Lewis et al v. United States of America et al
Filing
30
RULING and ORDER 26 Motion for Partial Dismissal of First Amended Complaint is granting in part and denying in part. Particularly, with regard to Count I, the motion to dismiss the regulatory taking claim under Rule 12(b)(1) is GRANTED, and thi s claim is dismissed without prejudice; the motion to dismiss the procedural due process claims under Rule 12(b)(6) is DENIED as to the silviculture rights and GRANTED as to the right to access drinking water. The motion is DENIED AS MOOT with regard to Count III (equitable estoppel) and Count IV (unreasonable delay claims adverse to the EPA). The motion with regard to Count VI is DENIED. Signed by Judge John W. deGravelles on 09/25/2019. (ELW) Modified on 9/27/2019 to edit text (ELW).
UNITED STATES DISTRICT COURT
MIDDLE DISTRICT OF LOUISIANA
GARRY LEWIS, BRENDA GAYLE LEWIS,
G. LEWIS LOUISIANA, LLC, ROBERT
BEARD, CAROLYN MILTON, AND TOWN
OF LIVINGSTON, LA
CIIVIL ACTION
VERSUS
NO. 17-1644-JWD-RLB
UNITED STATES OF AMERICA AND
UNITED STATES ARMY CORPS OF
ENGINEERS
RULING AND ORDER
This matter comes before the Court on the Motion to Partially Dismiss First Amended
Complaint, (Doc. 26), by Defendants, United States of America and United States Army Corps of
Engineers (“Corps”) (collectively “Defendants” or “United States”), under Rule 12(b)(1) and Rule
12(b)(6). Plaintiffs, Garry Lewis, Brenda Gayle Lewis, G. Lewis Louisiana, LLC, Robert Beard,
Carolyn Milton, and Town of Livingston, LA (collectively “Plaintiffs” or “Lewis”),1 opposed the
motion. (Doc. 28). Defendants replied. (Doc. 29). Oral argument is not necessary. For the
following reasons, the motion is granted in part and denied in part.
I.
PROCEDURAL BACKGROUND AND REGULATORY FRAMEWORK
Plaintiffs filed their initial Complaint on November 9, 2017. (Doc. 1). Plaintiffs own certain
real property in Livingston Parish and claim that they have been damaged by Defendants’ conduct
with respect to 19 acres known as “Milton Lane”. (Doc. 1, p. 1). Plaintiffs claim that the Corps
declared regulatory jurisdiction over some of the land pursuant to the Clean Water Act and
obstructed connection to municipal water supplies. (Id.). Plaintiffs further allege that the Corps
1
The Court notes that the pleadings and memoranda frequently do not distinguish among the various Plaintiffs or to
whom “Plaintiffs” or “Plaintiff” is in reference. The same holds true with references to “Defendants” and
“Defendant”.
1
“regulates Plaintiffs’ freedom to use and enjoy said lands, such as restricting water supply utilities,
normal timber harvesting, and development for needs of people of Livingston Parish”. Plaintiffs
further claim that the “federal regulatory agencies involved” obstructed Plaintiffs’ appeal rights
regarding the Corps’ actions, thereby allegedly depriving Plaintiffs of the due process of law.
(Doc. 1, p. 2).
Defendants responded to Plaintiffs’ original Complaint with a motion for partial dismissal
on February 5, 2018. (Doc. 13). Defendants challenged some of Plaintiffs’ claims under Rule
12(b)(6) for failure to state a claim upon which relief may be granted. This Court granted the
motion in part and denied the motion in part. The Court dismissed Counts II (the alleged bias of
Defendants) and III (claim of estoppel) of the Complaint and dismissed Counts IV (unreasonable
delay) and V (an alleged “invalid” cease-and-desist order) as to the EPA. Plaintiffs were ordered
to amend their Complaint consistent with the Court’s ruling. (Doc. 22).
Plaintiffs amended their Complaint on September 6, 2018.2
(Doc. 23).
Defendants
responded with the instant motion for partial dismissal. (Doc. 26).
