Center for Biological Diversity et al v. Zinke et al
Filing
77
ORDER The Motion for Summary Judgment filed by Plaintiffs Center for Biological Diversity et al. (Doc. 41 in 18-CV-00048-TUC-JGZ) is GRANTED IN PART AND DENIED IN PART. The Motion for Summary Judgment filed by Plaintiffs WildEarth Guardians et al. (Doc. 48 in 18-CV-00047-TUC-JGZ) is DENIED. Defendants' Cross-Motions for Summary Judgment (Docs. 58 & 61 in 18-CV-00047-TUC-JGZ and Docs. 44 & 47 in 18-CV-00048-TUC-JGZ) are GRANTED IN PART AND DENIED IN PART. The Mexican Wolf Recove ry Plan First Revision is REMANDED to the Service for further action consistent with this order. The Service must produce a draft recovery plan for public comment within six months that includes site-specific management actions, with a final plan to follow no later than six months thereafter. Signed by Judge Jennifer G Zipps on 10/14/2021. (See attached Order for complete details)(DLC) Modified on 10/14/2021 (DLC).
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IN THE UNITED STATES DISTRICT COURT
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FOR THE DISTRICT OF ARIZONA
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Center for Biological Diversity, et al.,
Plaintiffs,
vs.
No: 4:18-CV-00047-TUC-JGZ (Lead)
ORDER
Deb Haaland, et al.,
Defendants,
and
New Mexico Department of Game and Fish,
Defendant-Intervenor.
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WildEarth Guardians, et al.,
Plaintiffs,
No. 4:18-CV-00048-TUC-JGZ (Member)
vs.
Deb Haaland, et al., et al.,
Defendants,
and
New Mexico Department of Game and Fish,
Defendant-Intervenor.
In November 2017, the United States Fish and Wildlife Service (“FWS” or “the
Service”) issued a revised recovery plan for the Mexican gray wolf, pursuant to Section
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4(f) of the Endangered Species Act (“ESA” or “the Act”), 16 U.S.C § 1533(f). The
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“Mexican Wolf Recovery Plan First Revision” (“Plan” or “Revised Plan”) is meant to serve
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as the Service’s roadmap for the conservation and survival of the Mexican wolf, a
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subspecies of the gray wolf. In the litigation presently before the Court, seven Plaintiffs1
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allege that, in developing the Plan, the Service violated Section 4(f) of the Endangered
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Species Act, 16 U.S.C § 1533(f)(1)(B), by failing to include (1) site-specific management
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actions necessary for conservation, and (2) objective, measurable criteria necessary for
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delisting the Mexican wolf. Plaintiffs ask the Court to remand the Plan to the Service for
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amendment in compliance with the ESA.
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Pending before the Court are the parties’ cross-motions for summary judgment,
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which are fully briefed.2 The parties have also filed notices of supplemental authority and
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responses to the notices. (CV-18-47 Docs. 71, 74, 75; CV-18-48 Docs. 54, 55.) After
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consideration of the parties’ briefing and the administrative record, the Court will grant, in
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part, Plaintiff Center for Biological Diversity’s motion for summary judgment, deny
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Plaintiff WildEarth Guardians’s motion for summary judgment, and deny, in part,
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Defendants’ cross-motions for summary judgment.
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I.
STATUTORY BACKGROUND
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Passed in 1973, Congress enacted the Endangered Species Act, 16 U.S.C. § 1531,
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to protect and conserve endangered species. Described by the Supreme Court as “the most
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comprehensive legislation for the preservation of endangered species ever enacted by any
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nation,” the ESA reflects Congress’s desire “to halt and reverse the trend toward species
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extinction, whatever the cost.” Tenn. Valley Auth. v. Hill, 437 U.S. 153, 180, 184 (1978).
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In this consolidated case, Plaintiffs include the Center for Biological Diversity,
Defenders of Wildlife, Endangered Wolf Center, David R. Parsons, Wolf Conservation
Center, WildEarth Guardians, and Western Watersheds Project (collectively “the
Plaintiffs”). The Defendants include the Secretary of the Interior, Deb Haaland; United
States Fish and Wildlife Service; FWS’s Southwest Regional Director, Amy Leuders;
United States Department of the Interior, Acting Director of FWS, Martha Williams; and
Intervenor-Defendant New Mexico Department of Game and Fish (collectively “the
Defendants”). The named public officials are the current holders of the offices. See Fed. R.
Civ. P. 25(d) (providing for automatic substitution of public official’s successor).
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The cross-motions for summary judgment, memoranda, and statements of facts in
Case No. 18-CV-00047-TUC-JGZ are filed at Docs. 48, 56, 64 (Plaintiff CBD); 58, 59, 67
(Federal Defendants); and 61, 62, 69 (Intervenor-Defendant New Mexico Department of
Game and Fish). The cross-motions for summary judgment, memoranda and statement of
facts in case No. 18-CV-00048-TUC-JGZ are filed at Docs. 41, 42, 43, 50 (WildEarth
Guardians); 44, 45, 52 (Federal Defendants); and 47, 48 (Defendant-Intervenor New
Mexico Department of Game and Fish).
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“Under the ESA, the Secretary of the Interior[] must identify endangered species, designate
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their ‘critical habitats,’ and develop and implement recovery plans.” Nat. Res. Def.
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Council, Inc. v. U.S. Dept. of Interior, 13 Fed. App’x 612, 615 (9th Cir. July 5, 2001)
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(citation omitted). The Secretary's duties under the ESA are delegated to the Service
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pursuant to 50 C.F.R. § 402.01(b).
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Congress pronounced the purpose of the ESA to be the conservation of listed species
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and the ecosystems upon which they depend, 16 U.S.C. § 1531(b), and declared a policy
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that all federal agencies “shall utilize their authorities in furtherance” of this purpose. Id. §
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1531(c)(1). Conservation is defined as “the use of all methods and procedures which are
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necessary to bring any endangered species or threatened species to the point at which the
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measures provided [by the ESA] are no longer necessary.” Sierra Club v. U.S. Fish &
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Wildlife Serv., 245 F.3d 434, 438 (5th Cir. 2001) (citing 16 U.S.C. § 1532(3)).
