Golden Gate Salmon Association, et al. v. Ross, et al.
Filing
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MEMORANDUM DECISION AND ORDER GRANTING IN PART AND DENYING IN PART MOTION TO COMPLETE THE ADMINISTRATIVE RECORD signed by Chief Judge Lawrence J. O'Neill on June 22, 2018. (ECF NO. 42) (Munoz, I)
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UNITED STATES DISTRICT COURT
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FOR THE EASTERN DISTRICT OF CALIFORNIA
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GOLDEN GATE SALMON ASSOCIATION,
NATURAL RESOURCES DEFENSE
COUNCIL, INC., DEFENDERS OF
WILDLIFE, BAY.ORG d/b/a THE BAY
INSTITUTE,
Case No. 1:17-cv-01172 LJO-EPG
MEMORANDUM DECISION AND
ORDER GRANTING IN PART AND
DENYING IN PART MOTION TO
COMPLETE THE ADMINISTRATIVE
RECORD (ECF NO. 42)
Plaintiffs,
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vs.
WILBUR ROSS, in his official capacity as
Secretary of Commerce, CHRIS OLIVER, in
his official capacity as Assistant Administrator
for Fisheries at the National Oceanic and
Atmospheric Administration; and
NATIONAL MARINE FISHERIES
SERVICE,
Defendants.
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I. INTRODUCTION
On June 29, 2017, Plaintiffs, a coalition of environmental interest groups, filed the currently
21 operative Complaint, which includes a single claim brought under the Administrative Procedure Act
22 (“APA”), 5 U.S.C. § 701 et seq., and the Endangered Species Act (“ESA”), 16 U.S.C. §§ 1531 et seq.,
23 against the National Marine Fisheries Service (“NMFS”), an office of the National Oceanic and
24 Atmospheric Administration (“NOAA”) within the U.S. Department of Commerce, as well as the
25 Secretary of Commerce and the Acting Administrator of NOAA (collectively, “Federal Defendants”).
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ECF No. 1. The Complaint concerns NMFS’s Biological Opinion (“BiOp”), issued under Section 7 of
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the ESA, regarding the impacts of California’s proposed WaterFix project (“WaterFix”) on various
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ESA-listed species, including the endangered Sacramento River winter-run Chinook salmon (“winter-
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run”) and threatened Central Valley spring-run Chinook salmon (“spring-run”). Id. It is alleged that as
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part of WaterFix, the Bureau of Reclamation (“Bureau” or “Reclamation”) and the California
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Department of Water Resources (“DWR”) proposed to construct three new water intakes on the
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Sacramento River, each capable of diverting 3,000 cubic feet per second (“cfs”) of water. Id. at ¶ 2. The
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Bureau and DWR also propose to construct two tunnels that will transport water from these intakes to
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existing pumping plants in the South Delta, bypassing up to 9,000 cfs of water underneath (instead of
10 through) the Sacramento-San Joaquin River Delta. Id.
Federal Defendants lodged the administrative record (“AR”) on March 15, 2018. ECF Nos. 40 &
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12 41. Plaintiffs now move for inclusion of certain additional documents in the AR. ECF No. 42. Federal
13 Defendants oppose the motion, ECF No. 45, and, after the parties stipulated to continue the hearing on
14 the motion, ECF No. 47, Plaintiff’s filed a reply on April 27, 2018. ECF No. 48. Having deemed the
15 matter suitable for decision on the papers pursuant to Local Rule 230(g), ECF No. 49, the Court hereby
16 GRANTS IN PART AND DENIES IN PART Plaintiffs’ motion and requests supplemental briefing on
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17 one issue.
II. BACKGROUND
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The present dispute involves documents created under the auspices of various sections of the
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20 ESA, as well as the National Environmental Policy Act (“NEPA”), 42 U.S.C. §§ 4321 et seq., and the
21 California Environmental Policy Act (“CEQA”), Cal. Pub. Res. Code §§ 21000 et seq. “Under the ESA,
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The Court notes that the issuance of an order on this motion was delayed significantly by the facts that the briefs: (a) do not
24 clearly delineate in an organized manner the documents remaining at issue; and (b) incorporate by reference large amounts of
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argument and explanation contained within lengthy declarations, meaning that in every practical sense both sides exceeded
by large margins the page limits imposed by this Court’s standing order. While reference to declarations is of course
necessary in many instances, they are meant to support, not supplant, briefs.
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the Secretary of the Interior and the Secretary of Commerce are charged with identifying threatened and
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endangered species and designating critical habitats for those species.” Nat. Res. Def. Council v. Jewell,
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749 F.3d 776, 779 (9th Cir. 2014) (citing 16 U.S.C. § 1533). NMFS and the U.S. Fish and Wildlife
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Service (“FWS”) administer the ESA on behalf of the Departments of the Commerce and Interior,
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respectively2. See 50 C.F.R. §§ 17.11, 222.101(a), 223.102, 402.01(b). The district court in
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Environmental Protection Information Center, Inc. v. Pacific Lumber Co., summarized succinctly the
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relationship between the sections of the ESA pertinent to the present motion:
Section 9 of the ESA makes it unlawful for any person to “take,” i.e., to
harm, kill or harass, any listed endangered species of fish or wildlife
within the United States unless an incidental take permit (“ITP”) or other
exemption is obtained pursuant to section 10 of the ESA. 16 U.S.C.
§ 1538. In order to qualify for an ITP, a permit applicant must submit a
habitat conservation plan that includes, among other things, the steps an
applicant will take to minimize and mitigate impacts on endangered
species and alternative actions being considered. 16 U.S.C.
§ 1539(a)(2)(A).
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Section 7(a)(2) imposes a procedural duty on the federal agencies to
consult with the FWS or NMFS, depending on the protected species, to
“insure that any action authorized, funded, or carried out by such agency
... is not likely to jeopardize the continued existence of any endangered
species or threatened species or result in the destruction or adverse
modification” of critical habitats of listed species. 16 U.S.C. § 1536(a)(2).
An agency “action” is defined to mean all activities carried out by federal
agencies, including, among other things, the granting of licenses and
permits. See 50 C.F.R. § 402.02. “If a contemplated agency action may
affect a listed species, then the agency must consult with the Secretary of
the Interior, either formally or informally.” American Rivers [v. NMFS],
126 F.3d [1118,] 1122 [(9th Cir. 1997)].
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. . . . An ITP, by its very nature, is issued to a permit applicant because its
activities may result in the “taking” of listed species, and therefore, “may
affect” those species. See 16 U.S.C. § 1539(a); Pacific Rivers Council v.
Thomas, 30 F.3d 1050, 1055 (9th Cir. 1994) [].
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Generally, FWS has jurisdiction over species of fish that either (1) spend the major portion of their life in fresh water, or (2)
spend part of their lives in estuarine waters, if the remaining time is spent in fresh water. See Cal. State Grange v. Nat’l
Marine Fisheries Serv., 620 F. Supp. 2d 1111, 1120 n.1 (E.D. Cal. 2008), as corrected (Oct. 31, 2008). NMFS is granted
jurisdiction over fish species that (1) spend the major portion of their life in ocean water, or (2) spend part of their lives in
estuarine waters, if the remaining portion is spent in ocean water. Id. FWS exercises jurisdiction over the delta smelt; NMFS
exercises jurisdiction over the winter-run and spring-run Chinook salmon.