In ruling upon Defendants’ first motion for partial dismissal, the Court provided a
“Regulatory Framework” to lend clarity to Plaintiffs’ claims and the nature of this case. (Doc. 22,
pp. 1-3). The Court reproduces same herein in addressing Defendants’ second motion for partial
dismissal.
With certain exceptions, the Clean Water Act (“CWA”) makes unlawful the “discharge of
any pollutant by any person.” See 33 U.S.C. § 1311(a). “Discharge of a pollutant” includes “any
addition of any pollutant to navigable waters from any source point,” and “pollutants” include
Plaintiffs’ amendment to the Complaint doubles the factual and legal allegations from that contained in the original
Complaint. The Court summarizes and addresses those allegations as is relevant and germane to Defendants’ motion
presently before the Court.
2
2
“dredged spoil, … rock, sand, [and] cellar dirt[.]” 33 U.S.C. §§ 1362(6), 1362(12)(A). “Navigable
waters means the waters of the United States[.]” 33 U.S.C. § 1362(7); see also Rapanos v. United
States, 547 U.S. 715, 730-31 (2006) (CWA’s definition of “navigable waters” is “broader than the
traditional understanding of that term,” but the word “navigable” is not “devoid of significance”).
The CWA and its associated regulations authorize the Corps to issue permits for the
discharge of fill material into the waters of the United States. See 33 U.S.C. § 1344(a); Rapanos,
547 U.S. at 723 (“Section 1344 authorizes the Secretary of the Army, acting through the Corps, to
issue permits[.]” (internal quotation marks omitted)). However, the CWA also provides that the
discharge of fill material from “normal farming, silviculture, and ranching activities” is generally
“not prohibited by or otherwise subject to regulation” under Section 1344.
33 U.S.C. §
1344(f)(1)(A).
Federal regulations authorize the Corps’ district engineers to issue “approved jurisdictional
determinations” stating whether waters of the United States are present on a particular parcel. 33
C.F.R. §§ 325.9; 331.2 (defining approved jurisdictional determination). Federal regulations also
authorize the issuance of “preliminary” jurisdictional determinations, which constitute “written
indications that there may be waters of the United States on a parcel[.]” 33 C.F.R. § 331.2
(defining preliminary jurisdictional determination). Approved jurisdictional determinations are
“clearly designated” actions from which an administrative appeal may be taken. 33 C.F.R. §§
331.2; 331.5(a)(1). However, preliminary jurisdictional determinations are characterized as
“advisory in nature” and not appealable. 33 C.F.R. §§ 331.2; 331.5(b)(9).
When the Corps detects unauthorized activity requiring a permit, it is authorized to take
“appropriate steps to notify the responsible parties.” 33 C.F.R. § 326.3(c). If the violation involves
an incomplete “project,” the notification should be in the form of a cease-and-desist order; a cease-
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and-desist order should not be “necessary” for a violation involving a “completed project,” but the
district engineer should still “notify the responsible parties of the violation.” 33 C.F.R. §
326.3(c)(1), (c)(2). The Corps has several options for addressing unauthorized activity, including
ordering initial corrective measures, accepting an after-the-fact permit application, or
recommending civil or criminal litigation to obtain penalties or require compliance. 33 C.F.R. §§
326.3(d), (e), 326.5(a).
II.
FACTUAL BACKGROUND
Plaintiffs set forth a detailed “summary of facts” in their First Amended Complaint. (Doc.
23, pp. 5-23). The following is a sketch of Plaintiffs’ enhanced factual allegations.
On November 4, 2014, “Lewis” requested from the Corps a jurisdictional determination
concerning the property at issue in this matter, Milton Lane. (Doc. 23, p. 5). The intention behind
the request was to prepare to begin construction of a water line. (Doc. 23, p. 6).
Plaintiffs allege that the Corps did not “promptly” respond to the request in accordance with
their own published guidelines. (Id.).
Plaintiffs specifically allege that Defendants’ response
“should have been due on January 2, 2015”. (Doc. 23, p. 7).
