OLIVER W. WANGER, District Judge.
This case is before the Court on the Federal Defendant's Motion for Partial Summary Judgment. This case involves a challenge to the Federal Emergency Management Agency's ("FEMA") administration of the National Flood Insurance Program ("NFIP") in the Sacramento-San Joaquin Delta ("Delta").
Plaintiffs claim that residential, commercial, and agricultural development in the Delta adversely affects four listed species: Sacramento River winter-run Chinook salmon, the Central Valley spring-run Chinook salmon, the Central Valley Steelhead, and the Delta smelt. Plaintiffs assert that FEMA's actions under the NFIP cause "more development in the flood-prone areas of the Delta," which harms listed species. Plaintiffs' challenges to FEMA actions under the NFIP include: (1) issuance, administration, and enforcement of minimum flood plain management criteria; (2) issuance of Letters of Map Changes ("LOMCs"); and (3) providing flood insurance to property owners within participating communities. Plaintiffs specifically identify 74 LOMCs and two
Plaintiffs complain that FEMA's floodplain management criteria: "Are designed to reduce threats to lives and to minimize damages to structures and water systems, and are not designed to protect aquatic habitat, threatened or endangered species, or other environmental values." TAC at ¶ 73. This includes FEMA-conducted "community visits" and "technical assistance to local officials" to ensure participating communities adopt and enforce land management ordinances, all of which entails FEMA "discretion" in developing and administering the criteria, requiring section 7(a)(2) consultation.
Plaintiffs assert this process encourages third parties to use fill to elevate properties, or build levees to provide flood protection to induce FEMA to remove the property from the SFHA, relieving property owners of the statutory obligation to purchase flood insurance. TAC at ¶¶ 70-72. These floodplain mapping activities are said to "encourage" these harmful actions, requiring section 7(a)(2) consultation. Id.
Plaintiffs further complain "FEMA" has issued hundreds of new individual flood insurance policies for the new structures within floodplains utilized by and relied upon by the Listed Species without the benefit of consultation in violation of section 7(a)(2).
FEMA and its director Janet Napolitano (collectively, "Federal Defendants" or "FEMA") move for partial summary judgment on the specific grounds that: (1) Plaintiffs' Challenge to FEMA's Minimum Floodplain Management Criteria is barred by the statute of limitations; (2) FEMA's alleged authority to amend the NFIP regulations does not trigger a duty to consult under the ESA; (3) FEMA's procedure of issuing LOMCs does not trigger a duty to consult because that process has no effect on listed species; (4) Plaintiff's challenge to certain LOMCs is precluded because Title 42 U.S.C. § 4104 sets forth the exclusive mechanism for challenging LOMCs; and (5) FEMA's issuance of flood insurance is a non-discretionary act that is not subject to Section 7(a)(2) under National Association of Home Builders v. Defenders of Wildlife, 551 U.S. 644, 669, 127 S.Ct. 2518, 168 L.Ed.2d 467 (2007). Doc. 122. Plaintiffs oppose. Doc. 129. FEMA replied. Doc. 138. The matter came on for hearing in Courtroom 3 on April 7, 2011.
Plaintiffs have filed several requests for judicial notice in connection with their opposition. Docs. 131, 142, 144. All but one is a public record downloaded from a public agency's official website. These documents are subject to judicial notice under Federal Rule of Evidence 201. See Cachil Dehe Band of Wintun Indians of the Colusa Indian Comm'ty v. California, 547 F.3d 962, 968-69 n. 4 (9th Cir.2008) (taking judicial notice of gaming compacts located on official California Gambling Control Commission website); Santa Monica Food Not Bombs v. City of Santa Monica, 450 F.3d 1022, 1025 n. 2 (9th Cir.2006) (taking judicial notice of "public records" that "can be accessed at Santa Monica's official website"). However, judicially noticed documents may be considered only for limited purposes. Public records "are subject to judicial notice under [Rule] 201 to prove their existence and content, but not for the truth of the matters asserted therein. This means that factual information asserted in these document[s] or the meeting cannot be used to create or resolve disputed issues of material fact." Coalition for a Sustainable Delta v. McCamman, 725 F.Supp.2d 1162, 1183-84 (E.D.Cal.2010) (emphasis added).
• Exhibit A — Excerpts from FEMA, Region 10, Floodplain Habitat Assessment and Mitigation, Regional Guidance (Jan. 2010), http://www.fema.gov/pdf/about/regions/regionx/draft_ mitigation_guide.pdf.
• Exhibit B — Excerpts from the Nat'l Marine Fisheries Serv., Northwest Region, Endangered Species Act Section 7 Formal Consultation and Magnuson-Stevens Fishery Conservation and Management Act Essential Fish Habitat Consultation for the on-going National Flood Insurance Program carried out in the Puget Sound area in Washington State (Sept. 22, 2008) ("Puget Sound BiOp"), https://pcts. nmfs.noaa.gov/pls/pcts-pub/sxn7.pcts_ upload.download?p_file=F3181/200600472.
• Exhibit N — Excerpts from FEMA Region 10, Community Checklist for the National Flood Insurance Program and the Endangered Species Act (July 2010), http://www.fema.gov/pdf/about/regions/regionx/Biological_ Opinion_Checklist8_12._10.pdf.
• Exhibit Q — FEMA & NMFS, Frequently Asked Questions, Demystifying National Flood Insurance Program Alignment with the Endangered Species Act, Edmonds, WA March 1 & 2, 2011.
FEMA argues that these documents, which pertain to FEMA Region 10's implementation of the NFIP in and around Puget Sound are not relevant to FEMA Region 9's implementation of the NFIP in the Sacramento San Joaquin Delta. Rule 401 defines "relevant evidence" liberally to include "evidence having any tendency to make the existence of any fact that is of consequence to the determination of the action more or less probable than it would be without the evidence." (Emphasis added). Plaintiffs offer these documents to demonstrate that NMFS has determined that implementation of the NFIP in the Puget Sound region jeopardizes the continued existence of listed salmonid species in that region. This satisfies the relevance standard, as any differences in indigenous
Plaintiffs offer these documents for the truth of the matters asserted therein, to prove that a dispute exists over whether FEMA's administration of the NFIP may affect listed species. This is an impermissible use of judicially noticed documents and the objections on this ground are SUSTAINED.
Documents A, L, N, Q, & R, all of which were authored by FEMA, are admissible under Federal Rule of Evidence 801(d)(2)(D), which permits the admission of statements offered against a party that are the statement of the party or the party's agent or servant, "concerning a matter within the scope of the agency or employment, made during the existence of the relationship." See United States v. Bonds, 608 F.3d 495, 503 (9th Cir.2010). Each of these documents is an official FEMA publication concerning matters within FEMA's scope of operations.
Exhibit B, a biological opinion prepared by NMFS, is admissible under Federal Rule of Evidence 803(8), which provides an exception to the hearsay rule:
NMFS prepares biological opinions under a duty imposed by ESA § 7(a)(2).
Federal Defendants' objections to the admission of Documents A, B, L, N, Q & R for their truth are OVERRULED.
This document contains excerpts of a draft biological assessment for ESA consultation with NMFS over the potential effects of "typical projects that are funded by FEMA in response to, or in preparation for, disasters" in California. FEMA argues that this document is not relevant because its actions responding to and/or preparing for disasters are not challenged in the Complaint. This relevancy objection is OVERRULED, because the document, which concludes that activities like removal of vegetation, grading, fill, bank stabilization, and others taken under the NFIP "may affect" listed species, and has some tendency to show these activities make it more likely that implementation of the NFIP may affect listed salmonids in the Delta.
This document is a party admission and separately admissible on that ground under Federal Rule of Evidence 801(d)(2). Alternatively, this document is also admissible as a public record under Rule 803(8), as the ESA mandates the preparation of biological assessments when certain conditions exist.
FEMA's objections to the admission of Exhibit F for its truth are OVERRULED.
• Exhibit C — Settlement Agreement and [Proposed] Order in Audubon Soc'y of Portland v. FEMA, No. 3:09-cv-00729-HA (D. Or. filed June 25, 2009), ECF No. 20 (filed July 9, 2010), obtained by accessing the official PACER web page for the U.S. District Court for the District of Oregon at https://ecf. ord.uscourts.gov/cgi-bin/login.pl.
• Exhibit C1 — Order in Audubon Soc'y of Portland v. FEMA, No. 3:09-cv-00729-HA (D. Or. filed June 25, 2009), ECF No. 21 (filed July 12, 2010), obtained by accessing the official PACER web page for the U.S. District Court for the District of Oregon at https://ecf. ord.uscourts.gov/cgi-bin/login.pl.