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67 F. Supp. 2d 1113, 1117-18 (N.D. Cal. 1999), vacated in part on other grounds, 257 F.3d 1071 (9th
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Cir. 2001).
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More specifically, the ESA Section 7 consultation process normally begins with the preparation
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by the “action agency” (i.e., the agency proposing the project) of a “biological assessment” (“BA”)
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designed to determine whether any listed species “is likely to be affected” by the action. 16 U.S.C.
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§ 1536(c)(1). If the BA determines that a threatened or endangered species “is likely to be affected,” the
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agency must formally consult with the FWS or NMFS (sometimes referred to generically as “wildlife
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agencies”). See id. § 1536(a)(2); 50 C.F.R. § 402.14. Formal consultation results in the issuance of a
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BiOp by the relevant wildlife agency. See id. § 1536(b).
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If the BiOp concludes that the proposed action would jeopardize the species or destroy or
11 adversely modify critical habitat, see id. § 1536(a)(2), then the action may not go forward unless the
12 wildlife agency can suggest a “reasonable and prudent alternative[]” (“RPA”) that avoids jeopardy,
13 destruction, or adverse modification. Id. § 1536(b)(3)(A). If the BiOp concludes that jeopardy is not
14 likely and that there will not be adverse modification of critical habitat, or that there is a RPA to the
15 agency action that avoids jeopardy and adverse modification, and that the incidental taking of
16 endangered or threatened species will not cause jeopardy, the wildlife agency shall issue an “Incidental
17 Take Statement” (“ITS”) which, if followed, exempts the action agency from the prohibition on takings
18 found in Section 9 of the ESA. 16 U.S.C. § 1536(b)(4); Aluminum Co. of Am. v. Administrator,
19 Bonneville Power Admin., 175 F.3d 1156, 1159 (9th Cir. 1999).
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The document challenged in this case is a BiOp prepared by NMFS in connection with the
21 WaterFix proposal. The WaterFix project is at least in part an outgrowth of several rounds of planning
22 for the long-term operation of the federal Central Valley Project (“CVP”) and State Water Project
23 (“SWP”). Presently, the CVP and SWP are operated in coordination according to a Coordinated
24 Operations Agreement (“COA”) between Reclamation and DWR. AR A000010. Two BiOps in turn
25 regulate the coordinated CVP/SWP operations: one issued in 2008 by FWS and another issued in 2009
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by NMFS. See AR A000044. Both BiOps contain RPAs designed to avoid jeopardy to listed species.
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Most relevant to the instant motion is an RPA in the 2009 NMFS BiOp pertaining to Shasta Reservoir
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operations (“Shasta RPA”). In certain recent drought years, DWR and Reclamation have requested and
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received permission to deviate from the Shasta RPA. See AR C061202-204. In 2017, NMFS proposed
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an amendment to the Shasta RPA to account for multiple years of drought conditions, new science and
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modeling, and low population abundance levels of the winter-run and spring run Chinook the Shasta
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RPA was designed to protect. AR A000018.
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WaterFix is at least arguably more directly an outgrowth of a planning effort to develop the Bay
Delta Conservation Plan (“BDCP”). AR A000010. The BDCP was originally envisioned as a
10 comprehensive program to “satisfy existing regulatory requirements related to operation of the CVP and
11 SWP and develop a conservation plan for the Delta that would support new regulatory authorizations
12 under state and Federal endangered species laws for current and future activities related to the CVP and
13 SWP.” Id. In 2013, DWR issued a draft BDCP (a draft habitat conservation plan) and filed an
14 application for an ITP under ESA Section 10. AR A000011. In addition, in cooperation with other
15 relevant regulatory agencies, including NMFS, DWR and Reclamation issued a Draft Environmental
16 Impact Statement/Environmental Impact Report (“DEIS/EIR”) pursuant to NEPA and CEQA,
17 evaluating the BDCP and 12 other alternatives. AR A000011.
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In February 2015, Reclamation and DWR decided to pursue separately an ESA Section 7
19 consultation for the construction and operation of the water facilities formerly included within the BDCP
20 as “Conservation Measure 1,” in the form of the WaterFix proposal. See id. Throughout 2015 and 2016,
21 NMFS provided technical assistance to DWR and Reclamation regarding the development of a BA for
22 WaterFix, which was eventually submitted to NMFS by Reclamation, along with Reclamation’s request
23 for initiation of formal consultation under ESA Section 7 regarding WaterFix. AR A000012. On June
24 16, 2017, NMFS issued the 1,267-page WaterFix BiOp, which concluded that WaterFix is not likely to
25 jeopardize the continued existence of ESA-listed winter-run and spring-run Chinook salmon, or destroy
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or adversely modify designated critical habitat for those species. AR A000005, A 001115.
III. APA RECORD REVIEW RULE
In the context of claims arising under the APA, the scope of judicial review is limited to “the
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administrative record already in existence, not some new record made initially in the reviewing court.”
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Camp v. Pitts, 411 U.S. 138, 142 (1973). The administrative record is “not necessarily those documents
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that the agency has compiled and submitted as ‘the’ administrative record.” Thompson v. U.S. Dept. of
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Labor, 885 F.2d 551, 555 (9th Cir. 1989) (internal citation omitted). Rather, “‘[t]he whole record’
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includes everything that was before the agency pertaining to the merits of the decision.” Portland
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Audubon Soc’y v. Endangered Species Comm., 984 F.2d 1534, 1548 (9th Cir. 1993) (internal citation
10 omitted). “The ‘whole’ administrative record, therefore, consists of all documents and materials directly
11 or indirectly considered by agency decision-makers and includes evidence contrary to the agency’s
12 position.” Thompson, 885 F.3d at 555 (emphasis added).
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An incomplete record must be viewed as a fictional account of the actual
decisionmaking process. When it appears the agency has relied on
documents or materials not included in the record, supplementation is
appropriate.
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Portland Audubon, 984 F.2d at 1548 (internal quotations and citations omitted). “A satisfactory
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explanation of agency action is essential for adequate judicial review, because the focus of judicial
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review is not on the wisdom of the agency’s decision, but on whether the process employed by the
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agency to reach its decision took into consideration all the relevant facts.” Asarco, Inc. v. U.S.
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Environmental Protection Agency, 616 F.2d 1153, 1160 (9th Cir. 1980).”
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However, the record does not include “every scrap of paper that could or might have been
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created” on a subject. TOMAC v. Norton, 193 F. Supp. 2d 182, 195 (D.D.C. 2002).
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A broad application of the phrase “before the agency” would undermine
the value of judicial review: Interpreting the word “before” so broadly as
to encompass any potentially relevant document existing within the
agency or in the hands of a third party would render judicial review
meaningless. Thus, to ensure fair review of an agency decision, a
reviewing court should have before it neither more nor less information
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than did the agency when it made its decision.