Defendants allegedly made a visit to the “site”; however, Plaintiffs aver that Defendants
focused on parts of land outside of the area at issue. Because Defendants allegedly made
references to improper logging operations, Plaintiffs claim that they asked the Corps to “do an
additional [jurisdictional determination]” on the additional land to attempt to eliminate
Defendants’ voiced concerns. (Id.).
On October 5, 2015, “Plaintiffs” met with “multiple top level representatives of
Defendants,” who agreed to give the request for a jurisdictional determination “top priority”. (Doc.
23, p. 8). On October 14, 2015, the Corps issued a preliminary jurisdictional determination stating
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that the property “may be” subject to the Corps’ jurisdiction. On October 26, 2015, “Defendants”
accepted a permit application concerning activities that Plaintiffs wished to conduct on the
property, “including [constructing] a water tower and water lines to serve both existing and future
uses”. (Id.).
On November 6, 2015, the Corps requested EPA concurrence that a “logging operation” on
the property did not qualify for the CWA’s silviculture exemption. The Corps’ memorandum
noted that a proposed project at the site included a “water tower and utility line project that will
provide water to houses to the north”. (Id.; Doc. 1-19).
On November 25, 2015, the EPA responded to the Corps’ November 6th request, agreeing
that the operation did not fall within the exemption. (Doc. 1-20). After receiving this letter, the
Corps issued a “cease and desist” letter dated December 4, 2015. (Doc. 1-14). The “cease and
desist” letter states that the Corps “has reason to believe, and alleges, that you [Garry Lewis] are
responsible for the recent deposition of fill material into a wetland … resulting from the excavation
and side casting of material from a waterway locally known as Switch Cane Bayou.” (Id., p. 1).
The “cease and desist” letter goes on to state that Section 404 of the CWA prohibits the discharge
of fill materials into a waterway unless authorized by a permit. The letter then orders Plaintiffs to
cease and desist from such activity until a permit is obtained. (Id.). Plaintiffs allege that the “cease
and desist” letter is referencing silviculture activities that Plaintiffs allege are not prohibited by the
CWA. (Doc. 23, p. 9).
Plaintiffs allege that instead of “processing the … request”, (which is referring to the permit
application to build the water tower and water lines), the Corps issued a cease and desist order
“based on logging … technicalities”, thereby denying Plaintiffs’ rights to construct a water tower
and utility line to provide access to water. (Doc. 23, p. 9). Plaintiffs allege in the First Amending
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Complaint that the EPA’s response letter on the silviculture exemption and the Corps’ “cease and
desist letter” referred to different tracts of land than the permit application “under review” and for
which the judicial determination and permits were requested. (Doc. 23, pp. 9-10). Plaintiffs
identify various items of correspondence that allegedly mis-construe the significance of the EPA
letter and aver that this “Honorable Court (conceded to by EPA counsel) has ruled the EPA letter
has no legal effect, and thus dismissed EPA from this action …. Plaintiff requests the Court on its
own motion to set aside this [cease and desist] based upon the pleadings and exhibits”. (Doc. 23,
pp. 10-11).
Plaintiffs allege that they were denied a proper hearing regarding the “logging activities”.
(Doc. 23, pp. 12-13). Plaintiffs claim that they were denied a proper mapping of the wetlands;
instead, “Defendant” “merely said 38% of the tract was wetlands”. Plaintiffs further aver that
“Defendant” violated due process in refusing to process a permit to allow a dry tract to be used as
emergency flood housing. (Doc. 23, p. 14).
In September of 2016, Plaintiffs requested an appealable jurisdictional determination which
was not answered. Plaintiffs plead the “equitable principal of ‘action delayed is action denied’”.
Plaintiffs aver, “[t]heir finding of jurisdiction is final, occurred without so establishing same by
judicially required tests, and equitable estoppel should prevent them from seeking remand for them
to do it now and waste more time”. (Doc. 23, p. 16).