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Reflecting this conservation mandate, Section 4(f) of the ESA directs the Secretary
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to “develop and implement [recovery] plans . . . for the conservation and survival” of a
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species listed as endangered. 16 U.S.C. § 1533(f)(1). In doing so, the Secretary “may
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procure the services of appropriate public and private agencies and institutions, and other
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qualified persons.” Id. § 1533(f)(2). The 1998 amendments to the ESA further require that
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the Secretary, in developing and implementing recovery plans, incorporate in each plan,
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“to the maximum extent practicable”:
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(i) a description of such site-specific management actions as may be
necessary to achieve the plan’s goal for the conservation and survival of the
species;
(ii) objective, measurable criteria which, when met, would result in a
determination, in accordance with the provisions of this section, that the
species be removed from the list; and
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(iii) estimates of time required and the cost to carry out those measures
needed to achieve the plan’s goal and to achieve intermediate steps toward
that goal.
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Id. § 1533(f)(1)(B)(i)–(iii). Further, the Secretary must “provide public notice and an
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opportunity for public review and comment on such plan,” and then “consider all
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information presented during the public comment period prior to approval of the plan.” Id.
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§ 1533(f)(4), (5).
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“The recovery plan, once prepared, provides [a] ‘basic road map to recovery, i.e.,
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the process that stops or reverses the decline of a species and neutralizes threats to its
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existence.’” Ctr. for Biological Diversity v. Kempthorne, 607 F. Supp. 2d 1078, 1088 (D.
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Ariz. 2009) (quoting Defs. of Wildlife v. Babbitt, 130 F. Supp. 2d 121, 131 (D.D.C. 2001)).
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“Any such plan is supposed to . . . provide a means for achieving the species’ long-term
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survival in nature.” Fund for Animals v. Babbitt, 903 F. Supp. 96, 103 (D.D.C. 1995). Yet,
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despite the requirements of Section 4(f), the recommendations contained within a recovery
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plan are not binding upon the agency, and the Secretary retains discretion over the methods
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to use in species conservation. Conservation Congress v. Finley, 774 F.3d 611, 620 (9th
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Cir. 2014).
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Section 11 of the ESA authorizes citizen suits “against the Secretary where there is
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alleged a failure of the Secretary to perform any act or duty under [Section 4] of this title
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which is not discretionary with the Secretary.” 16 U.S.C. § 1540(g)(1)(C). To raise a
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viable claim under this section of the ESA citizen-suit provision, a plaintiff must allege
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that the Secretary failed to perform a non-discretionary duty mandated by Section 4.
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Bennett v. Spear, 520 U.S. 154, 173 (1997); Coos Cnty. Bd. of Cnty. Comm’rs v.
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Kempthorne, 531 F.3d 792, 809 (9th Cir. 2008).
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II.
FACTUAL AND PROCEDURAL BACKGROUND
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The Mexican gray wolf is native to the American Southwest. (AR D008960.)
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Although the Mexican wolf population once hovered in the thousands, by the 1970s, the
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wolves were believed to be extinct in the wild. (AR D008957-58.) In 1976, the Mexican
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gray wolf was listed as an endangered subspecies under the ESA and, in 1982, the Service
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released a “recovery plan” for the wolf. (Id.; AR D015046.) At that time, the recovery team
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could not foresee full recovery and eventual delisting of the species due to its dire status.
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(CV 18-47 Doc. 59 at ¶ 16; CV-18-48 Doc. 51 at ¶ 16.)
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In 2010, the Service appointed a Mexican Wolf Recovery Team with a Science and
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Planning Subgroup to draft an updated draft recovery plan. (AR D001234-35.) This
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proposed plan was never finalized under Section 4(f) of the ESA. (AR D014103.)
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In 2014, Plaintiffs sued the Service, alleging it had failed to complete a recovery
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plan for the Mexican gray wolf that complied with the requirements of Section 4(f). See
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Defs. of Wildlife v. Jewell, No. CV-14-02472-TUC-JGZ, 2015 WL 11182029, at *1 (D.
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Ariz. Sept. 30, 2015). The Court determined that Plaintiffs stated a claim that the Service
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failed to issue a revised plan that complied with the post-1988 requirements of Section 4(f),
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16 U.S.C § 1533(f). Defs. of Wildlife, 2015 WL 11182029, at *9. The parties ultimately
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settled the case, and the Service agreed to produce a revised plan. Defs. of Wildlife v. Jewell,
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No. CV-14-02472-TUC-JGZ, 2016 WL 7852469 (D. Ariz. Oct. 18, 2016).
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The revised plan, “Mexican Wolf Recovery Plan, First Revision,” was completed
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in November 2017. (AR D009169.) In 2018, in this consolidated case, Plaintiffs filed suit
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challenging the Plan on various grounds. The Court dismissed the counts that were, “in
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essence, disagreements with the Service’s determination as to how to best provide for the
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conservation and survival of the Mexican gray wolf,” reasoning that these were
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“determinations within the agency’s discretion and therefore unreviewable under the
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ESA’s citizen-suit provision.” Ctr. for Biological Diversity v. Zinke, 399 F. Supp. 3d 940,
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946-949 (D. Ariz. 2019). The Court allowed the Plaintiffs to proceed with the counts that
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alleged the Service failed to include in the Plan, objective, measurable criteria and site-
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specific-management actions to address threats, or otherwise failed to offer a reason why
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it was not practicable for the agency to do so. Id. at 949-50.
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III.
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STANDARDS OF REVIEW
A. Summary Judgment
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Summary judgment is appropriate if the pleadings and supporting documents “show
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that there is no genuine issue as to any material fact and that the moving party is entitled
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to a judgment as a matter of law.” Fed. R. Civ. P. 56(c); Celotex Corp. v. Catrett, 477 U.S.
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317, 322 (1986). A court presented with cross-motions for summary judgment should
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review each motion separately, giving the nonmoving party for each motion the benefit of
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all reasonable inferences from the record. Ctr. for Bio-Ethical Reform, Inc. v. Los Angeles
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Cnty. Sheriff Dep’t, 533 F.3d 780, 786 (9th Cir. 2008). “Summary judgment is a
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particularly appropriate tool for resolving claims challenging agency action.” Defs. of
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Wildlife v. Salazar, 729 F. Supp. 2d 1207, 1215 (D. Mont. 2010). In such cases the district
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court’s role is not to resolve facts, but to “determine whether or not as a matter of law the
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evidence in the administrative record permitted the agency to make the decision it did.”