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Pac. Shores Subdivision v. U.S. Army Corps of Eng’rs, 448 F. Supp. 2d 1, 5 (D.D.C. 2006) (internal
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citations and quotations omitted).
IV. DISCUSSION
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Presumption of Completeness
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An agency’s designation and certification of the administrative record is entitled to a
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“presumption of administrative regularity.” McCrary v. Gutierrez, 495 F. Supp. 2d 1038, 1041 (N.D.
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Cal. 2007) (citing Bar MK Ranches v. Yuetter, 994 F.2d 735, 740 (10th Cir. 1993)). This requires courts
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to presume that public officials have discharged properly their official duties. Id. It is the burden of the
10 party seeking to supplement the record to overcome this presumption by producing clear evidence to the
11 contrary. Bar MK, 994 F.2d at 740; Pinnacle Armor, Inc., 923 F. Supp. 2d 1226, 1232 (E.D. Cal. 2013).
12 Put another way, to rebut the presumption of regularity, plaintiffs “must put forth concrete evidence” to
13 show that the record is incomplete. Pac. Shores Subdivision, California Water Dist. v. U.S. Army Corps
14 of Eng’rs, 448 F. Supp. 2d 1, 6 (D.D.C. 2006) (cited in California v. U.S. Dep’t of Labor, No. 2:13-CV15 02069-KJM, 2014 WL 1665290, at *5 (E.D. Cal. Apr. 24, 2014)). Plaintiffs cannot meet their burden
16 “simply by asserting that the documents are relevant, were before or in front of the [agency] at the time
17 it made its decision, and were inadequately considered”; instead, plaintiffs “must identify reasonable,
18 non-speculative grounds for [their] belief that the documents were considered by the agency and not
19 included in the record.” Id.
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Plaintiffs assert that the presumption is “lost” when a plaintiff identifies wrongly omitted
21 materials with specificity, and provides reasonable grounds for the belief that those documents were
22 considered by the agency. This is true as to the wrongly omitted materials, but to the extent Plaintiffs
23 suggest that rebutting the presumption as to one document (or even an entire category of materials)
24 changes how the Court must review other materials, see ECF No. 48 at 2-3 (suggesting that Plaintiffs’
25 have “overcome” the presumption in a general way and arguing there is no “reason to resuscitate the
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presumption based upon [NMFS’s] belated addition of certain documents”), the Court does not agree. In
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numerous cases, including many cited by Plaintiffs, the presumption is set forth as a foundational
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principle used to evaluate items or categories of items requested to be added to the administrative
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record. See California v. U.S. Dep’t of Labor, No. 2:13-CV-02069-KJM, 2014 WL 1665290, at *4-5
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(E.D. Cal. Apr. 24, 2014) (discussing the applicable rules, in light of the presumption, and then
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addressing those rules to specific items identified); Regents of Univ. of Cal. v. U.S. Dep’t of Homeland
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Sec., No. C 17-05211 WHA, 2017 WL 4642324, at *4-5 (N.D. Cal. Oct. 17, 2017) (finding presumption
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rebutted where record was completely devoid of certain types of documents and court found it “not
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plausible” that no such documents were considered by decisionmakers, resulting in addition to record of
10 specific documents presented to court in camera), aff’d sub nom In re United States, 875 F.3d 1200,
11 1206-07 (9th Cir. 2017) (holding no clear error in ruling that presumption was rebutted where certified
12 record omitted documents), judgment vacated on other grounds, 138 S. Ct. 443 (2017). In some
13 instances, courts discuss the presumption in a more general way when evaluating whether the record was
14 compiled in such a wholly inappropriate manner as to justify discovery regarding what items may have
15 been omitted from the record, Forest Guardians v. Kempthorne, No. 06CV2560-L(LSP), 2008 WL
16 11337359, at *3 (S.D. Cal. Apr. 1, 2008) (permitting discovery into completeness of the record where,
17 among other things, plaintiffs identified several documents the agency conceded should have been part
18 of the record, but, even after so conceding, agency nonetheless re-certified the record twice without
19 including those additional documents), or when the record was certified under the wrong legal standard
20 thereby justifying requiring the agency to perform an entire new search for record documents. See Gill v.
21 Dep’t of Justice, No. 14-CV-03120-RS (KAW), 2015 WL 9258075, at *5 (N.D. Cal. Dec. 18, 2015); see
22 also San Luis & Delta-Mendota Water Auth. v. Jewell, No. 1:15-CV-01290 LJO GSA, 2016 WL
23 3543203, at *2-18 (E.D. Cal. June 23, 2016) (refusing to find that the record certification rebutted the
24 presumption on its own in a global sense, instead evaluating each document presented for
25 supplementation under the “clear evidence to the contrary” standard set forth in Bar MK).
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Here, there is no request for record-related discovery and the Court sees no basis for a global
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finding that the AR needs to be re-built from the ground up because of a fundamentally flawed approach
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to compiling the AR. Accordingly, the Court takes the document-by-document (or category-by-
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category) approach.
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Deliberative Process Privilege
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Plaintiffs take issue with NMFS’s exclusion from the AR of certain “deliberative and privileged
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materials.” See ECF No. 42-1 at 2, 7-9; Declaration of Douglas Obegi (“Obegi Decl”), ECF No. 42-2, ¶
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4. Plaintiffs argue that these materials must be included in the record to ensure that the Court is able to
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review fairly NMFS’s decision to exclude them. ECF No. 42-1 at 7. In support of this position, Plaintiffs
10 rely on cases from the Northern District of California, a jurisdiction that requires an agency preparing an
11 administrative record to include internal agency communications in the record and then produce a
12 privilege log to justify exclusion of any records under the deliberative process privilege. Ctr. for Food
13 Safety v. Vilsack, No. 15-CV-01590 HSG KAW, 2017 WL 1709318, at *3 (N.D. Cal. May 3, 2017).
14 But, as the Northern District acknowledges, “there is a split of authority regarding whether internal
15 communications and drafts are properly part of the record.” Id.
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The D.C. Circuit Court, for example, has concluded that such agency
deliberations are not part of the record, reasoning that “the ordinary APA
cause of action does not directly call into question the agency’s subjective
intent.” In re Subpoena Duces Tecum, 156 F.3d 1279, 1280 (D.C. Cir.
1998). Thus, “[a]gency deliberations not part of the record are deemed
immaterial” “because the actual subjective motivation of agency decisions
is immaterial as a matter of law.” Id. at 1279-80. Likewise, several district
courts in this Circuit have concluded that “internal agency deliberations
are properly excluded from the administrative record....” California v. U.S.
Dep’t of Labor, No. 2:13-cv-2069-KJM-DAD, 2014 WL 1665290, at *13
(E.D. Cal. Apr. 24, 2014); United States v. Carpenter, No. 3:99-cv-547RLH-RAM, 2011 WL 4763675, at *3 (D. Nev. Oct. 7, 2011) (denying
request to include records to the administrative record where they related
to internal deliberations or mental processes).
