EA was circulated for public comment, the exchange went ahead as planned.
Displeased by the land exchange, Appellants sued in federal district court, challenging the Service's actions on three grounds: (1) they violated the Rocky Flats Act; (2) they violated NEPA; and (3) they violated the ESA. The district court rejected all three claims and upheld the exchange. Appellants timely appealed, reviving the same three grounds.
We consider the appeal under the analytical rubric established by the Administrative Procedure Act ("APA"). See 5 U.S.C. § 706(2)(C) (providing that the courts will set aside agency action taken "in excess of statutory jurisdiction"); Prairie Band Pottawatomie Nation v. Fed. Highway Admin., 684 F.3d 1002, 1008 (10th Cir.2012) (applying the APA to a NEPA claim); Ctr. for Native Ecosystems v. Cables, 509 F.3d 1310, 1320 (10th Cir. 2007) (applying the APA to an ESA claim). Under the APA, we owe the district court's determination no deference. See Wyoming v. U.S. Dep't of Agric., 661 F.3d 1209, 1226-27 (10th Cir.2011). However, we may only set aside the Service's actions if, as relevant to the arguments here, it acted arbitrarily or capriciously, not in accordance with the law, beyond its jurisdictional authority, or "without observance of procedure required by law." 5 U.S.C. § 706(2)(A), (C), (D).
That test is met when an agency fails to consider "the relevant data" or fails to put forth "a rational connection between that data and its decision." WildEarth Guardians v. Nat'l Park Serv., 703 F.3d 1178, 1182-83 (10th Cir.2013). It is also met when the agency "entirely failed to consider an important aspect of the problem, offered an explanation for its decision that runs counter to the evidence before the agency, or is so implausible that it could not be ascribed to a difference in
Appellants challenge the Service's actions on three statutory bases: specifically, the Rocky Flats Act, NEPA, and the ESA. Because they fail to show violations of any of these Acts, we affirm.
Appellants first contend that the Service lacked the authority to convey the corridor under the Rocky Flats Act. Constrained by our deferential standard of review, we uphold the Service's authority.
We must first ascertain the appropriate framework for assessing the Service's power. The APA directs courts to set aside agency actions that are taken "in excess of statutory jurisdiction, authority, or limitations, or short of statutory right." 5 U.S.C. § 706(2)(C). Because of this provision, "an essential function of our review under the APA is determining whether an agency acted within the scope of its authority." Copar Pumice Co. v. Tidwell, 603 F.3d 780, 801 (10th Cir.2010). If it is otherwise appropriate, we apply the test established by Chevron, U.S.A., Inc. v. Natural Resources Defense Council, 467 U.S. 837, 104 S.Ct. 2778, 81 L.Ed.2d 694 (1984), when asking whether an agency has acted within its authority. See Pub. Lands Council v. Babbitt, 167 F.3d 1287, 1293-94 (10th Cir.1999); see also Iowa League of Cities v. EPA, 711 F.3d 844, 876 (8th Cir.2013) ("Appellate review under APA section 706(2)(C) proceeds under the familiar Chevron framework.").
As a preliminary matter, Appellants insist that it is not otherwise appropriate to apply Chevron because the Rocky Flats Act is not "administered" by the Service. See Berneike v. CitiMortgage, Inc., 708 F.3d 1141, 1147 (10th Cir.2013) ("When reviewing an agency's construction of a statute it administers, we apply the well-known, two-step analysis articulated in Chevron. ..." (emphasis added)). Its argument to that effect is limited to the contention that Congress in the Rocky Flats Act did not "delegate administration" to the Service, but rather "regulate[d]" the Service's "actions and obligations concerning Rocky Flats," and those of Energy. Aplts.' Opening Br. at 19.
The cases that Appellants cite
The Chevron test requires us to ask first "whether Congress has directly spoken to the precise question at issue." Chevron, 467 U.S. at 842, 104 S.Ct. 2778. If it has, "that is the end of the matter" and we do as instructed by Congress. Id. If, on the other hand, "the statute is silent or ambiguous with respect to the specific issue, the question for the court is whether the agency's answer is based on a permissible construction of the statute." Id. at 843. Our inquiry must begin, then, with this question: Did Congress directly address the matter of whether the Service could convey the corridor? Focusing on the language of the statute, as we must, see Bd. of Cnty. Comm'rs v. EEOC, 405 F.3d 840, 844 (10th Cir.2005), we conclude that it did not. One provision of the Rocky Flats Act states that "[o]n submission of an application meeting" certain criteria, "[Energy], in consultation with the [Service], shall make available land along the eastern boundary of Rocky Flats for the sole purpose of transportation improvements along Indiana Street." RFA § 3174(e)(1)(A). Another section of the Act, which falls under the heading "transfer of management responsibilities and jurisdiction over Rocky Flats," states that, "[s]ubject to the other provisions of this section, [Energy] shall transfer administrative jurisdiction over the property that is to comprise the refuge to the [Service]." Id. § 3175(a)(1).
Collectively, these provisions leave the crucial question here unanswered. We know that Energy, at some point, has the authority to convey the land solely for transportation purposes. And we know that, at a certain point, Energy will transfer jurisdiction over the whole refuge
Thus the question becomes "whether the agency's answer is based on a permissible construction of the statute." Chevron, 467 U.S. at 843, 104 S.Ct. 2778. An agency interpretation is permissible where it "is not `arbitrary, capricious, or manifestly contrary to the statute.'" Berneike, 708 F.3d at 1148 (quoting Chevron, 467 U.S. at 843-44, 104 S.Ct. 2778).