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Occidental Eng’g Co. v. INS, 753 F.2d 766, 769 (9th Cir. 1985).3
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B. ESA Citizen-Suit Provision and APA Standard of Review
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The district court’s review of the Plan is limited under the ESA’s citizen-suit
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provision, to claims that the Service did not fulfill its non-discretionary duties. 16 U.S.C.
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§ 1540(g)(1)(C). Allegations that are, “in essence, disagreements with the Service’s
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determination as to how to best provide for the conservation and survival of the Mexican
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gray wolf . . . are determinations within the agency’s discretion and therefore unreviewable
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under the ESA’s citizen-suit provision.” Ctr. for Biological Diversity, 399 F. Supp. 3d at
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946-949. The Service is not necessarily obligated “to include any one particular suggestion
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that any given person deems important for species conservation.” Id. at 949. Further, the
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Service’s duty to satisfy the requirements of § 1533(f) in developing a recovery plan need
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not be based on the “best available science.” Id.
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Although “FWS has discretion as to the content of recovery plans, that does not
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necessarily mean that there are no circumstances under which review of a plan might be
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appropriate.” Id. at 948. “A citizen may still bring suit under § 1540(g) when the [the
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Service] fails to incorporate, to the maximum extent possible, one of the requirements from
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§ 1533(f)(1)(B) in a given recovery plan.” Id. (citation omitted). A challenge to a recovery
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plan is, therefore, reviewable if the challenge asserts that the agency failed to include site-
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specific management actions and objective criteria “to address a problem the agency itself
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Several parties filed controverting statements of facts. (See Docs. 60, 63, 65, and
66 in 18-CV-00047-TUC-JGZ, and Docs. 46, 49, and 51 in 17-CV-00048-TUC-JGZ.)
Upon review, the Court concludes that, although the parties disagree about the legal
significance, the underlying content and accuracy of the administrative record is not in
dispute. Thus, this case is appropriate for resolution by summary judgment. See Occidental
Eng’g Co., 753 F.2d at 769-70 (noting that in its review of an administrative proceeding
the district court decides legal question of whether the agency could reasonably have found
the facts as it did).
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identified, without offering an explanation as to why it was not practicable for the agency
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to do so.” Id. at 950.
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Here, Plaintiffs’ allegations that the Service failed to satisfy the requirements of §
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1533(f)(1)(B) are reviewable. The arguments raised by the Plaintiffs necessarily require
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the Court to determine whether, as a matter of law, the proposed actions and criteria
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constitute “site-specific management actions” and “objective, measurable criteria,” and
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whether, based on the record, the actions and criteria address the threats recognized by the
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Service. If the required elements are omitted, the Court must further determine whether
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the Service has provided a reason for the omissions, explaining why it is impractical to
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include the statutory requirements.
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“Because ESA contains no internal standard of review,” the APA standard of review
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governs. W. Watersheds Project v. Kraayenbrink, 632 F.3d 472, 496 (9th Cir. 2011)
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(applying APA to failure to consult claim brought under ESA citizen-suit provision)
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(citation omitted); 5 U.S.C. § 706(2)(A). (Doc. 48-1 at 19-20; Doc. 58-1 at 18; Doc. 61 at
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6.) The core inquiry is whether there is a rational connection between the site-specific
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actions and criteria chosen and the threats they are intended to address. See Forest
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Guardians v. U.S. Forest Serv., 329 F.3d 1089, 1099 (9th Cir. 2003) (requiring rational
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connection between facts found and choice made). Further, if a reasonable basis exists, the
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court must accept a agency’s explanation on why it was impracticable to include site-
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specific actions and criteria. See Kern Cty. Farm Bureau v. Allen, 450 F.3d 1072, 1076 (9th
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Cir. 2006) (affirming agency action if reasonable basis exists). A court’s review is “limited
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to the explanations offered by the agency in the administrative record.” Arrington v.
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Daniels, 516 F.3d 1106, 1113 (9th Cir. 2008).
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IV.
DISCUSSION
A. Plaintiffs Have Article III Standing
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The ESA’s citizen suit provision permits “any person” to commence a civil suit—
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“an authorization of remarkable breadth when compared with the language Congress
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ordinarily uses.” Bennett v. Spear, 520 U.S. 154, 164-65 (1987). This provision allows
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standing to the fullest extent permitted by Article III. Id. at 164-66; Amer. Soc. for
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Prevention of Cruelty to Animals v. Feld Entm’t, Inc., 659 F.3d 13, 19 (D.C. Cir. 2011).
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An organization has Article III standing to bring suit on behalf of its members when
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“its members would otherwise have standing to sue in their own right.”4 Hunt v. Wash.
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State Apple Advert. Comm., 432 U.S. 333, 343 (1977). To have standing to sue in one’s
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own right, a member “must have (1) suffered an injury in fact, (2) that is fairly traceable to
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the challenged conduct of the defendant, and (3) that is likely to be redressed by a favorable
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judicial decision.” Sierra Club v. Trump, 963 F.3d 874, 883 (9th Cir. 2020). Here the
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Service challenges only the first requirement. Thus, the Court must determine whether the
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members of WEG and CBD have suffered an injury in fact.
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Plaintiffs are asserting that the Service violated the ESA’s procedural requirement
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that a recovery plan include site-specific management actions and objective, measurable
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criteria; Plaintiffs are not permitted by law to challenge the substance of the plan. See 16
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U.S.C § 1540(g)(1)(C); see also Ctr. for Biological Diversity, 399 F. Supp. 3d at 946-949.
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Plaintiffs allege the Service’s alleged error is a procedural one. Therefore, Plaintiffs must
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prove a procedural injury. (CV-18-48 Doc. 52 at 6; Doc. 50 at 7; CV-18-47 Doc. 48-1 at
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16.)