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Ctr. for Food Safety, 2017 WL 1709318, at *3. This Court addressed this issue in a related case,
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following the lead of the D.C. Circuit and other cases in this District by declining to require deliberative
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materials be included in an administrative record as a matter of course because doing so contravenes
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“the standard presumption that the agency properly designated the Administrative Record.” San Luis &
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Delta-Mendota Water Auth. v. Jewell, No. 1:15-CV-01290 LJO GSA, 2016 WL 3543203, at *19 (E.D.
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Cal. June 23, 2016) (quoting National Association of Chain Drug Stores v. U.S. Dep’t of Health &
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Human Services, 631 F. Supp. 2d 23, 27-28 (D.D.C. 2009)). That said, as discussed above, the
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presumption that the agency is asserting properly the deliberative process privilege may be overcome,
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by clear evidence to the contrary. Plaintiffs’ specific arguments regarding the assertion of the privilege
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are discussed in greater detail below.
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Specific Document/Document Group Requests
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The Court takes each document (or category of documents) in turn, using the numbering system
11 applied in the Obegi Declaration. ECF No. 42-2.
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Document 5.a - August 17, 2016 letter (attached as Exhibit B to the Obegi Declaration) from
NMFS to Reclamation agreeing that reinitiation of consultation was required on long-term
operations of the CVP and SWP under the terms of a prior BiOp.
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NMFS has agreed to add this item to the record.
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Document Group 5.b - Documents regarding adaptive management of Shasta Reservoir and the
Shasta RPA:
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Document 5.b.1 - August 2, 2016 letter (attached as Exhibit C to the Obegi Declaration)
from Reclamation to NMFS regarding use of adaptive management relating to Shasta
Reservoir operations and the Shasta RPA;
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Document 5.b.2 - August 17, 2016 concurrence letter (attached as Exhibit D to the Obegi
Declaration) from NMFS to Reclamation regarding use of adaptive management to
modify the Shasta Dam RPA; and
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Document 5.b.3 - Any subsequent Reclamation or NMFS agency records regarding the
revised draft Shasta RPA dating to prior to adoption of the WaterFix BiOp.
NMFS indicates that the record already includes item 5.b.1, and agrees to include item 5.b.2. As
23 to item 5.b.3, the record reflects that counsel for Federal Defendants exchanged emails with counsel for
24 Plaintiffs in an effort to clarify this request. See Declaration of Cathy Marcinkevage (“Marcinkevage
25 Decl.”), ECF No. 45-2, at ¶ 4.b.3 & Ex. 1. Those emails clarified that Plaintiffs believe the following
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documents fall within the description of 5.b.3:
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A January 25, 2017 document authored by Reclamation in response to NMFS’s draft
proposed RPA amendment;
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A March 22, 2017 document authored by Reclamation commenting on NMFS’s draft
proposed 2017 RPA amendment;
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A file dated May 2, 2017 entitled “ShastaRPAMeetingSlides.pdf”;
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A file dated March 24, 2017 entitled “ShastaWorkshop1 Notes_Responses.pdf”;
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An email message dated May 2, 2017 to which the above two documents were
attached; and
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A file dated May 2, 2017 entitled ShastaWorkshop2 Notes.pdf, transmitted to Plaintiffs
on June 22, 2017.
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NMFS agrees to add to the record all but the last document, reasoning that transmission of the
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13 last document post-dates the issuance of the WaterFix BiOP. Marcinkavage Decl. at ¶ 4.b.3. With
14 respect to the last document, Plaintiffs point out that, while the document was not transmitted to
15 Plaintiffs until after the issuance of the WaterFix BiOp, it was created before the BiOp issued and
16 memorializes a meeting that occurred prior to the completion of the WaterFix BiOp. ECF No. 48 at 8
17 n.2. NFMS does not explain and the Court can identify no authority that suggests the date of
18 transmission of a document to a third party is relevant to its inclusion in the administrative record.
19 Finding no other basis for distinguishing the last document from the others Federal Defendants have
20 agreed to disclose, the motion is GRANTED as to the last document.
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Document Group 5.c Absolute and comparative results of NMFS’s Winter-Run Life Cycle Model
for every scenario analyzed with the Model in the WaterFix BiOp.
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5.c.1. Absolute Model results from analysis of Scenario 1, Scenario 1A, Scenario 1B,
Scenario 2, Scenario 2A, and Scenario 2B; and
5.c.2. Comparative Model results from analysis of Scenario 1A, Scenario 1B, Scenario
2, and Scenario 2B.
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NMFS agrees to include in the record the comparative model results referenced in 5.c.2, but
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asserts that the “absolute model” results referenced in 5.c.1 do not exist. Marcinkavage Decl. at ¶ 4.c.
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Ms. Marcinkavage provides a detailed description of how the Winter-Run Chinook Life Cycle Model
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(“WRLCM”) operates. Id. In brief, WRLCM requires a “suite of input data,” which in the case of the
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analyses performed for the WaterFix BiOp, included raw data provided by the action agency that varied
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according to each operational scenario to be evaluated. Id. at ¶ 4.c.1.A. Those inputs are otherwise
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available (as raw data) in the AR. Id. Critically, WRLCM is open source software that uses input data,
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applies commands, and then produces specified figures or outputs. Id. For the WaterFix BiOp, NMFS
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“identified metrics and visualizations” it deemed useful in providing information on the relative effects
10 of the proposed action under the various modeled scenarios. Id. at ¶ 4.c.1.B. These relative comparisons
11 were considered “more robust than absolute predictions from the model,” so the WRLCM program was
12 set to produce specific comparative outputs. Id.
Because NMFS knew that interpretation of absolute results was an
inappropriate application of the model, the R script was not developed to
produce absolute predictions, and, in fact, could not produce such
predictions without re-writing [the program] commands that would then
need to be re-run. NMFS is not able to produce results that provide
absolute values for application of the transition functions of the life cycle
model since those results were not produced and would not provide a suite
of information appropriate for interpretation.
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Id.
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Nothing in Plaintiffs’ reply calls these factual statements into question. Plaintiffs point to a single
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line from page 798 of the BiOp, which states: “It is important to note that the [No Action Alternative
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(“NAA”)] and [Preferred Alternative (“PA”)] should be evaluated in a relative sense using the WRLCM,
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because relative comparisons are more robust than the absolute predictions from the WRLCM.” AR
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A000802 (emphasis added). Plaintiffs maintain that the use of the phrase absolute predictions in this
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sentence indicates that absolute predictions were produced. See Second Declaration of Douglas Obegi
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(“2d Obegi Decl.”) at ¶ 4.a. The Court does not agree. This is just as logically an explanation of why the
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WRLCM was not used to run absolute predictions. Moreover, that sentence is followed by an
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explanation that undermines further Plaintiffs’ position:
Moreover, it would be incorrect to equate outputs of the model as equating
to actual numbers of fish in the Sacramento River. This perspective is
adopted for several reasons: 1) the underlying hydrology of the NAA and
the PA are based on CalSim model outputs that are a combination of
historical hydrology and future expected hydrological conditions, but do
not represent actual historic or future hydrology; 2) the WRLCM model
and the models used to provide input to the LCM model that use the
CalSim results (HEC-RAS, DSM2, and ePTM) require assumptions that
would all need to be true; and 3) the WRLCM was not calibrated to
produce forecasts of actual abundances. As a result, the WRLCM should
be viewed as a tool that can provide guidance on the relative performance
of the two actions, and the percent difference (PA – NAA)/NAA * 100%
was computed for each of the 1000 model runs.