Most saliently, preventing Appellants from showing that the Service's answer is not permissible are two of the oldest and most established canons of statutory construction: (1) effectuating the intent of Congress; and (2) taking the statutory language in context. See United States v. Handley, 678 F.3d 1185, 1189 (10th Cir. 2012) ("It is our primary task in interpreting statutes to determine [C]ongressional intent.... If the statute's plain language is ambiguous as to Congressional intent, we look to the legislative history and the underlying public policy of the statute.... When considering the language employed by Congress, we read the words of the statute in their context and with a view to their place in the overall statutory scheme...." (alteration in original) (internal quotation marks omitted)); see also Antonin Scalia & Bryan Garner, Reading Law: The Interpretation of Legal Texts 56 (2012) ("[I]t can be said more generally that the resolution of an ambiguity ... that achieves a statute's purpose should be favored over a resolution that frustrates its purpose."); id. at 167 ("Context is the primary determinant of meaning."). These guidelines strongly militate in favor of the Service's authority to convey the land.
First, Congress clearly passed the Rocky Flats Act with the intent, in part, to relieve the burden on transportation in the area. Indeed, there is no other conceivable reason why it included the provision, and Appellants do not propose one. Keeping that congressional interest in mind, Appellants' construction of the Rocky Flats Act clearly thwarts it. As Appellants see it, the Rocky Flats Act gives Energy the authority to convey the corridor for transportation improvements until the area is fully clean and a refuge (that is, until the area is in such a condition that administrative jurisdiction over it may be transferred to the Service), at which point no one has that conveyance authority and the corridor can never be subject to transportation improvements. But Appellants offer no reason why Congress would limit the possibility of transportation improvements to such a narrow window (before the cleanup is completed) and then close it forever thereafter. Such a system would certainly not further the congressional purpose of allowing for long-term improvements to local traffic patterns.
In a related fashion, a glance at the context of the Rocky Flats Act as a whole illuminates congressional intent with respect to the more specific issue of the administrative duties and rights imposed on Energy and the Service respectively;
Section 3174 of the Rocky Flats Act contains the provision regarding the conveyance of the corridor. The very next section is entitled "transfer of management responsibilities and jurisdiction over Rocky Flats," and it begins by stating that "[Energy] shall transfer administrative jurisdiction over the property that is to comprise the refuge to the [Service]." RFA § 3175(a)(1). Energy only had the land because of the nuclear facilities it once contained, the remnants of which required removal; this removal work was a core element of Energy's operations. See United States v. Manning, 527 F.3d 828, 839 (9th Cir.2008) (discussing Energy's role in "the nationwide management of nuclear waste"). Under the legislative scheme, it only stands to reason that the Service would take control of the land and its disposition when it becomes a refuge, because managing refuges is firmly within the Service's bailiwick. See 16 U.S.C. § 668dd(a)(1) (directing the Service to administer federal refuges). The scheme is further elucidated by the fact that the Rocky Flats Act directs Energy to retain jurisdiction only over facilities related to the continuing cleanup efforts. See RFA § 3175(d). Put simply, the Rocky Flats Act acknowledges that Energy should take care of energy-related matters and the Service should take care of nature-related matters.
Appellants read an exception into the Rocky Flats Act that cannot be squared with this common-sense administrative allotment. For under their reading, Energy — and Energy alone — could convey the corridor for transportation improvements. Yet, Appellants fail to explain why Congress would have wanted long-lasting improvements only if a deal to effectuate these improvements could be reached before the administrative hand-off occurred between Energy and the Service. Moreover, managing such a project (and ensuring that it does not unduly impair the refuge) clearly falls squarely within the Service's administrative responsibilities, as the Service is in charge of refuge-related matters.
In addition to the Rocky Flats Act, the Service argues that it had the complimentary authority to convey the land under the National Wildlife Refuge System Act ("the Refuge Act") and the Fish and Wildlife Act. Appellants' only response is
Even were we to reach the substance of Appellants' contention, we would conclude that these additional authorities strengthen the Service's position. A provision of the Refuge Act authorizes the Service to "[a]cquire lands or interests therein by exchange ... for acquired lands or public lands, or for interests in acquired or public lands." 16 U.S.C. § 668dd(b)(3). A similar provision of the Fish and Wildlife Act provides that the Service shall "take such steps as may be required for the development, advancement, management, conservation, and protection of fish and wildlife resources including ... acquisition by purchase or exchange of land and water, or interests therein." Id. § 742f(a)(4). Given the ambiguity of the Rocky Flats Act's plain language, the fact that the Service enjoys the power to enter into land exchanges like this one as a general matter bolsters the reasonableness of the Service's view that it had the power to preside over the exchange here. See Goodyear Atomic Corp. v. Miller, 486 U.S. 174, 184-85, 108 S.Ct. 1704, 100 L.Ed.2d 158 (1988) ("We generally presume that Congress is knowledgeable about existing law pertinent to the legislation it enacts.").