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“In order to establish an injury in fact in the context of a claimed procedural error
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An organizational plaintiff must also show that the interests it seeks to protect are
germane to the organization’s purpose, and neither the claim asserted nor the relief
requested requires the participation of individual members in the lawsuit. Hunt, 432 U.S.
at 343. Although these two requirements are not challenged in this action, “it is well
established that the court has an independent obligation to assure that standing exists,
regardless of whether it is challenged by any of the parties.” See Summers v. Earth Island
Institute, 555 U.S. 488, 499 (2009). Here, Plaintiffs have set forth sufficient facts by
declaration to establish both requirements. Plaintiffs are organizations that are committed
to conserving, protecting, and restoring the Mexican wolf and other imperiled species.
Some of the Plaintiffs have been dedicated, through legal action and otherwise, to
conserving the Mexican wolf since the 1990s. Plaintiffs’ interest in ensuring the Mexican
wolf recovery plan complies with the ESA is therefore germane to their purpose. Plaintiffs
seek relief in the form of a remand of the recovery plan to the FWS for the purpose of
incorporating the statutory requirements under the ESA. Other than drafting declarations
in support of their respective organization’s standing, neither the claim that FWS violated
the ESA, nor the relief requested, requires the participation of any of the members.
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in an agency’s decisionmaking process, a plaintiff must show that ‘(1) the [agency] violated
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certain procedural rules; (2) these rules protect [a plaintiff’s] concrete interests; and (3) it
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is reasonably probable that the challenged action will threaten their concrete interests.’”
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Friends of Santa Clara River v. U.S. Army Corps of Eng’rs., 887 F.3d 906, 918 (9th Cir.
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2018) (citation omitted) (alterations in original). “That is, for Article III purposes, [a court]
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may recognize a ‘procedural injury’ when a procedural requirement has not been met, so
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long as the plaintiff also asserts a ‘concrete interest’ that is threatened by the failure to
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comply with that requirement.” City of Sausalito v. O’Neill, 386 F.3d 1186, 1197 (9th Cir.
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2004). In the environmental context, “the desire to use or observe an animal species, even
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for purely esthetic purposes, is undeniably a cognizable interest for the purpose of
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standing.” Lujan v. Defs. of Wildlife, 504 U.S. 555, 562-63 (1992); see also Friends of
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Earth, Inc. v. Laidlaw Envir. Servs. (TOC), Inc., 528 U.S. 167, 183 (2000) (“We have held
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that environmental plaintiffs adequately allege injury in fact when they aver that they use
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the affected area and are persons ‘for whom the aesthetic and recreational values of the
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area will be lessened’ by the challenged activity.” (quoting Sierra Club v. Morton, 405 U.S.
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727, 735 (1972))).
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Applying these standards, the Court concludes Plaintiffs have Article III standing
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to challenge the Service’s failure to incorporate into the Plan the required site-specific
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management actions and objective, measurable criteria.5 First, Plaintiffs adequately assert
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a violation of a procedural rule. Second, the requirement that site-specific actions and
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objective, measurable criteria be included in a recovery plan was created to assist the
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agency in ameliorating the threats to the Mexican wolf, thereby protecting Plaintiffs’
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aesthetic interests in viewing the wolf. See Kempthorne, 607 F. Supp. 2d at 1088 (noting
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that a recovery plan is a roadmap for the Service to use to neutralize threats to a species’
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existence); see also Fund for Animals, 903 F. Supp. at 103 (“It is supposed to provide a
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Because the organizational Plaintiffs have associational standing to sue on behalf
of their members, the Court need not also consider whether Plaintiff David R. Parsons has
standing, although it appears from his declaration that he does. See Friends of Santa Clara
River, 887 F.3d at 918 (stating when there are multiple plaintiffs, only one plaintiff must
have standing).
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means for achieving the species’ long-term survival in nature.”) Third, because the
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recovery plan is supposed to be the process that neutralizes the recognized threats to the
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wolf’s existence, the Service’s alleged failure to identify actions and criteria in response to
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those threats creates a reasonable probability that Plaintiffs’ interests in viewing the wolf
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in the future are threatened.
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The Service does not cite any authority in support of its assertion that there can be
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no injury from a procedurally deficient plan because recovery plans are non-binding
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statements of intention and there is no assurance that any of the sought-after elements will
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actually be implemented.6 A plaintiff is not required to demonstrate that a procedurally-
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proper recovery plan will necessarily protect their concrete interest in the species. See City
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of Sausalito, 386 F.3d at 1197 (plaintiffs are not required to show a procedurally proper
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EIS would protect their interests in the area); Cantrell v. City of Long Beach, 241 F.3d 674,
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682 (9th Cir. 2001) (“[P]laintiffs asserting procedural standing need not demonstrate that
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the ultimate outcome following proper procedures will benefit them.”); Seattle Audubon
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Soc. v. Espy, 998 F.2d 699, 703 (9th Cir. 1993) (“Speculation that . . . redrafting the EIS
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might not change the Secretary’s decision . . . is not relevant to standing.”). Indeed this
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Court has previously held that a plaintiff has “standing to challenge the Secretary’s failure
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to comply with ESA in developing the recovery plan although the incorporation of delisting
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objectives and criteria into the recovery plan may not necessarily result in . . . full
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recovery.” Sw. Ctr. for Biological Diversity v. Babbitt, 1999 WL 33438081, *3-4 (D. Ariz.
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Sept. 3, 1999); see also Ctr. for Biological Diversity v. Bernhardt, 480 F. Supp. 3d 69, 74-
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75 (D.D.C. 2020) (finding Center of Biological Diversity had standing to challenge
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recovery plan).
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//
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Plaintiffs assert that Defendants’ argument may be a redressability argument. To
the extent it is a redressability argument, it is misplaced. Redressability is satisfied when
“the relief requested—that the agency follow the correct procedures—may influence the
agency’s ultimate decision.” Salmon Spawning & Recovery All. v. Gutierrez, 545 F.3d
1220, 1226 (9th Cir. 2008) (emphasis added). Although the ESA does not mandate
compliance with recovery plans, FWS looks to the Plan as an advisory document, which
may influence their decisions in conserving the Mexican wolf.