3
4
5
6
7
8
9
10 AR A000802.
More compellingly, Plaintiffs also point to the following paragraph on the next page of the
11
12 WaterFix BiOp:
[R]esults from the original run (scenario 1) were informative in deciding
what additional scenarios could provide further insight on different
outcomes between the two CWF alternatives. As an example, under the
original run, the abundance for both alternatives diminished greatly after
the succession of extreme drought years (1929 to 1937) but only the NAA
population was able to recover abundance levels over the remaining time
series. The PA population was not able to replace itself and therefore not
able to approach initial abundance levels throughout the remaining time
series. This necessitated an approach to evaluate different scenarios for the
alternatives to allow for thorough resolution of the model’s habitat and
survival relationships that may not have been realized under scenario 1 for
the PA Alternative.
13
14
15
16
17
18
19
AR A000803 (emphasis added). Plaintiffs argue “this indicates that the [WRLCM] presents results
20
showing the absolute abundance of winter run Chinook salmon over the time period for any model run.”
21
2d Obegi Decl. at ¶ 2. The Court agrees that this at least raises the following question: How can NMFS
22
state without using absolute figures that “abundance for both alternatives” under Scenario 13
23
24
Page 798 of the BiOp describes the various “Scenarios” modeled. AR A000802. Scenario 1, described as the “original
scenario run,” assumes an initial abundance of 10,000, standard hydrology, and 5% “NDD near-field mortality.” Id. The
Court presumes the acronym “NDD” stands for the proposed “north Delta diversion facility.” See AR A000010.
3
25
13
1
“diminished greatly after the succession of extreme drought years (1929 to 1937),” but conclude that
2
only the No Action Alternative population was able to recover abundance levels over the remaining time
3
series? Were, for example, Preferred Action runs for one time period compared to Preferred Action runs
4
encompassing additional or different years? The record is not clear on this point or on how NMFS could
5
analyze the recovery of abundance levels over time using comparative modeling. Accordingly, on or
6
before July 6, 2019, Federal Defendants are directed to file a supplemental declaration no longer than 4
7
pages in length clarifying how NMFS could reach the conclusions set forth in the immediately above-
8
quoted paragraph utilizing only comparative modeling. Plaintiffs will have seven days from the date of
9
NMFS’s filing to file a response of equal length.
10
•
Document Group 5.d Comment letters from plaintiff Natural Resources Defense Council et al.
regarding the BDCP, including:
11
Document 5.d.1 - 2009 scoping comments on the BDCP (Exhibit E),
12
Document 5.d.2 - 2014 comments on the draft EIS/EIR for BDCP (Exhibit F), and
13
Document 5.d.3 - 2015 comments on the revised draft EIS/EIR for WaterFix (Exhibit G)
14
Plaintiffs claim that these comment letters belong in the administrative record because they raise
15
issues regarding ESA compliance of the BDCP and WaterFix and were transmitted to NMFS. Obegi
16
Decl. ¶ 5.d.
17
NMFS refuses to add 5.d.1, a letter dated May 14, 2009 entitled “Scoping Comments on the Bay
18
Delta Conservation Plan” which refers to an exhibit, dated May 30, 2008, regarding Scoping comments
19
on the BDCP EIS/EIR,” or 5.d.2, a 250-page letter dated July 29, 2014 entitled “Comments on the Draft
20
Bay Delta Conservation Plan and DEIS/DEIR,” on the ground that these documents predate the start of
21
the Waterfix consultation. Marcinkevage Decl. ¶ 4(d). In addition, NMFS indicates that these documents
22
relate to the BDCP, which was prepared under ESA Section 10, and the associated EIS/EIR prepared
23
under NEPA and CEQA, documents and legal requirements which are “not at issue in [this] case.” Id.
24
Following this pattern, NMFS refuses to add Document 5.d.3, an October 30, 2015 comment letter on
25
14
1
the “California WaterFix/Bay Delta Conservation Plan Revised Draft Environmental Impact
2
Report/Supplemental Draft Environmental Impact Statement” prepared under NEPA, because that
3
document “is not at issue in the [present] case.” Id.
4
There is limited precedent on this subject, but what precedent there is suggests that a request for
5
supplementation of an administrative record cannot be based solely on an agency’s consideration of the
6
requested documents in connection with an earlier, related decision. Safari Club Int’l v. Jewell, No. CV-
7
16-00094-TUC-JGZ, 2016 WL 7785452, at *4 (D. Ariz., July 7, 2016) (“Plaintiffs have not cited to any
8
authority, and this Court could find none, permitting the supplementation of the administrative record
9
based solely on an agency’s consideration of evidence in connection with an earlier, related
10 rulemaking.”); see also San Luis & Delta-Mendota Water Auth. v. Jewell, No. 1:15-CV-01290-LJO11 GSA, 2016 WL 3543203, at *3 (E.D. Cal. June 23, 2016) (refusing to order supplementation of the
12 administrative record with documents contained within a prior administrative record on a related
13 decision for an earlier timeframe absent information indicating the documents were actually considered,
14 either directly or indirectly, by decisionmakers). Rather, the “touchstone” of the analysis “should be the
15 decision-makers’ actual consideration at the time of the agency action in question.” Safari Club, 2016
16 WL 7785452, at *4; see also Wildearth Guardians v. U.S. Forest Serv., 713 F. Supp. 2d 1243, 1256 (D.
17 Colo. 2010) (“The proper touchstone remains the decision makers’ actual consideration, and a party
18 moving to complete the record must show with clear evidence the context in which materials were
19 considered by decision makers in the relevant decision making process.”).
20
As mentioned, “[t]he ‘whole’ administrative record . . . consists of all documents and materials
21 directly or indirectly considered by agency decision-makers and includes evidence contrary to the
22 agency’s position.” Thompson, 885 F.3d at 555 (emphasis added). A “plaintiff must identify reasonable,
23 non-speculative grounds for its belief that the documents were considered by the decision makers
24 involved in the determination.” Pinnacle Armor, 923 F. Supp. 2d at 1239-40 (internal quotation
25 omitted). The district court in Wildearth Guardians provided a helpful example:
15
1
2
3
[I]f a party moves to include a study that was cited in the
recommendations of subordinates, the party need not show that the
decision maker read the study, but the party must show that the study was
so heavily relied on in the recommendations that the decision maker
constructively considered it.