On a final point, we directed the parties to submit supplemental briefs on the potential bearing that RFA § 3175(d)(1)(B) has on the Service's authority to convey the corridor. Having considered the additional arguments on that question, we determine that the provision does not affect the analysis set forth above.
According to this provision,
RFA § 3175(d)(1), (d)(1)(B) (emphasis added). Subsection (a), in turn, provides that "[s]ubject to the other provisions of this section, [Energy] shall transfer administrative jurisdiction over the property that is to comprise the refuge to the [Service]." Id. § 3175(a)(1).
Appellants submit that this catch-all clause — "or any other action" — refers to the corridor, as Energy was tasked with making it available for transportation improvements. See RFA § 3174(e)(1)(A). Thus, as Appellants see it, § 3175(d)(1)(B) indicates that Energy was never supposed to hand over the corridor to the Service. See Aplts.' Supp. Br. at 6 ("Congress anticipated that [Energy] would not transfer the Corridor to [the Service] for inclusion in the Refuge."). This, reason Appellants, "explains why Congress, in Section 3174(e)(1)(A), authorized only [Energy] to `make available' the Corridor, and not [the Service]." Id.
Notably, Appellants take the position that Energy "did not, in fact, retain the Corridor" when it transferred to the Service administrative jurisdiction over the land allocated for the refuge. Id. And, because Energy supposedly "missed its opportunity to retain this property" by virtue of the transfer, it forfeited the authority to convey the corridor for transportation purposes that it otherwise would have had under the congressional grant of § 3175(d)(1)(B). Id.; see id. ("Had [Energy] retained jurisdiction in accordance with Section 3175(d)(1)(B), [Energy] could convey the Corridor for transportation improvements in accordance with Section 3174(e)(1)(A)." (emphasis added)). Nevertheless, according to Appellants, this transfer to the Service does not alter the fact that Congress never intended for the Service to have jurisdiction over the corridor. Id. at 7 ("The fact that [Energy] did not retain jurisdiction over the Corridor, or convey it before the 2007 transfer, does not change the fact that [the Service] never had authority under the Rocky Flats Act to engage in the 2011 Land Exchange."). We cannot accept Appellants' argument.
We begin by explaining Appellants' reasoning in greater detail. They contend that "other than the various response actions and the duty to make available the Corridor, there are no required actions for [Energy] at Rocky Flats." Aplts.' Supp. Br. at 5. As a result, the "any other action" language "must involve [Energy's] requirement to make available the Corridor, or else the" phrase has no significance and "that would violate the statutory construction principle to give meaning to all provisions." Id. Appellants' argument proves too much. As they acknowledge, "any other action" is a "catch-all clause." Id. at 4. We find it difficult to believe that Congress would use a highly generalized "catch-all clause" to express its intent regarding a single, extremely specific issue — viz., making the corridor available for transportation improvements. Indeed, in the Rocky Flats Act itself Congress issued detailed instructions regarding the transportation improvements. See RFA § 3174(e). Consequently, it would be rather surprising if Congress decided to set out its intent regarding the corridor at length in one section and then in the next decided to use an abstract, amorphous phrase to refer solely to the corridor. In other words, Congress knew how to write "transportation improvements" in § 3174(e). Presumably, it knew how to write it as well in § 3175(d)(1)(B), if indeed that is what it meant there too. But it did not do so.
In that regard, the transformation of Rocky Flats from a pollution-plagued former nuclear-weapons operation into a national refuge was an enormous undertaking that lasted decades and involved extensive collaboration between numerous state and federal agencies. Energy played a major role in that effort, as it had managed the land for many years prior. Even as Congress provided for the transfer of much of the area from Energy to the Service, it obviously foresaw a continued role for Energy, for it spelled out a number of duties Energy had left to discharge. In light of these facts, the proposition that it was possible that Energy might have responsibilities relating to Rocky Flats that were not sufficiently encompassed by the term "response actions" is, in our opinion, irrefutable.
The remaining question, then, is whether making the corridor available can be regarded as falling into this category along with any other matters outside the "response action" bucket. We do not believe that it can. The catch-all phrase makes good sense as a precautionary measure to capture any duties Congress had not specifically foreseen falling upon Energy but that Energy would need to perform. It makes far less sense as a reference to a specific issue — making the corridor available — that Congress not only foresaw but also addressed at some length in the RFA itself. Thus, we reject Appellants' contention that the catch-all "or any other action" clause of § 3175(d)(1)(B) refers to the corridor and, more specifically, making it available.
It is helpful to place the foregoing analysis within the context of Chevron. For § 3175(d)(1)(B) to alter the outcome, we must find that it is either (1) an unambiguous directive prohibiting the Service from conveying the corridor; or (2) evidence of congressional intent sufficient to render the Service's interpretation unreasonable. Neither finding is justified. Far from being unambiguous, § 3175(d)(1)(B) speaks in extraordinarily broad, vague language that has no obvious or explicit connection to the corridor, or to the Service's powers with respect to the corridor. As for Chevron step two, given the many aforementioned reasons for concluding that the Service's interpretation is reasonable, we do
For all of the reasons discussed above, we reject Appellants' argument that the Service lacked the authority to convey the corridor under the Rocky Flats Act.
Appellants believe the Service violated NEPA with respect to three main factual areas: (1) contaminated soils; (2) air pollution; and (3) the Preble's Meadow Jumping Mouse. They do not adequately show a NEPA violation in any of these areas.