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B. Site-Specific Management Actions to Address Human-Caused Mortality
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Plaintiffs assert that the Service’s Plan violates the ESA because it does not contain
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site-specific management actions to address the recognized threat of illegal killing of
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Mexican wolves. Plaintiffs argue that the Plan provides only the vague goal that the
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Service, state agencies, and Mexico “[r]educe human-caused mortality of Mexican
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wolves.” Plaintiffs assert that the Plan leaves out any specifics of how to meet this goal,
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any practical steps for how these agencies might reduce human-caused mortality, and fails
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to explain why it is impracticable or unnecessary to recommend such action. The Court
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agrees.
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Having recognized human-caused mortality as a threat to the wolf, the Service
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acknowledges that it was required to incorporate in the Plan, to “the maximum extent
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practicable,” a description of site-specific management actions as may be necessary to
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address the threat and achieve the goal of conservation and survival of the wolf. (CV-18-
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47 Doc. 58-1 at 27.) The Service claims that the Plan provides numerous site-specific
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management as may be necessary to achieve the Plan’s goal, in the Recovery Action Table
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at the end of the Plan. (Id. at 23, 27.)
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Section VI of the Plan, titled “Actions Needed,” addresses “[r]ecovery actions,
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which were developed for each objective, [to] guide site-specific activities to address
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threats and achieve the recovery criteria.” (AR D009208.) Section VI directs the reader to
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the Recovery Action Table for “[r]ecovery actions, organized by recovery objective.”
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(AR D009208.) The Recovery Action Table lists 24 “site-specific management actions,”
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organized under the applicable recovery objective. (AR D009211-14.) Each site-specific
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action also identifies which of three threats to the species the management action is meant
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to address.7 (Id.) According to the Service, 16 of the 24 management actions listed in the
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Table address the threat of mortality of the species. But review of the recovery actions
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The threat numbering system is: 1) loss of gene diversity; 2) extinction
risk/demographic stochasticity; and 3) exceeding threshold mortality rate. Each action is
assigned a numerical priority (1, 2, or 3) to highlight the relative contribution the action
makes toward species recovery. (AR D009214.)
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shows that few relate to human-caused mortality. Further, many of the listed actions are
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so vague as to not constitute an action at all.
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Under the umbrella of the Plan Objective to increase the size of the wolf
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populations, site-specific actions 1.1 and 1.2 call for surveying and monitoring the wolves
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to determine their population status. (AR D009211.) The Plan does not relate how this
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action is tied to or will address human-caused killings. Similarly, actions 1.3 and 1.4 call
7
only for monitoring the wolves on certain tribal lands. (Id.)
8
Site-specific actions 1.6 and 1.7, which call for reduction of human-caused
9
mortality, do not identify any particular action that management intends to take to address
10
the threat. (Id.) The “action”—reducing human-caused mortality—is identical to the
11
objective—reducing human-caused mortality.
12
constitute a management action which will address the threat. Similarly, site-specific
13
action numbers 1.8 and 1.9 call for a reduction in Mexican wolf-livestock conflicts in the
14
U.S. and Mexico, but fail to identify any management action which might be employed to
15
reduce such conflicts. (AR D009211-12.)
Restatement
of the threat does not
16
Under the umbrella of the Plan Objective to ensure adequate habitat, site-specific
17
action 3.4 pertains to maintaining or improving the status of native prey populations of
18
Mexican wolves. (AR D009213.) Any link between this action and human threats is
19
unstated. More importantly, no specific management actions are specified that would
20
improve the status of native prey. Likewise, site-specific action 2.4 falls under the Plan
21
Objective of improving gene diversity and maintaining the health of Mexican wolves.
22
Action 2.4 calls for monitoring and managing Mexican wolf health. (AR D009212.) It
23
does not identify an action which would address the threat of illegal killing.
24
Specific-site actions 5.1, 5.2 and 6.4 are the closest that the Plan gets to including
25
management actions to address the threat of human-caused mortality. Action 6.4 calls for
26
developing adequate regulations and management and monitoring plans to maintain viable
27
Mexican wolf populations after delisting. (AR D009214.) Actions 5.1 and 5.2 call for
28
conducting education and outreach programs on Mexican wolf conservation in the U.S.
- 12 -
1
and Mexico. (AR D009213.) The stated actions are so vague, however, that one must
2
speculate and guess what educational action or regulatory development might be taken
3
which would pertain to reducing human-caused mortality.
4
The Court acknowledges that “[i]t is not necessary for a recovery plan to be an
5
exhaustively detailed document.” See Fund for Animals, 903 F. Supp. at 106 (noting that
6
the term “specific” modifies the term site, not the term “actions”). Nonetheless, “[a]
7
recovery plan that recognizes specific threats to the conservation and survival of a
8
threatened or endangered species, but fails to recommend corrective action or explain why
9
it is impracticable or unnecessary to recommend such action, would not meet the ESA’s
10
standard.” Id. at 108. Here, the Service does not assert that it would be impracticable to
11
include site-specific management actions addressing human-caused killing in the Plan.
12
Rather, the Service claims that the actions included in the Plan are sufficient, and asserts
13
that the ESA provides neither a definition nor parameters for “site-specific management
14
actions.” (CV 18-47 Doc. 52 at 12.)
15
management actions “to the maximum extent practicable.” 16 U.S.C. § 1533(f)(4). “[T]he
16
phrase ‘to the maximum extent practicable’ does not permit an agency unbridled
17
discretion.” Fund for Animals, 903 F. Supp. at 107. Under the statute, the agency has a
18
“clear duty . . . to fulfill the statutory command to the extent that it is feasible or possible.”
19
Id.
But the ESA requires inclusion of site-specific
20
The Service’s separate Recovery Implementation Strategy demonstrates that site-
21
specific actions can be included in the Plan. The Strategy “provides additional detailed,
22
site-specific near-term activities needed to implement the actions identified in the recovery
23
plan.” (AR D009208.) It lists actions specifically tied to the threat of human-caused
24
mortality, including actions listed under a category specifically addressed to reducing this
25
threat. For example, site-specific action 1.6.1 proposes to conduct education and outreach
26
“to improve public tolerance of wolves,” including education on techniques to reduce
27
conflicts with livestock for school children, communities, landowners, livestock producers,
28
and the general public. (AR D009235.) Site-specific action 1.6.2 is similarly identified as
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1
a management action to reduce human-caused mortality. Action 1.6.2 provides for
2
increasing law enforcement presence by hiring Conservation Law Enforcement Officers to
3
assist in educating the public, in particular hunters and recreationists, to assist with
4
investigations of wolf mortalities, and to coordinate with law enforcement from other
5
agencies. (Id.) The Implementation Strategy identifies several other concrete actions to
6
address the threat of human-killings, including the installation of enhancements to facilitate
7
Mexican wolf movement across existing and new roads to help reduce vehicle collisions
8
with Mexican wolves (action 1.6.4); reducing wolf-livestock conflicts with proactive
9
measures, increased monitoring, hazing, translocations and removal (action 1.8.3);
10
compensating livestock producers for losses due to wolves (action 1.8.4); and providing
11
funding for wolf presence on or near livestock operations (action 1.8.5). (AR D009235,
12
D009237.)