4
Wildearth Guardians, 713 F. Supp. 2d at 1256; see also Conservation Cong. v. United States Forest
5
Serv., No. 2:13-CV-01922 TLN CMK, 2016 WL 10637090, at *3-4 (E.D. Cal. Oct. 12, 2016) (finding
6
insufficient arguments based on inferences and common sense that agency considered a document;
7
“concrete evidence” required to rebut presumption of regularity). Another helpful example is found in
8
The Cape Hatteras Access Pres. All. v. U.S. Dep’t of Interior, which concerned FWS’s designation of
9
critical habitat for the piping plover. 667 F. Supp. 2d 111, 112 (D.D.C. 2009). The plaintiffs in that case
10 wanted the agency to supplement the administrative record with an earlier BiOp covering the impacts to
11 plover of a related federal action, namely the implementation by the National Park Service (“NPS”) of
12 an interim protected species management strategy for the Cape Hatteras National Seashore. Id. at 113. It
13 was undisputed that the earlier BiOp was substantially relied upon by NPS when NPS developed the
14 Cape Hatteras National Seashore’s Interim Protected Species Management Strategy (“Interim
15 Strategy”). Id. It was also undisputed that the Interim Strategy itself was before FWS when it designated
16 the critical habitat for the plover. Id. However, FWS maintained it did not have the earlier BiOp before it
17 when it designated the critical habitats. Id. Despite the facts that: (1) the BiOp was referenced in many
18 documents that were in the administrative record for the habitat designation decision; (2) the BiOp
19 acknowledged the critical habitat designation process and the impact designation would have on the
20 Interim Strategy; and (3) the fact that some comments received on the critical habitat designation
21 mentioned the BiOp, the court found that none of these references were strong enough to overcome the
22 presumption that FWS designated properly the administrative record. Id. at 114.
23
Here, while the WaterFix proposal is certainly an outgrowth of the larger process of developing
24 the BDCP, this fact alone does not mean that decisionmakers considered in connection with the
25 development of the WaterFix BiOp every document that might belong within a hypothetical
16
1
administrative record for the BDCP process. As Plaintiffs point out, a number of BDCP-related
2
documents already are in the WaterFix AR, including the 2013 draft BDCP itself (the draft ESA Section
3
10 conservation plan), AR B000483, and the BDCP EIS/EIR, AR C 14025. Generically, it makes sense
4
that NMFS would have considered these central, earlier decision documents pertaining to BDCP, but
5
would not necessarily have considered comment letters addressing those decision documents. Plaintiffs
6
suggestion that the comment letters in question all should be included in the present AR because NMFS
7
was required under NEPA to review and respond to these documents in the context of developing the
8
BDCP EIS/EIR and because “these letters were directly related to the substance of the present
9
controversy,” Obegi Decl. at ¶ 5.d, is insufficient to demonstrate as a general matter direct or indirect
10 consideration of the comment letters. Specifically with respect to Documents 5.d.1 and 5.d.2, the Court’s
11 review of those documents reveals that they cover a wide range of topics spanning the scope of the
12 BDCP. While they do address and critique the components of BDCP that ended up becoming the
13 WaterFix proposal, those critiques are not the dominant subjects of Documents 5.d.1. and 5.d.2.
14 Accordingly, the Court cannot find that Plaintiffs have presented “concrete evidence,” Pinnacle Armor,
15 923 F. Supp. 2d at 1232, to support a finding that NMFS directly or indirectly considered these comment
16 letters in connection with preparation of the WaterFix BiOp.
17
The situation is different for Document 5.d.3, a comment letter submitted in response to the
18 release in July 2015 of a re-circulated Draft EIS/R for WaterFix itself. Notice of Availability of the Bay
19 Delta Conservation Plan/California WaterFix Partially Recirculated Draft Environmental Impact
20 Report/Supplemental Draft Environmental Impact Statement and Announcement of Public Meetings, 80
21 Fed. Reg. 39,797, 39,799 (July 10, 2015). Although this comment letter addressed a draft document
22 produced in connection with Reclamation and DWR’s efforts to comply with NEPA and CEQA (as
23 opposed to the ESA) regarding the WaterFix proposal, the comment letter directly and in an
24 unambiguous manner points out Plaintiffs’ specific concerns about WaterFix, including Plaintiffs’
25 concerns regarding the impact of WaterFix on several ESA-listed species under NMFS’s jurisdiction.
17
1
The Federal Register Notice inviting these comments indicated such comments were to be “reviewed
2
and considered by all of the cooperating agencies,” including NMFS. See 80 Fed. Reg. at 39,799. It is
3
therefore difficult to understand how this particular comment letter could have escaped the attention of
4
NMFS in connection with its preparation of the WaterFix BiOp at issue in this case. Although the final
5
WaterFix BiOp did not issue until June 16, 2017, AR A000001, the consultation process that led to the
6
final WaterFix BiOp formally began with review of a draft BA produced by Reclamation and DWR in
7
October 2015. AR A000012. Document 5.d.3 is dated October 30, 2015. The Court therefore finds it
8
beyond credulity that NMFS did not consider these comments in preparing the BiOp at issue in this case.
9
The comments were before NMFS at the time the BA was produced. Therefore, even though NMFS
10 denies having considered it in connection with preparation of the WaterFix BiOp, the Court considers
11 this comment letter, authored by all or substantially all of the most prominent environmental/fisheries
12 protection organizations involved in the BDCP process, to have been constructively considered by
13 NMFS when it prepared the WaterFix BiOp.
Accordingly, as to Documents 5.d.1 and 5.d.2, the motion to supplement is DENIED. As to
14
4
15 Document 5.d.3, the motion to supplement is GRANTED.
•
16
17
Document Group 5.e - California Department of Fish and Wildlife 2012 “red flag” comments
on the BDCP (attached as Exhibit H to the Obegi Declaration), which discuss potential impacts
to salmon under NMFS’s ESA § 7 jurisdiction.
18
19
4
20
21
22
23
24
25
Defendants point out, correctly, that Plaintiffs argued previously to this Court in connection with an
Order to Show Cause regarding transfer to this District that judicial review of the WaterFix BiOp will
have “little bearing” on issues connected with long-term operations of the CVP/SWP. ECF No. 45
(citing ECF No. 19 at 5). To the extent NMFS is arguing Plaintiffs are judicially estopped from asserting
a contrary position at this stage of the litigation, the agency is incorrect. The Ninth Circuit has
“restricted the application of judicial estoppel to cases where the court relied on, or accepted, the party’s
previous inconsistent position.” Hamilton v. State Farm Fire & Cas. Co., 270 F.3d 778, 783 (9th Cir.
2001); see also Nat. Res. Def. Council v. Norton, 236 F. Supp. 3d 1198, 1220 (E.D. Cal. 2017). Here,
while it is true that Plaintiffs’ present position regarding the relatedness of WaterFix to earlier regulatory
activity runs counter to those prior statements, Plaintiffs are not barred by judicial estoppel from taking
such inconsistent positions because the Court did not accept their earlier position regarding the
relatedness of this case to other cases before the undersigned.
18
NMFS has agreed to add this to the AR, along with an email and attachment, dated April 3, 2012
1
2
and April 2, 2012 respectively, which, according to NMFS, contains the final comprehensive “red flag”
3
issues from the Department of Fish and Wildlife. Marcinkevage Decl. ¶ 4(e).
4
•
5
Document Group 5.f - Technical assistance, email communications, and other records
regarding NMFS’s review of whether the draft BDCP would comply with the Endangered
Species Act in 2014 and early 2015, prior to the announcement of the shift from the Bay Delta
Conservation Plan to WaterFix.