In NEPA, Congress codified rules designed to "focus[] both agency and public attention on the environmental effects of proposed actions" and thereby "facilitate[] informed decisionmaking by agencies and allow[] the political process to check those decisions." N.M. ex rel. Richardson v. Bureau of Land Mgmt., 565 F.3d 683, 703 (10th Cir.2009). The Act does so in two ways: "First, it places upon an agency the obligation to consider every significant aspect of the environmental impact of a proposed action. Second, it ensures that the agency will inform the public that it has indeed considered environmental concerns in its decisionmaking process." Wyoming, 661 F.3d at 1236-37 (quoting Forest Guardians v. U.S. Fish & Wildlife Serv., 611 F.3d 692, 711 (10th Cir.2010)) (internal quotation marks omitted). The Supreme Court has made clear that "NEPA itself does not mandate particular results, but simply prescribes the necessary process." Robertson v. Methow Valley Citizens Council, 490 U.S. 332, 350, 109 S.Ct. 1835, 104 L.Ed.2d 351 (1989).
Under NEPA, federal agencies must prepare an EIS whenever they undertake "major Federal actions significantly affecting the quality of the human environment." 42 U.S.C. § 4332(C). To determine whether an impact statement is warranted, an agency generates an EA, 40 C.F.R. § 1501.4(b), a "concise public document... that serves to ... [b]riefly provide sufficient evidence and analysis for determining whether to prepare an [EIS] or a [FONSI]," id. § 1508.9(a)(1). The assessment must "include brief discussions of the need for the proposal, of alternatives ..., [and] of the environmental impacts of the proposed action and alternatives." Id. § 1508.9(b). As such, an EA must consider "the cumulative impacts of a project," Davis v. Mineta, 302 F.3d 1104, 1125 (10th Cir.2002), as well as its "indirect effects," Airport Neighbors Alliance, Inc. v. United States, 90 F.3d 426, 433 (10th Cir.1996). Distilled to its essence, "[t]he EA is a rough-cut, low-budget [EIS] designed to show whether a full-fledged [EIS] — which is very costly and time-consuming to prepare and has been the kiss of death to many a federal project — is necessary." Spiller v. White, 352 F.3d 235, 237 (5th Cir.2003) (quoting Sabine River Auth. v. U.S. Dep't of Interior, 951 F.2d 669, 677
If the EA leads to the conclusion that no impact statement is necessary, the agency also creates a FONSI, 40 C.F.R. § 1501.4(e), "a document ... briefly presenting the reasons why an action ... will not have a significant effect on the human environment and for which an [EIS] therefore will not be prepared," id. § 1508.13.
The Service in this case issued an EA and FONSI rather than an impact statement, a decision Appellants contest.
"An agency's decision to issue a FONSI and not prepare an EIS is a factual determination which implicates agency expertise." Greater Yellowstone Coal. v. Flowers, 359 F.3d 1257, 1274 (10th Cir. 2004) (quoting Utah Shared Access Alliance v. U.S. Forest Serv., 288 F.3d 1205, 1213 (10th Cir.2002)) (internal quotation marks omitted). We therefore ask "whether the agency acted arbitrarily and capriciously in concluding that the proposed action will not have a significant effect on the human environment." Id. (quoting Davis, 302 F.3d at 1112) (internal quotation marks omitted). As a general principle, "the judiciary's role in the NEPA context is merely to ensure that the federal agency takes a hard look at the environmental consequences of its actions." Middle Rio Grande Conservancy Dist. v. Norton, 294 F.3d 1220, 1225 (10th Cir.2002). "[A] presumption of validity attaches to the agency action and the burden of proof rests with the appellants who challenge such action." Prairie Band, 684 F.3d at 1008 (quoting Richardson, 565 F.3d at 704) (internal quotation marks omitted). That said, "our review of an EA/FONSI has a substantive component as well as a component of determining whether the agency followed procedural prerequisites." Davis, 302 F.3d at 1112. "If the plaintiffs can demonstrate substantively that the [agency's] conclusion of non-significant effect on the environment represents a `clear error of judgment,' then that conclusion must be reversed." Id. (quoting Utah Shared Access Alliance, 288 F.3d at 1213).
Appellants first assert that the Service had an obligation to prepare an impact statement in regards to soil contaminants, and in particular plutonium. As noted, an agency is compelled to complete an impact statement where its proposed action "may significantly affect the quality of the human environment." Norton, 294 F.3d at 1224 (emphasis added). The term "significantly" is defined in part with reference to "[t]he degree to which the proposed action affects public health or safety." 40 C.F.R. § 1508.27(b)(2). In Appellants' view, the parkway potentially significantly affects the quality of the human environment because its construction will release dangerous levels of plutonium. They therefore assert that the Service was compelled to conduct an EIS concerning plutonium.
In defense of its decision not to conduct a full-blown EIS with regard to plutonium, the Service relied (and continues to rely) on assurances it received from the EPA. More specifically, in 2006 the EPA certified that conditions in the area where the corridor would be situated were "acceptable for unrestricted use and unlimited exposure." Aplts.' App. at 132 (Corrective Action Decision, prepared Sept. 2006).