• Exhibit D — Settlement Agreement and Stipulation of Dismissal in Nat'l Wildlife Fed'n v. Fugate, No. 1:10-cv-22300-KKM (S.D. Fla. filed July 13, 2010), ECF No. 20 (filed Jan. 20, 2011), obtained by accessing the official CM/ECF web page for the U.S. District Court for the Southern District of Florida at https://ecf.flsd.uscourts.gov/cgi-bin/login.pl.
• Exhibit E — Sixth Joint Motion for Stay in WildEarth Guardians v. FEMA, No. 09-0882-RB/WDS (D.N.M. filed Sept. 14, 2009), ECF No. 34 (filed Jan. 28, 2011), obtained by accessing the official PACER web page for the U.S. District Court for the District of New Mexico at https://ecf.nmd.uscourts.gov/cgi-bin/login.pl.
• Exhibit E1 — First Amended Complaint in WildEarth Guardians v. FEMA, No. 09-0882-RB/WDS (D.N.M. filed Sept. 14, 2009), ECF No. 1 (filed Sept. 14, 2009), obtained by accessing the official PACER web page for the U.S. District Court for the District of New Mexico at https://ecf.nmd.uscourts.gov/cgi-bin/login.pl.
• Exhibit E2 — Settlement Agreement and Stipulation of Dismissal in Forest Guardians v. FEMA, No. 1:01-cv-00079-MCA-RLP (D.N.M. filed Jan. 22, 2001), ECF No. 12 (filed Feb. 25, 2002), obtained by accessing the official PACER web page for the U.S. District Court for the District of New Mexico at https://ecf.nmd.uscourts.gov/cgi-bin/login.pl.
• Exhibit P — Settlement Agreement and Order of Dismissal in WildEarth Guardians v. FEMA, No. 09-0882-RB/WDS (D.N.M. filed Sept. 14, 2009), ECF No. 37 (filed Feb. 11, 2011, entered Feb. 15, 2011)
These documents are court filings and settlements of other litigation. FEMA. objects that under Federal Rule of Evidence 408, these exhibits are inadmissible as evidence of liability. See also Green v. Baca, 226 F.R.D. 624, 640 (C.D.Cal. 2005) (noting that Rule 408 bars the use of evidence of settlement negotiations or completed settlements in other cases to prove liability). Rule 408 "does not require exclusion when the evidence is offered for another purpose, such as proving bias or prejudice of a witness, negating a contention of undue delay, or proving an effort to obstruct a criminal investigation or prosecution. . . ." Fed.R.Evid. 408(b). Plaintiffs claim these documents are offered simply to demonstrate "that FEMA has either voluntarily settled claims that it has failed to consult with respect to [in] its ongoing implementation of the [NFIP]." Doc. 131. This is to show consciousness of liability. Plaintiffs actually use these documents in their Opposition to the Motion for Partial Summary Judgment to argue "it would be curious for FEMA to voluntarily consult if, as the agency claims, it has no legal basis to do so." Doc. 129 at 9. These are impermissible uses of the settlements
Plaintiffs alternatively contend that the settlements demonstrate FEMA has discretion to take actions that benefit the species, because if they had no such discretion it could not enter into the settlements as a matter of law. Doc. 141 at 4. FEMA rejoins that, for example, Exhibit P, a settlement agreement pertaining to FEMA's administration of the NFIP in New Mexico, does not state or imply that FEMA retains discretionary authority with respect to any of the three components of FEMA's administration of the NFIP in the Delta. But, that settlement calls for initiation of consultation over, among other things, FEMA's floodplain mapping activities within New Mexico. That FEMA could lawfully enter into consultation on that activity (which would violate Home Builders if FEMA did not have discretion to modify its mapping activities for the benefit of listed species) is relevant to whether FEMA retains similar discretion in its mapping activities in the Delta. These settlement documents are admissible for the limited purpose of demonstrating that FEMA does retain discretion to take actions to benefit the species under the NFIP, not for the truth or to demonstrate liability. FEMA's objections as to Exhibits C, C1, D, E, E1, E2, and P are OVERRULED solely on that ground.
Exhibit G consists of excerpts of the Delta Vision Strategic Plan, prepared by Governor Arnold Schwarzenegger's Delta Vision Blue Ribbon Task Force. Its discussion of the impacts of development on Delta species is arguably relevant, but it is subject to judicial notice solely for the limited purposes discussed above.
Federal Rule of Evidence 803(8) exempts from the hearsay rule public reports concerning "matters observed pursuant to duty imposed by law as to which matters there was a duty to report." The Delta Vision Strategic Plan was the result of California Executive Order S-17-06, requiring a Blue Ribbon Task Force to develop a strategic plan for the Delta.
FEMA's objections to Exhibit G are OVERRULED. The document is admissible as a public record, but its contents and the opinions expressed are subject to dispute.
Exhibit H contains excerpts of a document prepared by the Public Policy Institute of California ("PPIC"). Assuming, arguendo, this document is relevant, it is not subject to judicial notice, as PPIC is a non-governmental organization. Even if it were judicially noticeable, it is not admissible for the truth of its contents. Nor is it admissible under either Rule 801(d)(2) because it is not a FEMA publication or Rule 803(8) because it was not prepared by a government agency pursuant to a legal duty.
At oral argument, counsel for Plaintiffs argued that this and all other documents for which judicial notice is sought would be admissible at trial through their retained expert witness. However, any documents offered on summary judgment must be authenticated by an appropriate affidavit or declaration providing
Alternatively, Plaintiffs invoke Federal Rule of Civil Procedure 56(d), which permits a court to defer considering a motion, deny it, allow time to obtain additional affidavits or discovery, or issue any other appropriate order if the non-moving party demonstrates by affidavit or declaration that it cannot present facts essential to justify its opposition. Plaintiffs' offer of proof during oral argument that they have retained an expert who will provide foundations for Exhibit H does not explain why they did not earlier address the issue. There is no need to defer a decision on issues for which Exhibit H "may create" a material dispute of fact. The merits of the pending motion can be resolved without reference to this document. It is unnecessary to resolve Plaintiffs' request for a rule 56(d) continuance to secure expert evidence that would render Exhibit H admissible.
• Exhibit I — Excerpts from Am. Insts. for Research, The Evaluation of the National Flood Insurance Program — Final Report (Oct. 2006) ("NFIP Evaluation Final Report"), http://www.fema. gov/library/viewRecord.do?id=2573.
• Exhibit J — Excerpts from Am. Insts. for Research, The Development and Envtl. Impact of the Nat'l Flood Ins. Program: A Summary Research Report (Oct. 2006) ("The Developmental and Envtl. Impact of the NFIP"), http://www.fema.gov/library/view Record.do?id=2597.
• Exhibit K — Excerpts from Am. Insts. for Research, Assessing the Adequacy of the Nat'l Flood Ins. Program's 1 Percent Flood Standard (Oct. 2006), http://www.fema.gov/library/view Record.do?id=2595.
Exhibits I through K consist of excerpts of documents prepared by the American Institutes for Research, a private entity. Although the documents were prepared with funds provided by FEMA, the documents explicitly provide that their content "does not necessarily reflect the views or policies of [FEMA]." Norton Decl., Ex. I at 120, Ex. J at 133, Ex. K at 148. These documents are not admissions by FEMA.
The documents are arguably subject to judicial notice, as they are made available for public inspection on the FEMA website. See Victoria v. JPMorgan Chase Bank, 2009 WL 5218040 *2 (E.D.Ca. Dec. 29, 2009). The statements contained in the documents are not subject to judicial notice for their truth, nor are they admissions of a party opponent or government reports.
As with Exhibit H, these documents have not been properly authenticated for admission through an expert witness for the truth. Plaintiffs again offer to provide such authentication at a later stage of discovery. Again, as with Exhibit H, because Exhibits I through K are unnecessary to the merits ruling on the pending motions, it is unnecessary to resolve Plaintiffs' request for a Rule 56(d) continuance to secure
FEMA does not object to judicial notice of Exhibit M, which is a public record. Plaintiffs' request for judicial notice of Exhibit M is GRANTED. It will be considered for the truth under both Federal Rule of Evidence 801(d)(2)(D) and 803(8).