6
NMFS refuses to add documents meeting this description to the AR on the ground that, like the
7
documents in Group 5.d, they pertain to the BDCP ESA Section 10 process, rather than the WaterFix
8
ESA Section 7 process. Marcinkevage Decl. ¶ 4(f). It is undisputed that the AR includes documents
9
related to the technical assistance NMFS provided to Reclamation and DWR for the WaterFix project
10
beginning in February 2015 (i.e., once WaterFix had been spun off into its own, semi-independent
11
project). Id. The documents targeted in Group 5.f. predate this period. Plaintiffs do not identify any
12
specific technical assistance document, email, or other record produced during the early-stage BDCP
13
process that would constitute “concrete evidence” to support a finding that NMFS directly or indirectly
14
considered any such documents in connection with preparation of the WaterFix BiOp. Unlike with the
15
2015 comment letter (Document 5.d.3), Plaintiffs have not presented the Court with any specific
16
documents to review on which a finding of constructive consideration could be based. As a result, the
17
motion is DENIED as to Document Group 5.f.
18
•
19
Document Group 5.g - Documents regarding NMFS’s approvals in 2014 and 2015 of CVP and
SWP operations in the Delta that were not consistent with the Shasta RPA.
20
As discussed above in relation to Document Group 5.b, NMFS has agreed to add several
21 documents (and the Court has ordered an additional document added) to the record pertaining to
22 modifications made to the Shasta RPA in 2016. Plaintiffs argue that the record should include additional
23 documents pertaining earlier approvals by NMFS in 2014 and 2015 of Shasta RPA modifications. So far
24 as the Court can discern, Plaintiffs do not point to any specific document as part of this request. Instead,
25 Plaintiffs argue generally that documents related to the 2014 and 2015 Shasta RPA modifications should
19
1
be part of the record because NMFS’s approval of those modifications is referenced elsewhere in the
2
record. Obegi Decl. at ¶5(g). As an example, Plaintiffs point out that the July 2016 draft BA for
3
WaterFix, which is part of the AR, reviews the history of drought management actions in 2014 and 2015
4
and then outlines “proposed future drought procedures” designed to better prepare for future droughts
5
AR C061202 at 3-220 to 3-222. Similar references to the 2014 and 2015 modifications of the RPA can
6
be found in the October 2015 draft WaterFix biological assessment. AR C059819 at pages 2-4 to 2-6, 4-
7
17 to 4-19.
NMFS refuses to add any additional documents into the administrative record pertaining to the
8
9
2014 and 2015 Shasta RPA modifications, claiming NMFS did not consult any such documents in
10 drafting the WaterFix Biological Opinion. [cite] The Court finds that Plaintiffs have not met their burden
11 to establish otherwise. Marcinkevage Decl. ¶ 4(g). The mere fact that the 2014 and 2015 approvals are
12 discussed in documents that are within the WaterFix BiOp AR is insufficient. See Cape Hatteras, 667 F.
13 Supp. 2d at 114. While the history of RPA modifications is discussed in the draft BAs for WaterFix,
14 nothing in those documents indicates that NMFS or Reclamation plan to utilize any of the mechanisms
15 and/or procedures employed in 2014 or 2015 as part of any future drought operations under WaterFix.
16 The motion is DENIED as to Document Group 5.g.
•
Document Group 5.h - Records of technical assistance from NFMS to Reclamation and the
DWR from January to October 2015, including review of a draft BA produced in October 2015.
(Responsive records would include meeting agendas, handouts, notes, and communications
regarding the weekly consultation meetings referenced in the draft biological assessment.)
•
20
Document Group 5.i - Documents regarding technical assistance from NMFS to Reclamation
and DWR from January to July 2016 regarding the revised working draft BA for WaterFix.
21
It is undisputed that NMFS provided technical assistance to Reclamation and DWR regarding the
17
18
19
22 development of the WaterFix BA from January to October 2015 and again between January and the end
23 of July 2016. AR A000012. As NMFS points out, the AR includes documents reflecting
24 communications related to this technical assistance. See Marcinkevage Decl. ¶¶ 4.h & 4.i. Plaintiffs
25 argue, however, that “the record does not appear to contain all of the technical assistance referenced in
20
1
the biological opinion.” Obegi Decl. ¶ 5.h & 5.i (emphasis added). While Plaintiffs point out that the
2
number of documents regarding technical assistance is not large, they fail to point to any particular
3
document or category of documents they believe were erroneously omitted. This is insufficient to justify
4
completion of the record. Therefore, the motion is DENIED as to Document Groups 5.h and 5.i.
5
6
•
Document Group 7.a - Any and all emails sent by Dr. Steven Lindley.
This is the first of three categories of communications Plaintiffs assert were erroneously
7
excluded from the AR. Dr. Lindley is the Director of NMFS’s Southwest Fisheries Science Center in the
8
Fisheries and Ecology Division and is the lead scientist responsible for the development and use of the
9
Winter-Run Life Cycle Model (Model). As Plaintiffs point out, several emails to Dr. Lindley regarding
10 the Model were included in the Record (e.g., B045571), but no emails from Dr. Lindley were included.
11 Plaintiffs contend that “Dr. Lindley’s email correspondence contains information about the assumptions
12 and results of the Model regarding the effects of California WaterFix on winter-run Chinook salmon.”
13 Obegi Decl. ¶ 7.a.
14
NMFS offers the following lengthy explanation of the AR’s treatment of communications to and
15 from Dr. Lindley, in which NMFS explains: (1) the reason(s) why Dr. Lindley’s role in the preparation
16 of modeling for WaterFix was less central than Plaintiffs suggest; (2) they manner by which NMFS
17 collected materials in the record so as to limit duplication of emails; (3) and the reason(s) why many
18 communications to and from NMFS employees and its contractors were excluded from the AR as
19 deliberative.
20
21
22
23
24
a. A thread of emails at B_045571 includes an email from Dr. Lindley
which provides an illustrative example of Dr. Lindley’s limited
involvement in model[]ing that was used in the WaterFix Biological
Opinion. The earliest email in this thread notes a presentation given by Dr.
Lindley regarding the model and results. A subsequent email asks Dr.
Lindley a question regarding the results. Instead of responding to the
email, Dr. Lindley forwarded the question to [Cathy Marcinkevage],
stating, “Cathy Marcinkevage (NMFS WCRO) would have the details
about the PA scenario versions analyzed--I think we are currently looking
at two different ones.”
25
21
b. The NMFS Southwest Fisheries Science Center’s (SWFSC) Central
Valley Chinook Life Cycle Model was the effort of a large (20+) team of
staff, including NMFSSWFSC full-time employees (FTEs), University of
California, Santa Cruz (UCSC) staff contracted to the SWFSC, and
external staff contracted to the SWFSC. As head of the SWFSC’s
Fisheries Ecology Division, Steve Lindley is the primary investigator.