Plaintiffs aver with particularity that Defendant “treated differently” the lot 11A waste
management company TSWS LLC d/b/a Pot-O-Gold Rentals LLC (“lot 11A users” or “Pot-OGold”). For example, Plaintiffs claim that lot 11A users were allowed to conduct waste operations
on wetlands; the CWA was applied differently to lot 11A users; lot 11A users were allowed to
6
pollute, never received cease-and-desist letters, and continued to pollute Plaintiffs’ drinking water.
(Doc. 23, pp. 17-18).
Plaintiffs aver that the Corps “has asserted its offensive conduct was actually a determination
of silviculture non-compliance by EPA contained in an EPA letter dated November 25, 2015 or
facilitated by that EPA as a determination”. Plaintiffs claim that the “court has ruled there was no
such determination”. (Doc. 23, p. 2 (citing Doc. 22, pp. 19-20)). The present dispute arises
“because Corp[s] has declared regulatory jurisdiction over Satsuma lands under the Clean Water
Act”. (Doc. 23, p. 2).
Plaintiffs allege that “Defendants are unlawfully, unconstitutionally, inequitably[:] (1)
obstructing needed construction of a municipal water project to replace contaminated well water[;]
(2) obstructing Timber farming/silviculture on the lands[;] (3) obstructing the land[’]s use for
housing and development[;] and (4) … since May 2014, in conscious disregard of Plaintiffs[’]
collective damages enabled an adjacent Waste management facility to operate and pollute and fill
conceded wetlands by intentionally enforcing the CWA unequally[.]” (Id.). Further, Plaintiffs
contend that Defendants “intentionally delayed, damaged Plaintiffs and even obstructed appeal
rights”. (Id.).
Plaintiffs, Town of Livingston, Robert Beard, and Carolyn Milton, have rights in Milton
Lane and “desir[e] to use these property rights to serve this area with pure water to replace
contaminated water”.
(Doc. 23, p. 3).
Plaintiffs request the Court’s[:] “(1) declaratory
determination that Federal jurisdiction is absent under the CWA and judicial interpretation thereof
requiring regulated wetlands be at the same time ‘adjacent’ and ‘significantly connected’ to
regulated Federal waters[;] … (2) declaratory determination that a … percentage estimate of
wetlands identification of the whole lands is an unlawful failure to delineate boundaries of wetland
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thereby restricting use of ‘non-wetlands’[;] (3) a staying of all actions of Defendant[’]s unlawful,
and commanding timely actions where lawful, and (4) setting aside an unlawful or unconstitutional
Cease and Desist order[;] (5) [m]onetary relief for damages caused by unlawful conduct where
appropriate, or retain jurisdiction thereover until ripe under the Federal Tort Claims Act”. (Id.).
III.
STANDARDS OF REVIEW
A.
Rule 12(b)(1) Standard
Federal courts are courts of limited jurisdiction; without jurisdiction conferred by statute,
they lack the power to adjudicate claims. In re FEMA Trailer Formaldehyde Prods. Liab. Litig.,
668 F.3d 281, 286-87 (5th Cir. 2012)(citing Kokkonen v. Guardian Life Ins. Co. of Am., 511 U.S.
375, 377, 114 S.Ct. 1673, 128 L.Ed.2d 391 (1994); Stockman v. FEC, 138 F.3d 144, 151 (5th Cir.
1998), Hall v. Louisiana, 12 F.Supp.3d 878 (M.D. La. 2014)). Under Federal Rule of Civil
Procedure 12(b)(1), a claim is “properly dismissed for lack of subject-matter jurisdiction when the
court lacks the statutory or constitutional power to adjudicate” the claim. Id. (quoting Home
Builders Ass’n, Inc. v. City of Madison, 143 F.3d 1006, 1010 (5th Cir. 1998)).
The Fifth Circuit Court of Appeal has explained the standard for motions pursuant to Rule
12(b)(1) as follows:
Motions filed under Rule 12(b)(1) of the Federal Rules of Civil Procedure allow a
party to challenge the subject matter jurisdiction of the district court to hear a case.