The Declaration of Robert C. Horton in support of Plaintiffs' request for judicial notice lists two additional documents, Exhibits O and O1, that were not addressed in any of Plaintiffs' requests for judicial notice. See Doc. 131 (requesting judicial notice of Exhibits A-N; Doc. 142) (same as to Exhibit P); Doc. 144 (same as to Exhibits Q-R). Exhibits O and 01 are referenced by Plaintiffs in support of their alternative request to deny Federal Defendants' motion for partial summary judgment pursuant to Federal Rule of Civil Procedure 56(d). Specifically, Exhibit 0 is a copy of FEMA's October 19, 2010 letter responding to Plaintiffs' request for documents under the Freedom of Information Act ("FOIA"). Exhibit 01 is a copy of a complaint filed by Plaintiffs on September 8, 2010 against FEMA alleging FOIA violations. Both of these documents are judicially noticeable court records, admissible to demonstrate their existence and content, not the truth of or any disputed parts of their contents.
The ESA provides for the listing of species as threatened or endangered. 16 U.S.C. § 1533. The Secretaries of Commerce and Interior share responsibility for implementing the ESA. The Secretary of Commerce has responsibility for listed marine species (including anadromous salmonids) and administers the ESA through the National Marine Fisheries Service ("NMFS"). The Secretary of Interior is responsible for listed terrestrial and inland fish species (including the delta smelt) and administers the ESA through the United States Fish and Wildlife Service ("FWS"). See id. § 1532(15); 50 C.F.R. §§ 17.11, 402.01(b).
ESA Section 9 prohibits "any person subject to the jurisdiction of the United States" from "tak[ing] any such species within the United States." 16 U.S.C. § 1538(1)(B). "Take" is defined as "to harass, harm, pursue, hunt, shoot, wound, kill, trap, capture, or collect, or to attempt to engage in any such conduct." Id. § 1532(19). The ESA's citizen suit provision allows a private plaintiff to bring an action to enjoin private activities alleged to be in violation of the ESA. Id. § 1540(g).
Section 7(a)(2) directs each federal agency to insure, in consultation with FWS or NMFS (the "consulting agency"), that "any action authorized, funded, or carried out by such agency . . . is not likely to jeopardize the continued existence of" any listed species or destroy or adversely modify designated critical habitat. Id. § 1536(a)(2). The term "action" is defined as:
50 C.F.R. § 402.02.
If the agency proposing the action ("action agency") determines that the action "may affect" listed species or critical habitat, it must pursue either informal or formal consultation. 50 C.F.R. §§ 402.13-402.14. Formal consultation is required unless the action agency determines, with the consulting agency's written concurrence, that the proposed action is "not likely to adversely affect" a listed species or its critical habitat. Id. §§ 402.14(b)(1), 402.13(a). If formal consultation is required, the consulting agency must prepare a biological opinion stating whether the proposed action is likely to jeopardize the continued existence of any listed species or destroy or adversely modify critical habitat. 16 U.S.C. § 1536(a)(2); 50 C.F.R. § 402.14.
The ESA's implementing regulations provide that "Section 7 and the requirements of this part apply to all actions in which there is discretionary Federal involvement or control." 50 C.F.R. § 402.03. Section 7 does not apply where an agency "simply lacks the power to `insure' that [its] action will not jeopardize endangered species[." See Home Builders, 551 U.S. at 667, 127 S.Ct. 2518.
A 2004 decision in a section 7 challenge to FEMA's implementation of the NFIP in Puget Sound summarizes the NFIP:
Nat'l Wildlife Fed'n v. FEMA, 345 F.Supp.2d 1151, 1155 (W.D.Wash.2004) ("NWF v. FEMA").
Congress created the NFIP to, among other things, "provid[e] appropriate protection against the perils of flood losses" and to "minimiz[e] exposure of property to flood losses." 42 U.S.C. § 4001(c). The program seeks to "encourage State and local governments to make appropriate land adjustments to constrict the development of land which is exposed to flood damage and minimize damage caused by flood losses." Id. § 4001(e). To accomplish these objectives, Congress mandated that FEMA "shall make flood insurance available" in communities that have (1) evidenced interest in securing flood insurance through the NFIP and (2) adopted adequate floodplain management regulations consistent with criteria developed by FEMA. See 42 U.S.C. § 4012(c); see id. § 4022(a); 44 C.F.R. § 60.1(a). The criteria must be designed to encourage state and local governments to adopt flood plain regulations that will:
42 U.S.C. § 4102(c).
In 1976, after notice and opportunity for public comment, FEMA promulgated regulations setting forth the minimum floodplain management criteria required by the NFIA. See 41 Fed. Reg. 46,975 (Oct. 26, 1976); 44 C.F.R. §§ 60.3 (criteria for flood-prone areas), 60.4 (criteria for mudslide-prone areas), 60.5 (criteria for flood-related erosion-prone areas). The regulations have not been amended in any substantive fashion since 1997. See 62 Fed. Reg. 55,706, 55,716 (Oct. 27, 1997). In order to qualify for flood insurance under the NFIP, a community must adopt and enforce a floodplain management ordinance that meets or exceeds the regulatory criteria. See 44 C.F.R. §§ 59.2(b), 59.22(a)(3), 60.1.
The land management criteria for flood-prone areas require participating communities to adopt land use ordinances that restrict development of land susceptible to flooding. See 44 C.F.R. §§ 60.3, 60.1(d). In relevant part, the ordinances must require new or substantially improved structures to be built with the lowest floor at or above the "base flood elevation." Id. § 60.3(c)(2)-(3). The base flood is the flood that has a one percent chance of being equaled or exceeded in any given year (referred to as the "100-year flood"). Id. § 59.1. The ordinances also must include effective enforcement provisions. Id. § 59.2(b). A community that fails to adequately enforce its floodplain management ordinance may be put on probation or suspended from the NFIP. See 44 C.F.R. § 59.24(b)-(c)
Under the NFIA, Congress directed FEMA to identify and publish information for floodplain areas nationwide that have special flood hazards (referred to as "Special Flood Hazard Areas" or "SFHAs") and to establish flood-risk zone data. 42 U.S.C. § 4101. This data is then transferred onto Flood Insurance Rate Maps ("FIRMs"). 44 C.F.R. § 59.1. The SFHA is the "land within a community subject to a 1 percent or greater chance of flooding in any given year," also referred to as the base flood. Id.
The NFIA requires FEMA to assess the need to revise and update FIRMs and flood-risk zones "based on an analysis of all natural hazards affecting flood risks." 42 U.S.C. § 4101(e)-(f). State or local governments may request FIRM revisions, provided they submit sufficient technical data to justify the request. See 42 U.S.C. § 4101(f)(2). Individual landowners may also request that a FIRM be revised by requesting a LOMC. See 44 C.F.R. §§ 65.4-65.8; 44 C.F.R. pt. 72; 42 U.S.C. § 4104; Norton Decl., Doc. 124, at ¶ 6.
FEMA periodically revises FIRMs by either publishing a new FIRM or by making minor changes or corrections through Letters of Map Revisions ("LOMRs") or Letters of Map Amendments ("LOMAs"), collectively LOMCs. 44 C.F.R. pts. 70, 72; Norton Decl., Doc. 124, at ¶ 6. A LOMR is a modification of the effective FIRM "based on the implementation of physical measures that affect the hydrologic or hydraulic characteristics of a flooding source and thus result in a modification of the existing regulatory floodway[], the effective [BFEs] or the SFHA." 44 C.F.R. § 72.2. A LOMR may also be issued as a result of updated flood hazard data that requires a modification of the FIRM. See
FEMA may issue a LOMR based on fill activities ("LOMR-F"), which is a "modification of the SFHA shown on the FIRM based on the placement of fill outside the existing regulatory floodway." 44 C.F.R. § 72.2. If issued, a LOMR-F revises the SFHA boundary by letter to exclude the elevated property from the coverage under the SFHA. Norton Decl., Doc. 124, at ¶ 6.c.
By the time any LOMR, including an LOMR-F, is requested, the project (in the case of an LOMR-F, the placement of fill) will have already been completed. An individual LOMR itself does not authorize, permit, fund, license, zone or otherwise approve construction of any projects in the floodplain. Norton Decl., ¶¶ 6.b, 6.c & Ex. B at 2, 6.
A Letter of Map Amendment ("LOMA") is an official determination by FEMA that a property has been inadvertently included in the SFHA or regulatory floodway, and the LOMA amends the FIRM to correct the error. 44 C.F.R. § 70.5; Norton Decl., ¶ 6.a. A property owner who believes his property has been inadvertently included in the floodplain may request a LOMA to establish the property's actual location in relation to the SFHA. Id.