In their opening brief, Appellants challenge the EPA's advice as "inapplicable," because it was supposedly premised on the assumption that no soil disturbance would take place, and thus did not account for the construction of a parkway. Aplts.' Opening Br. at 31. This is arguably true of the 2006 report, but quite obviously not true of the 2011 letter, which explicitly addressed the parkway construction and explicitly confirmed that such construction posed no risk of exposing anyone to an unacceptable level of radioactive material.
There is no apparent impropriety in the Service's use of the letter. NEPA itself instructs agencies that are deciding whether an impact statement is called for to make use of the "views of the appropriate Federal, State, and local agencies, which are authorized to develop and enforce environmental standards." 42 U.S.C. § 4332(C)(v). With respect to the plutonium issue here, the EPA is undeniably such an agency. See generally Waste Action Project v. Dawn Mining Corp., 137 F.3d 1426 (9th Cir.1998) (discussing the EPA's role in regulating radioactive materials). Tacitly conceding these points, Appellants press two rebuttals: (1) the letter "was not subject to any of the formal procedures that accompany a CERCLA determination," Aplts.' Reply Br. at 11; and (2) it was based on flawed reasoning.
The first argument is unsupported by any authority or elaboration, and is thus inadequately articulated to warrant our consideration of it. See Bronson v. Swensen, 500 F.3d 1099, 1104 (10th Cir.2007) ("[W]e routinely have declined to consider arguments that are not raised, or are inadequately presented, in an appellant's opening brief."). At any rate, to the extent that we can discern its substance, the argument is unconvincing. As noted, NEPA encourages agencies to rely on the "views of the appropriate Federal, State, and local agencies, which are authorized to develop and enforce environmental standards." 42 U.S.C. § 4332(C)(v). The statute does not limit itself to "views of requisite formality," and we are reluctant to insert language where Congress has elected not to. See, e.g., Marchetti v. United States, 390 U.S. 39, 60, 88 S.Ct. 697, 19 L.Ed.2d 889 n.18 (1968) (noting that courts should not insert words into statutes that their drafters omitted); see also Biodiversity Conservation Alliance v. U.S. Forest Serv., 765 F.3d 1264, 1270 (10th Cir.2014) ("NEPA grants substantial discretion to an agency to determine how best to gather and assess information."). Furthermore, the 2011 EPA letter is reasonably read as a clarification and elaboration of the 2006 report; the letter extrapolates from the 2006 findings to explain the risk to construction workers. As such, it was reasonable of the Service to regard the letter as, in essence, a continuation of the CERCLA process that the EPA had begun several years earlier. Consequently, any difference in formality between the 2011 letter and the 2006 report is not dispositive, and
Appellants' second objection to the 2011 letter — that its reasoning is flawed — is even less substantial. They complain that the letter "equates a wildlife refuge worker... with construction workers," even though the two are "not comparable." Aplts.' Reply Br. at 12 (emphasis added). But the letter does no such thing. In the 2006 report, the EPA had considered the health risks associated with plutonium exposures of wildlife refuge workers, but had no occasion to examine such risks as to construction workers. However, in reaching its conclusion in the 2011 letter that the construction posed no risk of exposing anyone to an unacceptable level of radioactive material, the EPA explained that it took account of the difference between the two types of employees — "includ[ing] the potential for greater rates of inhalation and ingestion of soil by the construction worker" — but determined that the "differences are likely offset by the much greater exposure duration" for refuge workers, relative to construction workers who would just be exposed for "a few months." Aplts.' App. at 527 (Letter from Carl Spreng to David Lucas, dated Sept. 21, 2011). The EPA's logic is straightforward and comprehensible: although construction workers are likely to face greater exposures to plutonium than wildlife refuge workers, they will likely be exposed for much shorter periods of time and, therefore, the risks they face are essentially comparable to those of wildlife refuge workers, whom the EPA concluded faced acceptable levels of risk. We have no reason to doubt the EPA's logic, nor to fault the Service for relying on it.
Finally, Appellants articulate a highly detailed criticism of the EPA's conclusion based on the supposed areas that were cleaned and the supposed levels of acceptable hazardous materials. Again, its criticism cannot be squared with the contents of the 2011 letter. In the relevant section of the letter, the EPA indicated that it was addressing dangers to construction workers insofar as they would be working on a construction project related to "a future land transfer at the eastern edge of the site, as per provisions of the [Rocky Flats Act]." Aplts.' App. at 527. In other words, the EPA specifically had in mind the project Appellants are now alleging would release a dangerous amount of radioactive material. And it specifically rejected the allegation that Appellants advance. For us to now second-guess its judgment and hold that the EPA was not in fact aware of the terms of its own analysis would be to "substitute our judgment for that of the agency's," and that we may not do. Ass'ns Working for Aurora's Residential Env't v. Colo. Dep't of Transp., 153 F.3d 1122, 1130 (10th Cir.1998). Recognizing the EPA's authority in the pollutants arena, the Service reasonably consulted it and was given its approval to proceed. Simply put, the Service took a "hard look" at the relevant environmental conclusions reached by an expert agency, and we are in no position to disturb its decision with regard to soil contaminants.
Appellants next discern NEPA violations in the Service's failure to take "a `hard look' at ozone[, i.e., smog,] and nitrogen dioxide pollution," and in its "fail[ure] to support its conclusion that these air quality impacts will be insignificant." Aplts.' Opening Br. at 32. Neither contention justifies reversal.