Fed. R. Civ. P. 12(b)(1). Lack of subject matter jurisdiction may be found in any
one of three instances: (1) the complaint alone; (2) the complaint supplemented by
undisputed facts evidenced in the record; or (3) the complaint supplemented by
undisputed facts plus the court’s resolution of disputed facts. Barrera-Montenegro
v. United States, 74 F.3d 657, 659 (5th Cir. 1996).
The burden of proof for a Rule 12(b)(1) motion to dismiss is on the party asserting
jurisdiction. McDaniel v. United States, 899 F.Supp. 305, 307 (E.D. Tex. 1995).
Accordingly, the plaintiff constantly bears the burden of proof that jurisdiction does
in fact exist. Menchaca v. Chrysler Credit Corp., 613 F.2d 507, 511 (5th Cir. 1980).
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When a Rule 12(b)(1) motion is filed in conjunction with other Rule 12 motions,
the court should consider the Rule 12(b)(1) jurisdictional attack before addressing
any attack on the merits. Hitt v. City of Pasadena, 561 F.2d 606, 608 (5th Cir.
1977)(per curiam). Considering a Rule 12(b)(1) motion to dismiss first ‘prevents a
court without jurisdiction from prematurely dismissing a case with prejudice.’ In
re FEMA Trailer Formaldehyde Prods. Liab. Litig., 668 F.3d at 286-87.
In examining a Rule 12(b)(1) motion, the district court is empowered to consider
matters of fact which may be in dispute. Williamson v. Tucker, 645 F.2d 404, 413
(5th Cir. 1981). Ultimately, a motion to dismiss for lack of subject matter
jurisdiction should be granted only if it appears certain that the plaintiff cannot
prove any set of facts in support of his claim that would entitle plaintiff to relief.
Home Builders Ass’n of Miss., Inc. v. City of Madison, Miss., 143 F.3d 1006, 1010
(5th Cir. 1998).
Ramming v. United States, 281 F.3d 158, 161 (5th Cir. 2001).
B.
Rule 12(b)(6) Standard
In Johnson v. City of Shelby, Mississippi, the Supreme Court explained that “[f]ederal
pleading rules call for a ‘short and plain statement of the claim showing that the pleader is entitled
to relief,’; they do not countenance dismissal of a complaint for imperfect statement of the legal
theory supporting the claim asserted.” 135 S.Ct. 346, 346-47 (2014)(citations omitted).
Interpreting Rule 8(a), the Fifth Circuit Court of Appeal has explained:
The complaint (1) on its face (2) must contain enough factual matter (taken as true)
(3) to raise a reasonable hope or expectation (4) that discovery will reveal relevant
evidence of each element of a claim. ‘Asking for [such] plausible grounds to infer
[the element of a claim] does not impose a probability requirement at the pleading
stage; it simply calls for enough facts to raise a reasonable expectation that
discovery will reveal [that the elements of the claim existed].’
Lormand v. U.S. Unwired, Inc., 565 F.3d 228, 257 (5th Cir. 2009)(quoting Bell Atlantic Corp. v.
Twombly, 550 U.S. 544, 556 (2007)).
Applying the above case law, the Western District of Louisiana has stated:
Therefore, while the court is not to give the ‘assumption of truth’ to conclusions,
factual allegations remain so entitled. Once those factual allegations are identified,
drawing on the court’s judicial experience and common sense, the analysis is
whether those facts, which need not be detailed or specific, allow ‘the court to draw
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the reasonable inference that the defendant is liable for the misconduct alleged.’
[Ashcroft v. Iqbal, 556 U.S. 662, 678 (2009)]; Twombly, [550] U.S. at 556, 127
S.Ct. at 1965. This analysis is not substantively different from that set forth in
Lormand, supra, nor does this jurisprudence foreclose the option that discovery
must be undertaken in order to raise relevant information to support an element of
the claim. The standard, under the specific language of Fed. R. Civ. P. 8(a)(2),
remains that the defendant be given adequate notice of the claim and the grounds
upon which it is based. The standard is met by the ‘reasonable inference’ the court
must make that, with or without discovery, the facts set forth a plausible claim for
relief under a particular theory of law provided that there is a ‘reasonable
expectation’ that ‘discovery will reveal relevant evidence of each element of the
claim.’ Lormand, 565 F.3d at 257; Twombly, [550] U.S. at 556, 127 S.Ct. at 1965.