In advance of completing a project (e.g., a fill activity), a community or individual may request FEMA's comments as to whether a proposed project, if built as proposed, would result in a FIRM revision. FEMA's comments in response to such a request are issued in the form of a Conditional Letter of Map Amendment ("CLOMA"), Conditional Letter of Map Revision ("CLOMR"), or Conditional Letter of Map Revision based on Fill ("CLOMR-F"). 44 C.F.R. § 65.8, pt. 70, pt. 72; Norton Decl., ¶ 8 & Ex. B. A CLOMA is FEMA's comment on whether a proposed structure would, upon construction, be located on existing natural ground above the BFE. 44 C.F.R. § 72.2. CLOMA requests do not involve any projects that physically modify the floodplain. Id. A CLOMR is FEMA's comment on whether a project would be compliant with applicable NFIP regulations and would, upon construction, result in modification of the BFE, the SFHA, or other flood hazard data depicted on a FIRM. Id. A CLOMR-F is FEMA's comment on whether a project would, upon construction, be elevated above the BFE and therefore out of the SFHA through the placement of engineered fill. Id.
FEMA mandates that a party requesting a CLOMR or CLOMR-F provide information demonstrating that the proposed project complies with the ESA:
See Norton Decl., Ex. B at 3. If the project requires a federal permit or other form of federal authorization, "the applicant may coordinate with that agency to demonstrate to FEMA. that Section 7 ESA compliance has been achieved through that other Federal agency." Id. at 6. If no federal agency is involved and a listed species may be harmed by the project, the applicant "would be required to obtain [ESA] compliance through the Section 10 process. This process includes applying for an Incidental Take Permit (`ITP') [from NMFS or FWS] and preparing a habitat conservation plan." Id. at 5.
Congress found that "many factors have made it uneconomic for the private insurance industry alone to make flood insurance available to those in need of such protection on reasonable terms and conditions" and, therefore, authorized the creation of the NFIP "with large-scale participation of the Federal Government and carried out to the maximum extent practicable by the private insurance industry." 42 U.S.C. § 4001(b). Congress mandated that FEMA carry out a "program which will enable interested persons to purchase insurance against loss resulting from physical damage to or loss of real property or personal property related thereto arising from any flood occurring in the United States." Id. § 4011(a).
FEMA's role in selling or underwriting flood insurance is defined as follows:
42 U.S.C. § 4012(c).
Federal flood insurance is marketed to the public in one of two ways: directly by FEMA, or through the Write Your Own ("WYO") program, which authorizes FEMA to "enter into arrangements with individual private sector property insurance companies [WYO companies]" whereby such companies "may offer flood insurance coverage under the program to eligible applicants." 44 C.F.R. § 62.23(a); 42 U.S.C. § 4081(a). The purpose of the WYO program is "to provide coverage to the maximum number of structures at risk and because the insurance industry has marketing access through its existing facilities not directly available to the FIA, it has been concluded that coverage will be extended to those who would not otherwise be insured under the Program." 44 C.F.R. pt. 62, App. A Art. I.
For purposes of their motion for partial summary judgment, Federal Defendants do not challenge Plaintiffs' allegations regarding the impact of development activities on the Delta and the listed species. These are undisputed facts.
The Sacramento-San Joaquin Delta is the largest estuary on the West Coast. TAC ¶ 1. The Delta is crucial to California's economy and provides critical ecosystem services to the State. TAC ¶ 1. The Delta also supports more than 750 plant and animal species, including 130 fish species, and provides critical habitat for a number of ESA listed species including the Sacramento River winter-run Chinook salmon, the Central Valley spring-run Chinook salmon, the Central Valley steelhead, (collectively, the "Listed Salmonids"), and the delta smelt, (collectively, the "Listed Species"). TAC ¶ 2.
Plaintiffs allege that Development in the Delta has eliminated much of the historical habitat of native Delta fishes and harmed the remaining habitat. TAC ¶¶ 79-80. According to the United States Geological Survey, more than 95 percent of the historic tidal marshes in the Delta have been leveed and experienced attendant losses in fish and wildlife habitat. TAC ¶ 8. Development in the Delta has resulted in the clearing of riparian habitat along the Sacramento River, which reduces the volume of large wood debris needed to form and maintain the stream habitat that salmon depend on in their various life stages. TAC ¶ 81. In addition, development leads to increased sedimentation, which can adversely affect salmonids during all freshwater life stages. Id. Other land use activities associated with development, such as road construction, have significantly altered the fish habitat quantity and quality by altering the streambank and channel morphology, altering water temperatures, and eliminating spawning and rearing habitat. Id. Increased development in the Delta also increases wastewater and urban runoff from lawns, sidewalks, and roads. TAC ¶ 80. Such runoff contains pesticides and other contaminants harmful to the Listed Species. Id.
According to NMFS, development in floodplains and adjacent riparian habitat is among the activities that can pose a high risk of take of salmonids:
65 Fed. Reg. 42,422, 42,473 (July 10, 2000); see also 58 Fed. Reg. at 33,214 ("In the Sacramento River, critical habitat [for winter-run Chinook salmon] includes the river water, river bottom, and the adjacent riparian zone. . . . [R]iparian streambanks. . . support[] vegetation that either overhangs or protrudes into the water and, consequently, provides shade and escape cover for salmonids and other wildlife . . . [and] also increases river productivity which, in turn, provides prey for salmonids."). NMFS has also determined that "concentrations of pesticides may affect salmonid behavior and reproductive success." 65 Fed. Reg. at 42,473.
Plaintiffs allege that under FEMA's mapping regulations, communities and private landowners may place fill or construct levees to remove land from the regulatory floodplain, thereby enabling them to avoid the requirement to obtain flood insurance. See TAC at ¶¶ 70-71.
FEMA does not contend that it has formally consulted with NMFS over the NFIP's impacts on the Listed Species in the Delta.
"A party against whom relief is sought may move, with or without supporting affidavits, for summary judgment on all or part of the claim." Fed.R.Civ.P. 56(b). "The standard applied to a motion for partial summary judgment is identical to the standard applied to adjudicate a case fully by summary judgment." Urantia Found. v. Maaherra, 895 F.Supp. 1335, 1335 (D.Ariz.1995). "A court may grant summary adjudication — also known as partial summary judgment — if there is no genuine dispute of material fact as to a portion of a claim or issue and the moving party is entitled to judgment as a matter of law." Prado v. Allied Domecq Spirits and Wine Group Disability Income Policy, 2010 WL 3119934, at *2 (N.D.Cal. Aug. 2, 2010) (citing Fed.R.Civ.P. 56(c)).
"A party seeking summary judgment bears the initial burden of informing the court of the basis for its motion and of identifying those portions of the pleadings and discovery responses that demonstrate the absence of a genuine issue of material fact." Soremekun v. Thrifty Payless, Inc., 509 F.3d 978, 984 (9th Cir.2007). Where, as here, the movant seeks summary judgment on a claim or issue on which the non-movant bears the burden of proof, the movant "can prevail merely by pointing out that there is an absence of evidence to support the nonmoving party's case." Id. "If the moving party meets its initial burden, the non-moving party must set forth, by affidavit or as otherwise provided in Rule 56, `specific facts showing that there is a genuine issue for trial.'" Id. (quoting Anderson v. Liberty Lobby, Inc., 477 U.S. 242, 250, 106 S.Ct. 2505, 91 L.Ed.2d 202 (1986)). "Conclusory, speculative testimony in affidavits and moving papers is insufficient to raise genuine issues of fact and defeat summary judgment." Soremekun, 509 F.3d at 984; see also Lujan v. National Wildlife Fed'n, 497 U.S. 871, 888-89, 110 S.Ct. 3177, 111 L.Ed.2d 695 (1990).
Under the APA, agency action must be upheld, unless it is "arbitrary, capricious, and abuse of discretion, or otherwise not in accordance with law." 5 U.S.C. § 706(2)(A). A court may not set aside agency action that "is rational, based on consideration of the relevant factors and within the scope of authority delegated to the agency by the statute. . . ." The scope of review under the `arbitrary and capricious' standard is narrow, and a court is not to substitute its judgment for that of the agency." Motor Vehicle Mfrs. Ass'n v. State Farm Mut. Auto. Ins. Co., 463 U.S. 29, 42-43, 103 S.Ct. 2856, 77 L.Ed.2d 443 (1983). The scope of judicial review is limited to the Administrative Record before the agency at the time the challenged decision was made. Florida Power & Light Co. v. Lorion, 470 U.S. 729, 743-44, 105 S.Ct. 1598, 84 L.Ed.2d 643 (1985).