Appellants believe that the Service failed to adequately consider the impacts
This argument does not survive the rigor of an arbitrary-and-capricious review. The Service avers that the 2008 rules had not yet been implemented when the EA was being prepared and Appellants do not dispute that fact. See Implementation of the 2008 National Ambient Air Quality Standards for Ozone, 77 Fed.Reg. 30,160, 30,161 (May 21, 2012) (noting that the "EPA deferred initial designation of areas for the 2008 ozone NAAQS" and only proposed rulemaking to "address the classifications and attainment deadlines" in February 2012). Therefore, Appellants' argument is essentially that the Service acted arbitrarily and capriciously in relying on studies predicated on then-prevailing standards promulgated by the nation's leading environmental agency, simply because new standards were forthcoming. Not surprisingly, they have no caselaw to support that proposition. Appellants fail to overcome the "presumption of validity" that "attaches to the agency action." Prairie Band, 684 F.3d at 1008 (quoting Richardson, 565 F.3d at 704) (internal quotation marks omitted). There was no NEPA violation with respect the Service's reliance on the state studies.
Appellants also fault the Service for not sufficiently analyzing — or disclosing — the emissions that would result from the construction of the parkway. In its EA, the Service noted that the parkway project would be required to comply with current and future air quality standards. Ultimately, Appellants have no good explanation as to why it was inadequate of the Service to rely on the fact that the parkway project would be subject to continuing environmental requirements. Appellants' largely unsubstantiated position is also complicated by a more fundamental question regarding what the proposed federal action here is. Though Appellants' briefing could be read to imply that the federal action being challenged is the construction of the parkway, they acknowledged at oral argument that the construction is really just a consequence of the action under attack, which is — understood in its most reasonable terms — only the land exchange. Although the distinction may be a technical one, since Appellants fairly regard the exchange and the parkway as closely related, it is nevertheless a distinction that tips the scales in the Service's favor because we are called upon in part to determine whether the level of detail that the Service offers regarding the environmental effects of the parkway's construction — here, effects relating to emissions — is reasonable. Seemingly, were the federal action the parkway construction itself, rather than the land exchange, the Service would have had access to a far more detailed actual construction plan than the hypothetical plan that the Service had before it during the NEPA process. Such a plan would have provided the foundation for a more extensive environmental analysis regarding the parkway's construction, including emissions.
All of this is enough to mean that the Service gets the benefit of the doubt in relying on future regulation and compliance for a parkway that (at least at material times) was not yet a reality. In this
It is also significant that Congress imposed on the transportation improvement plan the requirement that it be "included in the regional transportation plan of the metropolitan planning organization designated for the Denver metropolitan area." RFA § 3174(e)(2)(B)(ii). This occurred with respect to the parkway project. As required by federal law, the planning organization verified that each of its undertakings — the parkway included — would meet federal emissions standards. See 23 U.S.C. § 134(i)(3). The Service was thus on solid ground in relying on procedures for future environmental oversight, as Congress specifically provided an important mechanism in that regard.
Turning to Appellants' next contention, they maintain that the Service's treatment of nitrogen dioxide emissions from vehicles on the proposed parkway violated NEPA in the following respects: (1) it failed to quantify emissions; (2) it omitted "an alternative qualitative description of the public health impacts associated with" emissions; and (3) it failed to consider whether emissions would comply with a nitrogen dioxide standard adopted by the EPA in 2010. Aplts.' Opening Br. at 32. In response, the Service argues that the evolving nature of the EPA standards regarding nitrogen dioxide made it impractical to fully consider the matter in its EA and made it more appropriate to rely on local government to ensure that any transportation projects comply with national benchmarks.
Appellants' attack on the Service's explanation is twofold: (1) "agencies cannot avoid NEPA significance by claiming impacts are unclear or require additional study"; and (2) modeling of nitrogen dioxide emissions is available. Aplts.' Opening Br. at 38. Both of these assertions imply that the Service refused to consider nitrogen dioxide impacts because of difficulties assembling the pertinent data. That is not, however, why it left the impacts out of its EA. Rather, it did so because the forthcoming legal standards had not yet been promulgated. See Aplts.' App. at 474 ("In the absence of final standards and guidance, modeling how current, approved regional transportation plans comply with
Appellants contend that the Service violated NEPA in its EA with respect to its treatment of the Preble's Meadow Jumping Mouse in various ways, each of which is discussed below.
In Appellants' view, the Service's "discussion of the no action alternative was deficient." Aplts.' Opening Br. at 44 (capitalization removed). A no-action analysis "compare[s] the potential impacts of the proposed major federal action to the known impacts of maintaining the status quo." Custer Cnty. Action Ass'n v. Garvey, 256 F.3d 1024, 1040 (10th Cir.2001). Appellants begin this section of their brief with the statement that "NEPA requires agencies to evaluate a `no action' alternative to provide an environmental baseline." Aplts.' Opening Br. at 44 (citing 40 C.F.R. § 1502.14(d)). Here, though, there was no such requirement. We have explained that § 1502.14 applies only to the EIS preparation process, not to the preparation of EAs, and that a no-action analysis is therefore not automatically necessary when an agency does only the latter. See W. Watersheds Project v. Bureau of Land Mgmt., 721 F.3d 1264, 1274 (10th Cir. 2013).