13
The Service recognizes the Implementation Strategy is not a substitute for the Plan
14
itself, but suggests that the Court consider the Strategy as further evidence that the Plan
15
addresses the threat of human-caused mortality to the species through site-specific actions.
16
(CV-18-48 Doc. 52 at 14.) However, the Service does not claim that it would be
17
impracticable to include the management actions contained in the Implementation Strategy
18
in the Plan. While the Service states that it is impracticable to include in the Plan “specific
19
sites” for proposed management actions, the Service does not argue that, and the record
20
does not provide any rationale to explain why, the management actions contained in the
21
Implementation Strategy could not be included in the Plan. (See AR D009208) (noting
22
that “[p]lan does not provide more specific locations for actions for which locations cannot
23
be determined until future conditions are known” and that the Service anticipates “being
24
able to provide a greater degree of site-specificity in the implementation strategy than the
25
recovery actions in the recovery plan” (emphasis added)).
26
Because the Court concludes that the Plan does not include site-specific actions and
27
the Service has failed to offer an explanation as to why it was impracticable to include such
28
actions in the Plan, the Court will remand this matter to the Service for a recovery plan that
- 14 -
1
2
complies with 16 U.S.C. § 1533(f)(1)(B).
C. Objective and Measurable Criteria
3
Plaintiffs assert that the Revised Plan fails to include objective, measurable criteria
4
to assess the threat of human-caused mortality; the threat from inadequate regulatory
5
mechanisms; genetic threats; and threats to habitat. Plaintiffs argue that, because the
6
Service failed to address a problem that the agency itself identified, without offering an
7
explanation as to why it was not practicable for the agency to do so, the Plan violates the
8
ESA. (CV-18-47 Doc. 64 at 18 (citing Ctr. for Biological Diversity, 399 F. Supp. 3d at
9
950)).
10
1. Human-Caused Mortality Criteria
11
The Service has recognized that human-caused mortality, including illegal killings,
12
is a continuing threat to the Mexican wolf. (AR D009189.) Thus, the ESA requires the
13
Service, in developing and implementing the Recovery Plan, to include objective,
14
measurable criteria which, when met, would measure the extent of human-caused mortality
15
and whether that threat is being ameliorated. See Ctr. for Biological Diversity, 399 F. Supp.
16
3d at 949-50. The Court concludes that the Service fulfilled its statutory duty to address in
17
the Plan the threat of human-caused mortality and that there is a rational connection
18
between the Plan criteria and the threat of human killing.
19
The Recovery Plan addresses the threat of human-caused mortality in its objective
20
and measurable criteria pertaining to abundance and the adequacy of regulatory
21
mechanisms. With respect to criteria pertaining to abundance, the Plan provides that the
22
Mexican wolf will be considered for delisting when:
23
(1) a minimum of two populations meet all abundance [] criteria as follows:
24
(a) The population average over an 8-year period is greater than or
equal to 320 wolves (e.g., annual wolf abundance of 200, 240, 288, 344, 412,
380, 355, and 342 averages 320 wolves);
25
26
27
28
(b) The population must exceed 320 wolves each of the last 3 years of
the 8-year period; [and]
(c) The annual population growth rate averaged over the 8-year period
is stable or increasing (e.g., annual averages of 1.2, 1.2, 1.2, 1.2, 1.2, 0.9, 0.9,
and 1.0 averages 1.1).
- 15 -
1
(AR D009199.) The Service explained in the section of the Plan entitled “Rationale for
2
Recovery Criteria,” that the Service adopted the population abundance criteria to “ensure
3
that populations are resilient and the threats . . . of human-caused mortality have been
4
ameliorated.” (AR D009200.) According to the Plan, “[m]ortality rates will need to be
5
sufficiently low to achieve recovery criteria because they are a primary indicator of wolf
6
population trajectory.” (Id.) The Plan cites a population viability analysis for the Mexican
7
wolf showing that “population performance is highly sensitive to relatively small changes
8
in adult mortality rate.” (AR D009201.) The analysis concludes that mean adult mortality
9
rates would need to be “less than 25%, combined with mean sub-adult mortality rates less
10
than 33% and mean pup mortality . . . less than 13%” for there to be an “increasing
11
population that meet[s] the population abundance recovery criteria.” (Id.) Based, in part,
12
on the population viability analysis, the Service considers these mortality rates to be
13
acceptable and an appropriate measurement of whether, based on the population criteria,
14
the human-caused mortality threat has been ameliorated. (Id.)
15
Plaintiffs assert the Service must create criteria that directly measure the appropriate
16
rate of human-caused mortality and state that the population criteria does not adequately
17
measure success in alleviating the threat of human-caused mortality. Plaintiffs assert that
18
using population abundance criteria as a substitute violates the ESA.8 The Plaintiffs cite to
19
the Service’s Recovery Planning Guidance, which provides that population parameters
20
may not have been accurate in assessing threats in some cases. (AR D014199.)
21
The Court concludes that these arguments challenge the Service’s determination of
22
how to best provide for conservation of the Mexican wolf, which is a determination within
23
the agency’s discretion, and therefore unreviewable. See Ctr. for Biological Diversity, 399
24
F. Supp. 3d at 949. In addition, the fact that population criteria sometimes do not
25
26
27
28
8
In support, Plaintiffs cite Fund for Animals, 903 F. Supp. at 112, and Defs. of
Wildlife v. Babbitt, 130 F. Supp. 2d 121, 133 (D.D.C. 2001). However, in these cases the
Service failed to explain how the population abundance criteria addressed the threats to the
species. In contrast, in the case at bar, the Service clearly explained how the population
abundance criteria and human-caused moralities are directly related, and how the
abundance criteria consider and measure the human-caused mortality rate the Service
deems appropriate.