Where, as here, the claim for relief is that a federal agency failed to consult under ESA § 7, there is no administrative record of a consultation to limit the court's scope of review. See Wash. Toxics Coal. v. EPA, 413 F.3d 1024, 1034 (9th Cir.2005) ("Because [the ESA] independently authorizes a private right of action, the APA does not govern the plaintiff's claims [for failure to consult]. Plaintiff's suits to compel agencies to comply with the substantive provisions of the ESA arise under the ESA citizen suit provision, and not the APA." (citations omitted)).
To prevail on a claim against a federal agency under ESA Section 7(a)(2), the
Second, the agency action must be one that "may affect" listed species or critical habitat. 50 C.F.R. § 402.14(a). If an agency action may affect the Listed Species or their critical habitat, even in a beneficial way, consultation is required. Cal. ex rel. Lockyer v. U.S. Dep't of Agric., 575 F.3d 999, 1018-19 (2009) (citing 51 Fed. Reg. 19,926, 19,949 (June 3, 1996) ("Any possible effect, whether beneficial, benign, adverse or of an undetermined character, triggers the formal consultation requirement. . . .")). However, where the action will not affect the listed species at all, the consultation duty is not triggered. See S.W. Ctr. for Biological Diversity v. U.S. Forest Serv., 100 F.3d 1443, 1447-48 (9th Cir.1996).
Because the ESA contains no express statute of limitations, the applicable statute of limitations is found in title 28 U.S.C. § 2401(a), the general statute of limitations for civil actions against the federal government. See Alsea Valley Alliance v. Evans, 161 F.Supp.2d 1154, 1160 (D.Or.2001). Section 2401(a) provides: "Every civil action commenced against the United States shall be barred unless the complaint is filed within six years after the right of action first accrues."
"Under federal law a cause of action accrues when the plaintiff is aware of the wrong and can successfully bring a cause of action." Acri v. Intl. Ass'n of Machinists, 781 F.2d 1393, 1396 (9th Cir. 1986). "Publication in the Federal Register is legally sufficient notice to all interested or affected persons regardless of actual knowledge or hardship resulting from ignorance." Shiny Rock Mining Corp. v. United States, 906 F.2d 1362, 1364 (9th Cir.1990) (internal citation and quotation omitted).
FEMA admits that FEMA's promulgation of the regulations containing the minimum floodplain management criteria, 44 C.F.R. §§ 60.3-60.5, is the type of affirmative "action" that can trigger a duty to consult under the ESA. See 50 C.F.R. § 402.02 (defining "action" to include "the promulgation of regulations"). However, it is undisputed that these regulations were promulgated in 1976 and last substantively amended in 1997. See 41 Fed. Reg. 46,975 (Oct. 26, 1976); 62 Fed. Reg. 55,706, (Oct. 27, 1997). Any challenge to the promulgation of those regulations is barred by the six-year statute of limitations.
The statute of limitations also bars any substantive challenge by Plaintiffs to the validity of the regulations themselves. "After the six-year limitations period has expired, a challenge to the validity of an agency's rule can only be attacked in two ways: (1) through an `as applied' challenge requesting judicial review of the agency's adverse application of the rule to the particular challenger, or (2) by petitioning the agency for amendment or rescission of the rule and then appealing
FEMA has not taken any action applying the NFIP regulations to Plaintiffs. Plaintiffs maintain instead the statute of limitations does not bar this action because FEMA continues to administer and enforce the regulations by providing technical advice, conducting community visits, reviewing participating communities' land management ordinances, and retaining authority to suspend a community for noncompliance. See TAC ¶ 75.
Federal Defendants cite Cedars-Sinai Medical Ctr. v. Shalala, 177 F.3d 1126 (9th Cir.1999), for the proposition that "allowing suit whenever a regulation was administered by a federal agency would virtually nullify the statute of limitations for challenges to agency orders." Id. at 1129 (internal quotations and citations omitted). However, Cedars-Sinai is an APA case in which Plaintiffs challenged procedural errors in the promulgation of a regulation, a cause of action that accrues upon the issuance of the rule. Id. The Ninth Circuit rejected the argument that the cause of action did not accrue until the administrative agency applied the challenged regulations to the hospital appellees. Id. Cedars-Sinai is not dispositive in this case. Here, Plaintiffs do not challenge the validity of the rules themselves, but rather whether FEMA's implementation of those rules is subject to the consultation requirements set forth in the ESA.
More relevant here are a series of cases applying the ESA to "ongoing" agency programs. These cases fall into two broad categories:
See Center for Biological Diversity v. Chertoff, 2009 WL 839042, *5 (N.D.Cal. 2009) (reviewing caselaw and generally defining the two categories described above).
Pacific Rivers Council v. Thomas, 30 F.3d 1050, 1055 (9th Cir.1994), concerned a 1990 Long Range Management Plan ("LRMP") promulgated under the National Forest Management Act, 16 U.S.C. §§ 1600-1614, et seq., for two National Forests in Oregon. After the 1992 listing of the Snake River Chinook salmon as threatened under the ESA, an environmental organization sued the Forest Service, arguing that the agency was not complying with its duty to consult with NMFS over the impacts of the LRMP on the species. Id. at 1052-53. The Ninth Circuit rejected the Forest Service's argument that LRMPs are not agency actions under § 7(a)(2):
Id. at 1053. A broad definition of "action" under the ESA was adopted:
50 C.F.R. § 402.02 (emphasis added).
Id. at 1053-55 (emphasis added, footnotes omitted). The Ninth Circuit also rejected the Forest Service's argument that LRMP are agency actions only at the time they are adopted, revised, or amended.
Id. at 1055-56 (emphasis added, footnotes omitted).
Id. at 975-76. The Ninth Circuit reasoned that NMFS's "continuing issuance of fishing
Washington Toxics Coalition v. EPA, 413 F.3d 1024, 1032 (9th Cir.2005), concerned EPA's process of registering pesticide active ingredients under the Federal Insecticide, Fungicide, and Rodenticide Act ("FIFRA"). EPA argued that once a pesticide has been approved for use under FIFRA, the agency lacked discretion to meet any other legal obligations with respect to that registration. Id. at 1032-33. Following Pacific Rivers and Turtle Island, the Ninth Circuit disagreed, reasoning that EPA did in fact retain ongoing discretion to alter and/or cancel pesticide registrations. Id. at 1033. Therefore, EPA has a continuing obligation to apply the requirements of the ESA to the registered pesticides. Id.
A separate line of cases refused to find ongoing agency action. Environmental Protection Information Center v. Simpson Timber Company, 255 F.3d 1073 (9th Cir. 2001) ("EPIC"), concerned an allegation that FWS violated section 7 by refusing to reinitiate consultation with itself about the effect that an incidental take permit ("ITP") issued to a private timber company for the northern spotted owl might have on two other species, listed after the ITP was issued. Id. at 1074-75. As part of its application for the ITP, the timber company was required to submit a Habitat Conservation Plan ("HCP") and Implementation Agreement ("IA"), which contained detailed requirements to minimize and mitigate impacts to the species. Id. at 1076-77. These documents were incorporated into the ITP. Id. at 1077. EPIC argued that the HCP reserved to FWS discretionary involvement and control such that it must reconsult on the impact of the ITP to the newly-listed species. Id. at 1080. After reviewing the language of the HCP in detail, the Ninth Circuit concluded "none of the provisions of the HCP or IA gives the FWS the power to reinitiate consultation on [the] spotted owl permit to impose measures to protect the marbled murrelet or coho salmon." Id. at 1082.
Sierra Club v. Babbitt, 65 F.3d 1502 (9th Cir.1995), addressed the Bureau of Land Management's ("BLM") failure to consult with FWS about a proposed logging road's effect on the northern spotted owl. A private timber company planned to build a road on public land pursuant to a previously approved reciprocal right-of-way agreement with the BLM. Environmental plaintiffs claimed BLM retained discretionary involvement and control over the right-of-way agreement, representing ongoing agency action requiring consultation over the potential impact of the road on the spotted owl, a then newly listed species. Under the right-of-way agreement, the BLM had three limited rights of objection to the timber company's project, none of which related to endangered or threatened species. Id. at 1509 n. 10. The Ninth Circuit found BLM had no duty to consult with FWS, because it could not influence construction of the roadway for the benefit of the spotted owl:
Id. at 1509.