Even though "the absence of a detailed No Action analysis by itself does not render" an EA and its resulting FONSI arbitrary or capricious, id. at 1274, a plaintiff may in some circumstances demonstrate "that the absence of a No Action analysis compromised the EA so severely as to render the FONSI arbitrary and capricious," id. at 1275.
The question of whether the Service's no-action analysis passes muster turns on the nature of the various parcels involved in the land exchange. According to the terms of the exchange, the Service acquired the surface, sand, and gravel rights to Section 16 (acquired from the State of Colorado) and all of the land in Section 3 (acquired from Energy). With respect to these parcels, Appellants first complain that "[t]he agency failed to disclose the current status of Mouse habitat on" either section "and thus the EA omits the benchmark against which the Land Exchange can be judged." Aplts.' Opening Br. at 44-45. In fact, the EA noted that "section 16 contains some riparian habitat that is considered suitable for [the] mouse," Aplts.' App. at 457, and the draft EA that was circulated for public comment described the land acquired in the exchange — which included Section 16 — as "very important" to the mouse, Aplees.' J. Supp. App. at 227 (Draft Envtl. Assessment, prepared Sept. 2011). Short though these discussions may be, they undermine Appellants' insistence that the EA "failed to disclose the current status of Mouse habitat on the Section 16 property," Aplts.' Opening Br. at 44-45, and thus weaken the underlying premise of their position.
Taking a related tack, Appellants fault the Service for failing to disclose that the habitat within Sections 3 and 16 had
With those background points in mind, there is evidence in the administrative record that the acquisition of Section 16 brought into the federal government's control 104 acres of suitable mouse habitat.
Lastly, Appellants assert that the Service violated NEPA by not specifically addressing the acquired properties as "mitigation measures" for the exchange. However, in our view, Appellants misunderstand the Service's reasons for discussing the acquired properties in the EA. They were not mitigation measures at all. We begin by explaining the function of mitigation measures in the NEPA setting.
An agency "can decline to prepare an EIS even if it finds a potentially significant impact so long as it also finds `changes or safeguards in the project sufficiently reduce the impact to a minimum.'" Hillsdale Envtl. Loss Prevention, Inc. v.
By contrast, an EIS presupposes the existence of significant environmental effects — that is, such effects are its raison d'être, see, e.g., Utah Shared Access Alliance v. Carpenter, 463 F.3d 1125, 1131 (10th Cir.2006); consequently, an EIS must include a discussion of mitigation measures, see San Juan Citizens Alliance v. Stiles, 654 F.3d 1038, 1053 (10th Cir. 2011) ("[A]n EIS must ... discuss `steps that can be taken to mitigate [a project's] adverse environmental consequences.'" (second alteration in original) (quoting Robertson, 490 U.S. at 351, 109 S.Ct. 1835)).
Applying that framework, the Service was only required to include mitigation measures in its EA if it forecast a significant impact resulting from the exchange. The EA made no such forecast. Rather, as the Service rightly observes, the EA discussed the acquisition of Sections 3 and 16 (and the other parcels transferred to the Service under the deal) as part of the proposed agency action, not as a mitigation measure to compensate for some separate action. It is therefore appropriate that the EA omitted any section with the word "mitigation" in the title, and Appellants' mitigation arguments do not entitle them to relief.
It is Appellants' position that the Service ran afoul of NEPA when it shielded from public notice and comment the documents the EA relied upon for its statements regarding the mouse. When preparing an EA, an "agency shall involve ... the public ... to the extent practicable." 40 C.F.R. § 1501.4(b). Plainly, this language affords an agency "considerable discretion to decide the extent to which such public involvement is `practicable.'" Brodsky v. U.S. Nuclear Regulatory Comm'n, 704 F.3d 113, 121 (2d Cir.2013); see Taxpayers of Mich. Against Casinos v. Norton, 433 F.3d 852, 861 (D.C.Cir.2006) (observing that an agency enjoys "significant discretion in determining when public comment is required with respect to EAs"); see also Flowers, 359 F.3d at 1279 ("NEPA's public involvement requirements are not as well defined when an agency prepares only an EA and not an EIS.").
Our Flowers decision compels a finding that the Service acted well within the confines of this substantial discretion. There, we upheld an agency against a similar challenge where it failed to circulate for public comment various documents supporting its environmental assessment. 359 F.3d at 1279. One of those documents was a biological opinion, the very document that Appellants focus on here. Id. Rejecting
The logic of Flowers applies a fortiori to the instant appeal. In Flowers, the assessment itself was never circulated, id., which was not the case here. And, just as in Flowers, the circulated notice did mention the possibility of impacts on the mouse, and the notice was presumably sufficient since the comments themselves then brought the issue up. Thus, there is even more reason here to uphold the agency action than in Flowers. In sum, Appellants fail to disturb the "presumption of validity [that] attaches to the agency action." Prairie Band, 684 F.3d at 1008 (quoting Richardson, 565 F.3d at 704) (internal quotation marks omitted).