- 16 -
1
adequately measure success, does not mean that use of such criteria in the present case is
2
arbitrary or capricious. That fact that more accurate measurements may be available is not
3
a factor the Court can consider. The Court concludes that the Service has established a
4
rational connection between the population criteria and the threat of human-caused
5
mortality, and thus has fulfilled its statutory obligation.
6
2. Inadequate Regulatory Mechanisms Criteria
7
The Service states that its criteria addressing inadequate regulatory mechanisms
8
address not only that threat but also the threat of human-caused mortality. (CV-18-47 Doc.
9
58-1 at 29.) That delisting criterion provides:
10
11
12
13
14
15
16
17
18
19
20
21
22
23
24
25
26
27
28
States and Tribes will ensure regulatory mechanisms are in place to prohibit
or regulate human-caused mortality of Mexican wolves in those areas
necessary for recovery such that the Service determines that at least 320
Mexican wolves are likely to be maintained in the United States in the
absence of Federal ESA protection.
(AR D009199-9200.)
Plaintiffs argue that the criterion is neither objective nor measurable, as it relies on
the Service’s subjective determination as to the adequacy of unspecified regulatory
mechanisms. In addition, Plaintiffs argue that the criterion is insufficient because the
measure responds only to the threat of inadequate regulatory mechanisms to limit postdelisting mortality under listing factor 4(a)(1)(D), and therefore fails to address the
Service’s finding that the Mexican wolf is threatened (under ESA listing factor 4(a)(1)(C)),
“[b]ased on the continuous occurrence of illegal shooting taking place while the Mexican
wolf is protected by the Act.” (Doc. 64 at 24.) Plaintiffs conclude that the regulatory
criterion violates the ESA because it is based on future plans that States and Tribes will
take after delisting. Plaintiffs cite Fund for Animals, 903 F. Supp. at 113, and Oregon
Natural Resources Council v. Daley, 6 F. Supp. 2d 1139, 1154-55 (D. Or. 1998), in support.
The Court disagrees with Plaintiffs’ characterization of the criterion. The criterion
is objective and measurable because it requires regulations to be implemented that will
maintain a wolf population of 320 wolves. (AR D009200.) The Plan also requires that
regulations be in place so that the population abundance criteria is retained. (AR D009204.)
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1
In fact, Plaintiffs acknowledge that the Service can objectively measure the success of
2
regulations by looking to population data.9 (CV-18-48 Doc. 42 at 26.) Further, the
3
regulations, although providing a general directive, are not completely lacking in
4
specificity as Plaintiffs suggest. The criterion requires that the proposed regulations
5
“prohibit or regulate human-caused mortality of Mexican wolves.” (AR D009200.) Lastly,
6
the criterion does not provide that States and Tribes may ignore the current threat of
7
inadequate regulations by developing regulations after delisting. The criterion requires that
8
States and Tribes “will ensure regulatory mechanisms are in place to prohibit or regulate
9
human-caused mortality of Mexican Wolves in those areas necessary for recovery.” (AR
10
D009200.) And the Plan’s Rationale for Recovery states that “[p]rior to delisting, [the
11
Service] will ensure that the state and tribal agencies that will be responsible for
12
maintaining the recovered status of the Mexican wolf have adequate regulations in place
13
to ensure levels of human-caused mortality will enable the population to retain the
14
population abundance specified by the abundance criterion.” (AR D009204 (emphasis
15
added).)
16
Plaintiffs’ reliance on Oregon Natural Resources Council and Fund for Animals,
17
for the proposition that recovery actions cannot be based on future actions, is misplaced.
18
In Oregon Natural Resources Council, the court held that “the Secretary may not rely on
19
plans for future actions to reduce threats and protect a species as a basis for deciding that
20
listing is not currently warranted.” 6 F. Supp. 2d at 1154. Future actions are not relevant to
21
the determination of whether a species should be listed. In that context, the Service is
22
required to consider the present status of a species. In contrast, in the context of recovery
23
plans, a plan’s purpose is to identify future actions and criteria that would result in delisting,
24
9
25
26
27
28
The Court acknowledges that there are inherent difficulties in developing
objective and measurable criteria to evaluate whether regulations implemented by other
governmental bodies will successfully address the threat of illegal killings of wolves after
the protections of the ESA are lifted, as the specific threat is inadequate regulations, absent
the ESA. As explained in the Service’s Recovery Planning Guidance: “[A] measurable and
objective criterion may be for a state to have a management plan in place that . . . will
manage the species effectively after the species is delisted. This criterion is measurable and
objective (although there’s some subjectivity with regard to whether the plan will be
effective), without having a numerical component.” (AR D014198.)
- 18 -
1
if met. Fund for Animals is inapplicable because it is factually dissimilar from the present
2
case. The Fund for Animals court found that a recovery plan did not satisfy the “objective,
3
measurable criteria” requirement because the plan did not include criteria to address the
4
inadequacy of existing regulatory mechanisms, despite having identified that inadequacy
5
as a threat. 903 F. Supp at 113. There, the Service said that it would include the criteria in
6
a yet to be developed Conservation Strategy. Id. In contrast, in the present case, the Service
7
included criteria to address inadequate regulatory mechanisms in the recovery plan.
8
3. Genetic Criteria
9
Loss of gene diversity is identified by the Service as a threat to the Mexican wolf in
10
the listing and in the Plan. (AR D015961, D009189.) The Plan includes one criterion to
11
address genetic threats. The Plan provides that the Mexican wolf will be considered for
12
delisting when a minimum of two populations meet (in addition to all abundance criteria)
13
the following genetic criterion:
14
15
16
Gene diversity available from the captive population has been incorporated
into the United States population through scheduled releases of a sufficient
number of wolves to result in 22 released Mexican wolves surviving to
breeding age in the United States population.
17
(AR D009199.) “Surviving to breeding age” is defined as a pup that lives 2 years to the
18
age of breeding or an adult or subadult that lives for a year following its release. (Id.)
19
“Scheduled releases” means captive releases and translocations that achieve genetic
20
representation, as described in the Plan’s “Rationale for Recovery Criteria.” (Id.)