Western Watersheds Project v. Matejko, 468 F.3d 1099 (9th Cir.2006), concerned private parties' vested rights-of-way to access and use water on BLM land. The BLM promulgated regulations in 1986, recognizing those vested water rights as authorized uses of public land, without requiring further action by the private rights holder or BLM. See id. at 1104-05. Amendments to those regulations required vested rights holders to obtain BLM permission if a use or activity resulted in a "substantial deviation" from the original right. Id. at 1105. A later clarification provided that if a vested right holder failed to approach BLM for a permit authorizing a "substantial deviation," BLM retained the discretion to take an enforcement action against that rights-holder. Id. at 1106 (citing 70 Fed. Reg. 20,980). In light of this retained discretion, the district court concluded that the ESA requires BLM to consult with the appropriate wildlife agency "over its decision not to impose conditions on certain water diversions." Id. The Ninth Circuit reversed, focusing on the reasoning in Defenders of Wildlife v. EPA, 420 F.3d 946 (9th Cir.2005):
Id. at 1108 (emphasis added).
The Ninth Circuit specifically distinguished Turtle Island as a case involving true "affirmative" action:
Id. at 1109. Critical was the fact that the relevant regulations restricted BLM's power to act, as opposed to situations in which the agency possessed "continuing decisionmaking authority":
Id. at 1109-1110. This does not fully explain how the rule articulated in Pacific Rivers and Washington Toxics—that "ongoing agency action" exists where the agency retains "continuing decisionmaking authority"—relates to the newly-articulated and overlapping "affirmative action" rule.
Federal Defendants also cite California Sportfishing Protection Alliance v. FERC, 472 F.3d 593 (9th Cir.2006) ("CSPA"), a challenge to FERC's refusal to initiate formal consultation with NMFS over the ongoing operation of a hydroelectric plant operated under a 30-year license from FERC. FERC could unilaterally institute proceedings to amend the license under license terms authorizing FERC to modify the license to reflect changing environmental concerns. Id. at 595. The Ninth Circuit emphasized, however, that "[t]he ESA and the applicable regulations . . . mandate consultation with NMFS only before an agency takes some affirmative agency action, such as issuing a license." Id. at 595 (emphasis added). The Ninth Circuit concluded "the agency action of granting a permit is complete." Id. at 598.
Id.
The Ninth Circuit found FERC's actions "materially the same" as the BLM's actions in Western Watersheds because "PG & E, a private party, operates the hydroelectric project challenged in this case" and "FERC, the agency, has proposed no affirmative act that would trigger the consultation requirement for current operations." CSPA distinguished Pacific Rivers:
Id. (emphasis added). CSPA seeks to reconcile the Pacific Rivers line of cases with the new "affirmative action rule" articulated in Western Watersheds, by recognizing that the Pacific Rivers' LRMP has an affirmative effect on every project planned in the covered national forests.
Karuk Tribe of Cal. v. United States Forest Service, 640 F.3d 979, 985-86 (9th Cir.2011) exemplifies how the "affirmative action" test should be applied. Karuk Tribe addressed the Forest Service's practice of requiring private parties conducting mining activities within national forests to submit a "notice of intent to operate" ("NOI") to the District Ranger. Id. at 986. Upon receipt of an NOI, the Ranger decides whether the described activities are likely to significantly disturb surface resources. Id. If so, the private party must submit a Plan of Operations ("Plan"), which the Ranger must approve before any mining activity may proceed. Id. Plaintiffs specifically challenged the Ranger's decision to "accept" several NOIs without an ESA consultation about the mining's effects on listed species. Id. Plaintiffs did not challenge the Ranger's determination that the proposed activities did not require preparation of a Plan, nor did they challenge the Forest Service's adoption of the regulatory scheme. Id. The Karuk tribe argued filing an NOI is a legal prerequisite to new mining activities, and that the Ranger's decision to allow the described suction dredging activities is an agency "authorization." Id. at 988. The Forest Service rejoined it has no power to "authorize" mining activities described in an NOI "because the miners already possess the right to mine under the mining laws, and that the permits to engage in such mining are granted by other state and federal bodies." Id.
The Ninth Circuit reasoned the issue "depends on the proper characterization of what the USFS does with respect to an NOI and the activities described therein." Id. Rejecting the Tribe's position:
Id. at 990. "The duty to consult is triggered by affirmative actions." Id.
Id.
One non-binding 2004 district court decision that pre-dates Western Watersheds, CSPA, and Karuk Tribe, found Pacific Rivers applicable to FEMA's implementation of the NFIP in Puget Sound. In National Wildlife Federation v. FEMA, 345 F.Supp.2d 1151 (W.D.Wash.2004) ("NWF v. NMFS"), environmental plaintiffs alleged FEMA. violated ESA Section 7(a)(2) by not consulting with NMFS on the impacts of the NFIP on Puget Sound Chinook salmon, an ESA listed species. Id. at 1153-54. The NWF v. NMFS plaintiffs analogously "contend[ed] that FEMA's implementation of the NFIP constitutes an agency action that may affect the Puget Sound Chinook salmon because some aspects of the NFIP encourage development in the floodplains, and the floodplains of the Puget Sound provide important habitat for the salmon." Id. at 1154. The district court in NWF v. FEMA first concluded that the NFIP is a "program carried out" by FEMA:
Id. at 1169. The next inquiry was whether FEMA's "carrying out" of the NFIP involved "discretionary Federal involvement or control." The NWF v. NMFS district court summarized Sierra Club v. Babbitt, NRDC v. Houston, Pacific Rivers, Turtle Island, and EPIC, the law as of 2004:
Id. at 1171-72 (emphasis added). Turtle Island and NRDC v. Houston were applied to the challenged FEMA activities:
Id. at 1169-73 (emphasis in original).
The Coalition's theory of this case is that a suite of actions continuously undertaken by FEMA to "carry out" the NFIP encourages land development, which reduces available habitat to listed species, and therefore requires consultation. In addition to FEMA's mapping activities, Plaintiffs allege that FEMA's certification of community eligibility for the NFIP and monitoring of community compliance and enforcement with FEMA's criteria for eligibility encourage development in the floodplain. However, no case suggests that the mere allegation of a programmatic challenge excuses examination of the individual activities Plaintiffs allege to be in violation of the law.
Federal Defendants invoke Karuk Tribe to argue that FEMA's mapping activities only "acquiesce" in private parties' prior actions modifying the flood plain. FEMA undisputedly does not "authorize" these modifications through any type of permit or license. Instead, FEMA simply responds to completed modifications by adjusting its maps accordingly. FEMA's actions are distinguishable from those in Karuk Tribe, Western Watersheds, and CSPA. The affirmative action rule applied in those three cases barred application of the ESA to agency decisions not to do anything. In Western Watersheds, BLM decided not to impose conditions on the diversion of water; in CSPA, FERC decided not to amend a license; and in Karuk Tribe, the BLM decided not to require a Plan. By contrast, FEMA unquestionably takes action, pursuant to the NFIP, when it amends a map.
Another ground of distinction from Karuk Tribe, CSPA, and Western Watersheds exists. Those cases evaluated whether the agency activity qualified as an "authorization" under 50 C.F.R. 402.02
640 F.3d at 992 n. 12. Karuk's result would have been different if the challenge was to how the Ranger "carried out" the existing standard, because the agency's application of the "likely to cause significant disturbance of surface resources" standard to require preparation of a Plan is "affirmative action." If the standard has been properly applied to deem an activity described in an NOI "not Plan-worthy," section 7 is not triggered, in part because, absent a finding that the activity is "likely to cause significant disturbance," the Forest Service lacks authority to "approve" the exercise of pre-existing mining rights and therefore cannot possibly satisfy the affirmative action requirement.
Plaintiffs' challenge to the "ongoing implementation of the NFIP," Doc. 129 at 31, is a challenge to how FEMA is "carrying out" existing standards applicable to floodplain mapping. See TAC at ¶ 25.
Title 44, C.F.R. § 60.3 explains, among other things, that communities participating in the NFIP "shall . . . require that all new construction and substantial improvements of" residential and non-residential structures within certain flood hazard zones identified on the community's FIRM "have the lowest floor (including basement) elevated to or above the base flood level. . . ." 60.3(c)(2)-(3). This regulatory language pertains to all FEMA's mapping activities.