In Appellants' opinion, the Service's decision to conduct an intra-agency consultation regarding the potential effect of the parkway on the mouse "undermines [its] NEPA findings on the same agency action," Aplts.' Opening Br. at 41, because a formal consultation only occurs when an action is "likely to adversely affect" a species and that very finding required the Service to also prepare a full EIS and not just an EA, id. (quoting 50 C.F.R. § 402.13). Appellants have no authority to support the proposition that once an agency initiates the consultation process it is precluded from issuing an EA rather than an EIS. Under our binding precedent, that is clearly not the case. See Flowers, 359 F.3d at 1265, 1276 (upholding an agency's decision to prepare only an EA despite the fact that it initiated — and reinitiated — consultation with the Service); cf. Cold Mountain v. Garber, 375 F.3d 884, 893 (9th Cir.2004) (affirming an agency's decision not to prepare an EIS in part because it engaged in consultation with the Service beforehand). Accordingly, Appellants do not demonstrate a NEPA violation on this ground.
Appellants contend that the Service violated NEPA by relying on the first biological opinion, when its decision to get a second opinion reveals the first to be inadequate. However, as the district court before us held, the two biological opinions reach the same ultimate conclusion: that the land exchange did not jeopardize the continued existence of the mouse. It is entirely unclear how the fact of the reinitiation and subsequent biological opinion has any bearing on the Service's decision to forgo an impact statement, and Appellants offer no assistance in detecting such a connection.
For all of these reasons, we reject Appellants' NEPA claim.
Having disposed of Appellants' NEPA claim, we now take up their ESA argument. The entirety of Appellants' ESA-based argument is premised on the notion that "[the Service] unlawfully failed to issue [a take statement] for the land exchange." Aplts.' Opening Br. at 52 (emphasis added) (capitalization removed).
The Service is also charged during the consultation process with "formulat[ing] a statement concerning incidental take, if such take may occur." 50 C.F.R. § 402.14(g)(7) (emphases added); see 16 U.S.C. § 1536(b)(4)(i) (providing that the Service "shall provide the Federal Agency... with a written statement that ... specifies the impact of such incidental taking on the species"); 50 C.F.R. § 402.14(i)(1) (noting that an incidental take statement "[s]pecifies the impact, i.e., the amount or extent of such incidental taking on the species"). "The term `take' means to harass, harm, pursue, hunt, shoot, wound, kill, trap, capture, or collect, or to attempt to engage in any such conduct." 16 U.S.C. § 1532(19); accord Rio Grande Silvery Minnow, 601 F.3d at 1106 n. 4.
The take statement is "a permit authorizing the action agency to `take' the endangered or threatened species so long as it respects the Service's terms and conditions." Bennett v. Spear, 520 U.S. 154, 170, 117 S.Ct. 1154, 137 L.Ed.2d 281 (1997) (internal quotation marks omitted). "In those cases where the Service concludes that an action (or the implementation of any reasonable and prudent alternatives) and the resultant incidental take of listed species will not violate [the ESA], ... the Service will provide with the biological opinion a statement concerning incidental take...." 50 C.F.R. 402.14(i)(1) (emphases added) (citations omitted); see Rio Grande Silvery Minnow, 601 F.3d at 1106 (describing the conditions under which an incidental take statement may be issued).
As noted, Appellants' ESA argument is predicated solely on the assertion that the Service unlawfully failed to issue an incidental take statement regarding the land exchange. We reject this contention. At the outset, we observe that arguably the Service was not legally required to issue an incidental take statement at all for the land exchange. This is because, in the course of issuing two biological opinions indicating that the exchange would not jeopardize the continued existence of the mouse or adversely modify its critical habitat, the Service expressly stated that it "anticipate[d] that the proposed land exchange will not result in incidental take of the [mouse]." Aplts.' App. at 365 (Biological Op., prepared Nov. 17, 2011).
The plain terms of the statute and regulations suggest that, at least where there is no evidence that a take may occur, the Service need not issue an incidental take statement. See Ariz. Cattle Growers'
In this regard, both biological opinions contain a section clearly labeled "incidental take statement." See Aplts.' App. at 364; id. at 574 (Biological Op., prepared Feb. 14, 2012). In the first biological opinion, though noting that it "anticipate[d] that the proposed land exchange w[ould] not result in incidental take of [the mouse]," the Service explicitly recognized that the related "use of the 300-foot strip of land... may result in take, and the project proponent will be required to obtain incidental take coverage ... when a project has been defined and proposed." Id. at 365. The second opinion is of a similar stripe but provides greater detail: it indicates that the construction of the parkway, "which is interdependent upon [the] proposed land exchange, will result in the incidental take of 12.4 acres of ... mouse habitat and in the take of no more than one individual mouse." Id. at 575 (emphasis added).
Appellants offer no reason for us to consider these passages as anything other than what they purport to be: incidental take statements pertaining to the land exchange.
Appellants seek leave to file a supplemental appendix. The Service opposes the motion but asks, in the event it is granted, to be allowed to file its own supplement. We conditionally allowed both parties to file their supplemental submissions but reserved the right to exclude them. Upon further consideration, we conclude that each of Appellants' submitted documents could and should have been included in their original appendix if they wanted to rely upon them. See 10th Cir. R. 30.1(A)(3) ("The court need not remedy any failure of counsel to provide an adequate appendix."). We accordingly deny Appellants' motion to file a supplemental appendix. As for the Service, its documents are only submitted in response to Appellants', and since we are denying Appellants' motion, we deny the Service's as moot.
For the reasons stated, we