Therefore, Dr. Lindley is often the public “face” of the model, providing
presentations at workshops, conferences, and policy-level meetings (such
as Collaborative Science and Adaptive Management Program meetings
and California WaterFix principals meetings). However, the day-to-day
management of model development was conducted by Eric Danner
(NMFS FTE), who oversaw technical efforts of individual components
required by the model, staffing by SWFSC and UCSC staff, and
interaction with the NMFS CCVO, and Anne Criss (UCSC), who oversaw
contracting, funding, and administration. The model team includes several
outside contractors, including Noble Hendrix (QEDA Consulting), the
lead developer of the actual life-cycle module of the model, and Russell
Perry (U.S. Geological Survey), who contributed to development and
calibration of certain modules.
1
2
3
4
5
6
7
8
9
10
c. NMFS SWFSC staff and contractors were asked to provide materials for
the administrative record. It was determined that documents provided by
Lindley, Criss, and Danner captured the full suite of information regarding
the model since those staff interacted with both 1) the contractors (e.g.,
Hendrix, Perry, and UCSC contractors) and 2) CCVO staff. In order to
avoid duplication, Lindley, Criss, and Danner were further instructed to
exclude correspondence that included current or former CCVO staff (e.g.,
Marcinkevage, Strange, Rea, Redler, Swank) that had already submitted
their responsive documents to the record, and whose submissions would
have therefore already included any responsive communication with the
SWFSC regarding the model, its development, and its results.
11
12
13
14
15
16
d. For purposes of the administrative record, NMFS considered these
contractors to NMFS to be federal employees. Therefore, correspondence
between NMFS and NMFS contractors was considered internal and
deliberative. Any items that were limited in distribution to NMFS, NMFS
contractors, or other Federal agencies that were not project action agencies
were identified as internal and deliberative.
17
18
19
20
Marcinkevage Decl. ¶ 5. Plaintiffs make no effort to refute these specific assertions (and the Court can
21
identify no basis for undermining them) about Dr. Lindley’s role, the agency’s search for email
22
correspondence, or its assertion(s) of the deliberative process privilege as to any materials pertaining to
23
internal correspondence about modeling. The motion is DENIED as to Document Group 7.a.
24
25
•
Document Group 7.b - Any and all intra- and inter-agency communications regarding the
Defendant’s review of the 2013 Draft Bay Delta Conservation Plan.
22
1
Plaintiffs point out that while the AR includes some documents pertaining to the BDCP, it only
2
includes four documents from before 2012 and excludes all inter-and intra-agency communications from
3
2014 and 2015 regarding whether the draft BDCP complied with the requirements of the ESA. Plaintiffs
4
reiterate that, although the BDCP was proposed as a habitat conservation plan under ESA § 10, NMFS
5
ultimately must analyze any habitat conservation plan under the standards set forth in ESA § 7 of the
6
Endangered Species Act, which is the same standard used to evaluate the WaterFix biological opinion.
7
See Envtl. Prot. Info. Ctr, 67 F. Supp. 2d 1117-18.
8
First, Plaintiffs offer no explanation why any additional documents from before 2012 should be
9
included in the AR. As to why the AR includes some but not all documents pertaining to the BDCP from
10
2014 and 2015, once again, NMFS’s Cathy Marcinkevage offers a lengthy explanation in her
11
declaration. She recounts the history of NMFS’s interaction with DWR and Reclamation as the BDCP
12
developed from a Public Draft in November 2013 to anticipated Section 7 consultation over the BDCP
13
and through the period in late 2014 and early 2015 when the decision was made to transition from an
14
ESA Section 10 permit for the BDCP to an ESA Section 7 consultation for WaterFix. Marcinkevage
15
Decl. ¶¶ 6.a- 6.c. Marcinkevage pointed to a number of documents in the AR that reflect this pivot in
16
approach. See id. at ¶ 6.d. She further explains that the AR includes pre-2015 documents that capture
17
those major agreements or efforts that were part of the ESA Section 10 BDCP habitat conservation plan
18
development process that were carried into the ESA Section 7 consultation on the effects of the
19
California WaterFix project.” Id. at ¶ 6.e. She provides further detail on the types of key documents
20
from BDCP selected for inclusion:
21
22
23
24
25
These documents include milestone types of agreements (e.g., negotiated
agreements on south Delta operations, otherwise known as “Scenario 6
operations”) between various stakeholders, or notable agency positions on
project components (e.g., red flag comments and intake location siting
decisions). These documents track the evolution of major components of
the WaterFix proposed action and help explain why the final WaterFix
proposed action contains the components that it does. In addition, the
record includes those pre-2015 documents that track the evolution of the
23
analyses of the effects of the components that were eventually included in
the WaterFix proposed action, including revisions to the Delta Passage
Model (“DPM”), bench inundation analysis methodology, analysis of
probability of reverse flows, revisions and updates to the SALMOD
model, updates to analysis of sturgeon presence and growth, flows
identified as sufficient to support salmonids and sturgeon to allow better
evaluation of effects of the proposed project, technical evaluations
required for new intake facilities, guidance on integrated effects analysis
for the biological assessment, analyses and interpretation of temperature
modeling results, and development of alternative operational scenarios.
1
2
3
4
5
6
Id. Plaintiffs offer no specific response to these explanations and generally fail to provide concrete
7
evidence to justify ordering NMFS to supplement its record in the manner requested. Accordingly, the
8
motion is DENIED as to Document Group 7.b.
9
•
10
Document Group 7.c - Intra- and inter-agency communications regarding technical assistance
for draft WaterFix BAs in 2015.
11
Plaintiffs indicate that the AR appears to contain only “three substantive emails and one
12 supporting document regarding the Defendant’s technical assistance for the draft [BAs] in 2015, despite
13 the fact that NMFS participated in weekly section 7 consultation meetings during this time period.”
14 Obegi Decl. ¶ 7.c. As Ms. Marcinkevage explained, the AR already includes numerous documents
15 pertaining to technical assistance provided by NMFS during this time period, including documents
16 pertaining to the weekly consultation meetings. See Marcinkevage Decl. ¶¶ 4.h & 4.i. Plaintiffs again
17 fail to point to any concrete information that suggests NMFS improperly excluded any information
18 pertaining to technical assistance on the Waterfix BAs during this timeframe. Moreover, other than the
19 generic legal arguments otherwise rejected above, Plaintiffs have not provided any information that
20 indicates, let alone demonstrates, that NMFS is asserting the deliberative process privilege in an
21 inappropriate way in connection with technical assistance documents. Therefore, the motion is
22 DENIED as to Document Group 7.c.
23
V. CONCLUSION AND ORDER
24
For the reasons set forth above, Plaintiffs’ motion to complete/supplement the record is
25 GRANTED IN PART AND DENIED IN PART AND HELD IN ABEYANCE IN PART. NMFS shall
24
1
file a supplemental declaration no more than four pages in length clarifying its position with respect to
2
absolute model runs on or before July 6, 2019. Thereafter, Plaintiffs shall have seven days to file a
3
response of no greater length. Upon the expiration of the response deadline, the Court will rule
4
promptly. Meanwhile, NMFS should make efforts to add the agreed upon and ordered documents to the
5
AR, as NMFS shall lodge either a revised or supplemental AR on or before July 20, 2017.
6
IT IS SO ORDERED.
7
Dated:
June 22, 2018
/s/ Lawrence J. O’Neill _____
UNITED STATES CHIEF DISTRICT JUDGE
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