Section 64.3 describes the types of maps FEMA may prepare in connection with the sale of flood insurance and prescribes that certain types of maps shall be maintained for public inspection in particular public places.
Section 65.5 specifically addresses the modification of flood hazard boundaries in response to the use of earthen fill to elevate areas above the base flood level:
(Emphasis added.)
Section 65.10(a) explains that "FEMA will only recognize in its flood hazard and risk mapping effort those levee systems that meet, and continue to meet, minimum design, operation, and maintenance standards that are consistent with the level of protection sought through the comprehensive flood plain management criteria. . . ." Subsections (b) through (e) identify requirements for the design, operation, and maintenance of levee systems.
These regulations directly permit private parties to use artificial means to either elevate (e.g., through the use of fill) the lowest floor of covered structures above the base flood level or alter (e.g., by way of levee construction) the contours of the flood plain itself.
Given the existence in the regulatory framework of sufficient discretion to accommodate the changes to FEMA's mapping activities described above, this case is more like Washington Toxics than any other of the cited cases. As in Washington Toxics, where the EPA retained authority to modify and/or withdraw pesticide registrations, FEMA retains authority to modify how and under what circumstances it will consider allowing floodplain modifications in its mapping activities. This "discretionary" action "directly or indirectly causes modifications to the land and water." 50 C.F.R. § 402.02(d).
Unlike Karuk and Western Watersheds, emphasizing that private parties had pre-existing rights under separate statutes to engage in the challenged activities (mining in Karuk and the use of vested water rights in Western Watersheds), private parties have no underlying "right," granted by statute or regulation, to use artificial modifications to remove property or structures from flood hazard boundaries.
The NFIP regulations permit landowners to exempt their property from the flood plain by artificially elevating it. FEMA implements these regulations on a continuing basis by approving map changes to reflect fill activities.
Although the Complaint focuses almost exclusively on specific examples related to FEMA's mapping activities, Plaintiffs also allege that development in the floodplain is encouraged by FEMA's implementation of its community eligibility criteria, monitoring of community compliance and enforcement based on these criteria, and implementation of its Community Rating System that provides discounts on flood insurance premiums to NFIP communities that go beyond the minimum NFIP eligibility criteria. TAC at ¶¶ 73, 75-6. Federal Defendants do not move for summary judgment as to Plaintiffs' claims concerning these activities. They need not be addressed.
Section 7(a)(2)'s consultation requirement applies only to those actions "authorized, funded, or carried out" by Federal agencies, 50 C.F.R. § 402.02, that "may affect" listed species or critical habitat, id. § 402.14(a) (emphasis added). "ESA section 7 requires that an agency considering action consult with either [FWS or NMFS] if the agency `has reason to believe that an endangered species or a threatened species may be present in the area' affected by the proposed action, and `implementation of such action will likely affect such species.'" Ground Zero Ctr. for Non-Violent Action v. U.S. Dep't of Navy, 383 F.3d 1082, 1091 (9th Cir.2004) (quoting 16 U.S.C. § 1536(a)(3)). If the agency action is environmentally neutral and will have no effect on listed species, the consultation requirement is not triggered. See S.W. Ctr., 100 F.3d at 1447-48;
FEMA contends that to the extent Plaintiffs' assert that FEMA's mapping activities violate ESA Section 7(a)(2), these
FEMA characterizes each of these determinations as "environmentally neutral," activities that could not possibly "affect" listed species. Doc. 122 at 2. Rather, FEMA maintains that the appropriate targets for ESA compliance action are the private individuals and local and state jurisdictions that actually completed the projects and "are required to comply with the ESA independently of FEMA's process." Id. at 29.
FEMA minimizes the programmatic nature of Plaintiffs' challenge, which is not directed against individual mapping actions themselves. Plaintiffs maintain that FEMA's ongoing administration of its floodplain mapping activities encourages communities and developers to use fill or build levees to obtain FEMA-issued LOMRs or LOMR-Fs, removing the covered properties from the SFHA, relieving the property owners of the statutory requirement for flood insurance. TAC ¶¶ 70-72. This is alleged to encourage land filling and recovery which reduces the species' critical habitat in the Delta.
NWF v. FEMA explains:
345 F.Supp.2d at 1173,
FEMA. argues that this reasoning is "legally untenable," because "FEMA's floodplain mapping regulations do not authorize anyone to place fill, build levees, or construct any type of flood control projects anywhere." Doc. 122 at 29. NWF v. FEMA makes no such finding. Rather, that case and Plaintiffs here emphasize how FEMA has used its discretion to permit persons to artificially (e.g., through filling activities) remove areas from the floodplain, which causes reduction in habitat.
Where, as here, the movant seeks summary judgment on a claim or issue on which the non-movant bears the burden of proof, the movant "can prevail merely by pointing out that there is an absence of evidence to support the nonmoving party's case." Soremekun, 509 F.3d at 984. "If the moving party meets its initial burden, the non-moving party must set forth, by affidavit or as otherwise provided in Rule 56, `specific facts showing that there is a genuine issue for trial.'" Id. (quoting Anderson, 411 U.S. at 250 (1986)). "Conclusory, speculative testimony in affidavits and moving papers is insufficient to raise genuine issues of fact and defeat summary judgment." Soremekun, 509 F.3d at 984.
Plaintiffs submit Exhibit F to their Request for Judicial Notice, Docs. 131 & 132, excerpts from a May 2006 FEMA Biological Assessment ("2006 BA") regarding the potential impacts of FEMA's Federal Disaster Assistance programs on various listed species in California.
Typical activities include:
If a building is located in an identified floodplain and is substantially damaged, the NFIA requires that the building be elevated so that the lowest floor is at or above the base flood (100-year) elevation. Newly constructed buildings, such as those built to replace destroyed facilities must also meet this requirement,
Exhibit F at 3-3 (emphasis added).
Elsewhere in the 2006 BA, the potential impacts of these and other activities are discussed:
Coho salmon, Chinook salmon, and steelhead all need very similar components and functions of complex freshwater habitats. The loss of essential habitat components and functions through human actions happens in many ways. Sedimentation and/or stream flow reductions can result in the loss of deep, cool water pools; reducing the available habitat that juvenile and adult salmonids can use for shelter or forage. Sediment can also smother the aquatic invertebrates that juvenile salmonids feed on or cement the substrate so that spawning cannot take placed. Loss of instream cover (i.e., large woody debris and rocks) reduces available shelter from predators. Loss of riparian canopy increases water temperature, causing
Id. at 5-1 (emphasis added).
This is sufficient to create a dispute as to whether the actions of private parties, such as "[m]odifying buildings to reduce the risk of damage during floods by elevating structures above the expected flood level," see id. at 3-3, have impacts on listed species.
However, the 2006 BA concerned a different FEMA program, namely funding to prepare for and/or rebuild after natural disasters. That the direct provision of funds to elevate structures above flood level "causes" such activities to take place is undisputed. Here, the issue is whether FEMA's administration of the NFIP in a manner that permits artificial activities to modify the floodplain so as to exclude structures from its boundaries causes persons to engage in such activities. NMFS's biological opinion on FEMA's implementation of the NFIP in Puget Sound directly addressed this issue:
Exhibit B, Doc. 132, at 145. This finding about NFIP effects on the same listed species in another area creates a dispute as to whether FEMA's mapping activities indirectly cause development to occur in NFIP participating areas, with resulting effect on the species.
FEMA's motion for summary judgment on the ground that its map revision process has no effect on Listed Species is DENIED.
Section 4104 of the NFIA requires FEMA to follow detailed procedures when issuing a FIRM or FIRM amendment that establishes or modifies the base flood elevation ("BFE"). See 42 U.S.C. § 4104; 44 C.F.R. pt. 67. FEMA must first "propose
The community, and any owner or lessee of real property in the community who believes his property rights will be adversely affected by the proposed BFEs, may file an appeal within 90 days after the second newspaper publication. 42 U.S.C. § 4104(b), (e). "The sole basis for such appeal shall be the possession of knowledge or information indicating that the elevations being proposed by [FEMA] with respect to an identified area having special flood hazards are scientifically or technically incorrect, and the sole relief which shall be granted" is modification of the proposed elevations. Id.; 44 C.F.R. §§ 67.5-67.6.