21
The Court disagrees with Plaintiffs’ contention that the Service failed to include any
22
delisting criteria in the Plan to address genetic threats. Plaintiffs’ argument is that the
23
criterion that is included is so insufficient that it is arbitrary. Plaintiffs argue that measuring
24
genetic diversity by the number of releases or survival to a certain age measures only the
25
Service’s efforts, and not the results of those efforts. Plaintiffs assert that the delisting
26
criterion does not measure the wolves’ actual genetic status. Finally, Plaintiffs argue that,
27
although the Service recognizes that connectivity is an important tool for alleviating
28
genetic threats and slowing the loss of adaptive potential, the Plan does not include any
- 19 -
1
connectivity criteria; it merely provides that the Service will work to maintain and enhance
2
connectivity within and between wolf populations.
3
The Court concludes that the criterion is not arbitrary or capricious because the
4
Service has provided a rational explanation as to how the recovery criterion addresses the
5
genetic threat to the Mexican wolf. In the Plan, the Service explains that the gene diversity
6
criterion is meant to “ensure[] that Mexican wolf populations have genetic representation
7
and that genetic threats have been ameliorated.” (AR D009202.) The Service considers the
8
degree to which wild populations contain the gene diversity available from the captive
9
population to be an important indication of genetic representation for recovery. (Id.) The
10
Service concluded “approximately 90% [gene diversity] to be reasonable for recovery
11
because it ensures wild populations contain a high degree of the gene diversity available.”
12
(AR D009203.) The Service looked at several release scenarios and models that are able to
13
achieve 90% gene diversity of the captive population in the wild by model year 20 (2035),
14
even when not all released wolves incorporated into the population contribute offspring.
15
The metric employed (number of animals that survive to breeding age), coupled model
16
performance with performance of the wild populations. (Id.) Even including a low level
17
of dispersal/connectivity (approximately 1 wolf every 12-16 years), the model predicts that
18
at this level of release and at the predicted first year mortality rate, gene diversity will be
19
achieved in the wild wolf population of approximately 90% of that retained in the captive
20
population if the delisting criterion—survival of 22 wolves released—is met. (Id.) 10
21
The Court also disagrees with Plaintiffs’ assertion that “only effort, not results are
22
required.” The criterion provides that the released wolves must survive to breeding age,
23
and the models cited by the Service contemplate both the anticipated level of release and
24
predicted mortality rate to achieve genetic representation. (AR D009200, D009202-04.)
25
Moreover, as the Service explained, it is not able to control breeding events in the wild.
26
The Court understands, but is not persuaded by, Plaintiffs’ argument that there are methods
27
The Court disagrees with Plaintiffs’ argument that the 90% target is not
incorporated in the Plan. The genetics criterion incorporates the 90% gene diversity goal
because the criterion contemplates needing to release 70 wolves in order to have 22 wolves
survive to breeding age and reach the 90% target.
28
10
- 20 -
1
that could be employed to more directly measure the wolves’ genetic makeup. The Court
2
is not authorized to determine whether the Service’s means of addressing genetic threats is
3
the best. See Ctr. for Biological Diversity, 399 F. Supp. 3d at 946-949 (holding that the
4
Service is not required to include any particular suggestion that one might deem necessary
5
for conservation of a species). In sum, the Court finds that the Plan’s genetic criterion to
6
address the threat of loss of gene diversity is not arbitrary or capricious and that the Service
7
has fulfilled its obligation under the ESA to address this threat.
8
4. Habitat Criteria
9
Plaintiffs argue that the Service’s failure to identify objective, measurable criteria
10
related to habitat violates the ESA. Plaintiffs highlight the importance of suitable habitat
11
for wolf recovery and argue that the future loss of habitat is a specific threat to the Mexican
12
wolf.
13
In 2015, during the listing process, the Service did not identify habitat as a threat to
(AR D015951.) In the Plan, the Service explains that “habitat
14
the Mexican wolf.
15
destruction, modification, or curtailment (Factor A) is not threatening or endangering the
16
Mexican wolf, yet ensuring adequate habitat is available to support [the] recovered
17
Mexican wolf population into the future is central to the recovery effort for the Mexican
18
wolf (e.g., a potential stressor).” (AR D009189.) The Plan relies on the 2017 Biological
19
Report, which cites a 2017 habitat suitability analysis stating, “results suggest that there is
20
still sufficient habitat remaining . . . to support viable populations of the Mexican wolf in
21
the wild.” (AR D009157.) Because the Service considered Factor A—“the present or
22
threatened destruction, modification, or curtailment of its habitat range,” 16 U.S.C. §
23
1533(a)(1)(A) —and found habitat was not a threat to the Mexican wolf, and because there
24
is a rational basis for this conclusion, the Court concludes that the Service need not develop
25
habitat criteria. Cf. Fund for Animals, 903 F. Supp. at 111 (recovery plan violated ESA
26
because it identified habitat degradation to be a threat but failed to identify criteria to assess
27
the present or threatened destruction of habitat).
28
//
- 21 -
1
CONCLUSION
2
For the foregoing reasons, IT IS ORDERED:
3
1. The Motion for Summary Judgment filed by Plaintiffs Center for Biological
4
Diversity et al. (Doc. 41 in 18-CV-00048-TUC-JGZ) is GRANTED IN PART AND
5
DENIED IN PART;
6
7
2. The Motion for Summary Judgment filed by Plaintiffs WildEarth Guardians et
al. (Doc. 48 in 18-CV-00047-TUC-JGZ0) is DENIED;
8
3. Defendants’ Cross-Motions for Summary Judgment (Docs. 58 & 61 in 18-CV-
9
00047-TUC-JGZ and Docs. 44 & 47 in 18-CV-00048-TUC-JGZ) are GRANTED IN
10
PART AND DENIED IN PART.
11
4. The Mexican Wolf Recovery Plan First Revision is REMANDED to the Service
12
for further action consistent with this order. The Service must produce a draft recovery
13
plan for public comment within six months that includes site-specific management actions,
14
with a final plan to follow no later than six months thereafter.
15
Dated this 14th day of October, 2021.
16
17
18
19
20
21
22
23
24
25
26
27
28
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