"Any appellant aggrieved by any final determination of [FEMA] upon administrative appeal, as provided by [42 U.S.C. § 4104], may appeal such determination to the United States district court for the district within which the community is located not more than sixty days after receipt of notice of such determination." 42 U.S.C. § 4104(g). The scope of judicial review "shall be as provided" in the Administrative Procedure Act ("APA"). Id. The agency's final flood elevation determinations "shall be effective" pending judicial review "unless stayed by the court for good cause shown." Id.; see 44 C.F.R. § 67.12.
FEMA points out that 14 of the 17 LOMRs mentioned in Plaintiffs' Complaint were subject to the notice and administrative appeal process prescribed by the NFIA. Norton Decl., ¶¶ 9.f, 10. FEMA argues that Plaintiffs' present challenge is barred because the NFIA's administrative and judicial review provisions are exclusive and preclude Plaintiffs from bringing untimely challenges under the ESA's citizen suit provision. In support of this argument, FEMA cites Block v. Community Nutrition Institute, 467 U.S. 340, 104 S.Ct. 2450, 81 L.Ed.2d 270 (1984), in which consumers of dairy products sought judicial review under the APA of milk market orders issued by the Secretary of Agriculture pursuant to the Agricultural Marketing Agreement Act ("AMAA"). The APA provides for judicial review of final agency action except to the extent other statutes preclude review. See 5 U.S.C. § 701(a)(1). In the AMAA, Congress created a detailed mechanism by which milk handlers can participate in the development of market orders and seek administrative and judicial review. Block, 467 U.S. at 346-47, 104 S.Ct. 2450. "Nowhere in the Act, however, is there an express provision for participation by consumers in any proceeding." Id. at 347, 104 S.Ct. 2450 (emphasis added).
The Supreme Court held that the detailed statutory scheme precluded consumers from challenging marketing orders under the APA. Id. at 353, 104 S.Ct. 2450. "Whether and to what extent a particular statute precludes review is determined not only from its express language, but also from the structure of the statutory scheme, its objectives, its legislative history, and the nature of the administrative action involved." Id. at 345, 104 S.Ct. 2450. Although there is a presumption favoring judicial review of agency action, it "is just that—a presumption. This presumption, like all presumptions used in interpreting statutes, may be overcome by specific language or specific legislative history
Id. The Supreme Court concluded that "[t]he structure of this Act implies that Congress intended to preclude consumer challenges to the Secretary's market orders." Id. at 352-53, 104 S.Ct. 2450.
FEMA. argues that Congress' intent to limit the class of persons who may challenge FEMA's flood elevation determinations "is even more unequivocal than in Block," because "Section 4104 of the NFIA provides only for the participation of affected communities and landowners in the regulatory process leading to the determination or modification of flood elevation levels, 42 U.S.C. § 4104(a)-(b), and limits the availability of administrative review to those participants." Doc. 122 at 32.
FEMA's argument is misplaced for several reasons. First, Plaintiffs do not challenge the validity (i.e., the accuracy) of FEMA's elevation determinations in the LOMCs discussed in the Complaint. The administrative appeal provisions and statute of limitations in 42 U.S.C. § 4104 are limited to a challenge by a community, landowner, or leaseholder to FEMA's elevation determinations based on the submission of relevant technical information. 42 U.S.C. § 4104(a)-(b). These provisions do not apply to a challenge to an agency's failure to consult under section 7 of the ESA with respect to an ongoing agency action. Plaintiffs have no standing to directly challenge any LOMC discussed in the complaint.
Ninth Circuit precedent belies any preclusive effect of § 4104. Washington Toxics, 413 F.3d at 1033-34, holds that the doctrines of exhaustion and primary jurisdiction are inapplicable in a section 7 challenge to EPA's failure to consult regarding its registration of certain pesticides that may kill or injure, or affect future behavior and reproductive success of listed salmonids. Id. at 1034. There, EPA argued that "administrative exhaustion or primary jurisdiction under FIFRA applies . . ., and that the district court should first have required the plaintiffs to exhaust FIFRA remedies before entering an injunction." Id. at 1033. Under 7 U.S.C. §§ 136d(c) and 136(1) of FIFRA, EPA may suspend the registration of any pesticide without observing the usual procedural requirements if it determines the pesticide creates "an unreasonable hazard to the survival of a [listed] species. . . ." Id. In addition, under FIFRA, any interested person can petition EPA for a cancellation of a pesticide registration. Id. (citing 40 C.F.R. § 154.10).
The Ninth Circuit rejected EPA's exhaustion argument, holding that "[n]either FIFRA nor the ESA, however, suggest any legislative intent to require exhaustion of the FIFRA remedy before seeking relief under the ESA." Id. "[T]he mere fact
Here, as in Washington Toxics, § 4101's administrative review procedures reveal no legislative intent to require exhaustion of the NFIA's procedures prior to an ESA challenge. FEMA's motion for partial summary judgment on the ground that Plaintiffs' claims are barred by the administrative review procedures set forth in 42 U.S.C. § 4104 is DENIED.
Federal Defendants argue that FEMA's issuance of flood insurance is a non-discretionary act not subject to Section 7 under Home Builders. The Eleventh Circuit explains Home Builders in Florida Key Deer v. Paulison, 522 F.3d 1133 (11th Cir.2008):
Id. at 1142. NWF v. FEMA
345 F.Supp.2d at 1174.
Section 4012(c) provides:
(Emphasis added.) 42 U.S.C. § 4102 in turn directs FEMA to develop:
Id. at 4102(c).
Pursuant to § 4102, FEMA promulgated detailed requirements for NFIP-participating communities in 44 C.F.R. § 60.3, which, among other things, require communities to review all proposed development for flood danger and take certain corrective actions to minimize the potential for flood damage in flood-prone areas. One of the mechanisms employed by Section 60.3 compels the community to require all new construction and substantial improvements to existing structures within certain flood hazard zones be elevated to or above the base flood level. 44 C.F.R. 60.3(c)(2)-(3).
42 U.S.C. § 4012 provides that FEMA "shall make flood insurance available in only those States or areas (or
FEMA's motion for partial for summary judgment that its issuance of flood insurance to eligible applicants is non-discretionary under Home Builders is GRANTED.
For the reasons set forth above Federal Defendants' motion for partial summary judgment is GRANTED IN PART AND DENIED IN PART as follows:
(1) The six year statute of limitations does not bar Plaintiffs' challenge to FEMA's ongoing mapping activities under the NFIA. The "ongoing activity" exception to the statute of limitations has spawned a wealth of arguably contradictory caselaw. However, the balance of authority suggests that, although FEMA's individual mapping actions are taken in response to the actions of third parties, each such mapping action is an "affirmative action" that collectively has the potential to encourage third parties to fill and/or build levees in the Delta floodplain. To the extent the cumulative effect of such activities threatens the continued existence of the species and its habitat is subject to proof. Whether or not FEMA's mapping activities in the Delta actually do encourage such filling and leveeing activities is a disputed material fact that cannot be resolved on summary judgment.
(2) Likewise, whether FEMA's issuance of LOMCs and related mapping activities actually impacts the Listed Species is a disputed issue of fact that cannot be resolved
(3) Plaintiffs' challenge is not barred by the procedures set forth in 42 U.S.C. § 4101, which provide for administrative review of individual mapping actions. These procedures do not preclude the type of programmatic ESA challenge brought here.
(4) Finally, FEMA's issuance of flood insurance is not subject to ESA Section 7 consultation under Home Builders. Once the minimum eligibility requirements are satisfied, FEMA is required to issue flood insurance to the eligible party and retains no discretion to further modify the terms and conditions of the policies.
Plaintiffs shall submit a proposed form of order consistent with this memorandum decision within five (5) days following electronic service.
SO ORDERED.
Plaintiffs also complain that Defendants' objections to Exhibits A, B, F, I-K, & L should be overruled because each is responsive to Plaintiffs' prior discovery requests. This argument will not be considered because it amounts to an attempt to avoid the normal procedures for filing a discovery enforcement motion, which include the requirement that the parties meet and confer before bringing any such motion. See generally Local Rule 36-251.
Forest Guardians v. Forsgren, 478 F.3d 1149, 1159 (10th Cir.2007) (footnote omitted).
50 C.F.R. § 402.02; see also Florida Key Deer v. Paulison, 522 F.3d 1133, 1142 (11th Cir. 2008) (citing § 402.02 to reject similar argument that the issuance of flood insurance is not a legally relevant "cause" of development that threatened the listed Florida Key Deer). Plaintiffs' claims are not barred as a matter of law simply because they allege that a federal action indirectly causes third parties to harm listed species.
50 C.F.R. § 402.02.
345 F.Supp.2d at 1173.