Diamond Servs. Corp. v. Oceanografia, S.A. De C.V., 2011 WL 938785, at *3 (W.D. La. Feb. 9,
2011)(quoting Barber v. Bristol-Myers Squibb, Civ. Act. No. 09-1562 (W.D. La. 2010)).
More recently, in Thompson v. City of Waco, Texas, 764 F.3d 500 (5th Cir. 2014), the Fifth
Circuit summarized the standard for a Rule 12(b)(6) motion:
We accept all well-pleaded facts as true and view all facts in the light most
favorable to the plaintiff …. To survive dismissal, a plaintiff must plead enough
facts to state a claim for relief that is plausible on its face. A claim has facial
plausibility when the plaintiff pleads factual content that allows the court to draw
the reasonable inference that the defendant is liable for the misconduct alleged. Our
task, then, is to determine whether the plaintiff states a legally cognizable claim
that is plausible, not to evaluate the plaintiff’s likelihood of success.
Id. at 502-03 (citations and internal quotations omitted).
PARTIES’ ARGUMENTS
IV.
A.
Defendants’ Motion
Defendants move to partially dismiss Plaintiffs’ First Amended Complaint “to the extent
that it is inconsistent with the Court’s” prior order on Plaintiffs’ first motion to dismiss and “to the
extent that Plaintiffs raise new claims that are not viable”. (Doc. 26-1, p. 1). Specifically,
Defendants move to dismiss: (1) Count I, a new claim of a regulatory taking and “attempts to replead” Plaintiffs’ procedural due process claim; (2) Count II, a new claim of substantive due
process; (3) Count III, a claim that Defendants argue “the Court already found was not a proper
10
claim”; (4) Count IV, only to the extent that the claim remains “against the Environmental
Protection Agency” (“EPA”); and (5) Count VI, a new claim for statutory violations of the Clean
Water Act. (Doc. 26-1, p. 1).
Defendants seek to dismiss Count I of Plaintiffs’ First Amended Complaint, a new
regulatory taking claim, under both Rule 12(b)(1) for lack of jurisdiction and Rule 12(b)(6) for
failure to state a claim. (Doc. 26-1, p. 8). Regarding jurisdiction, Defendants argue that takings
claims against the federal government are premature until the property owner has availed itself of
the process under the Tucker Act, 28 U.S.C. § 1491. (Doc. 26-1, p. 8 (citing Williamson Cty. Reg’l
Planning Comm’n v. Hamilton Bank of Johnson City, 473 U.S. 172, 195 (1985); see also Preseault
v. ICC, 494 U.S. 1, 11 (1990))). Defendants argue that Plaintiffs have not plead facts establishing
whether their purported damages are greater than or less than $10,000; therefore, Defendants aver
that Plaintiffs have not established jurisdiction. (Doc. 26-1, p. 8 (explaining that the Court of
Federal Claims has exclusive jurisdiction over takings claims over $10,000 and has concurrent
jurisdiction with district courts for claims under $10,000)). Plaintiffs’ Complaint prays for
injunctive and declaratory relief only, not compensatory damages. Therefore, Defendants argue,
Plaintiffs have not established jurisdiction in the pleading of their case. (Doc. 26-1, p. 9).
Defendants also argue that Plaintiffs’ takings claim is not ripe until “the permit process” is
completed. Simply asserting regulatory jurisdiction is not a “taking” of property because of the
possibility of a permit.
Defendants argue that only when a permit is denied to prevent
“economically viable use” of the property has a “taking” occurred. (Doc. 26-1, pp. 9-10 (citing
United States v. Riverside Bayview Homes, Inc., 474 U.S. 121, 127 (1985)).
Defendants next acknowledge that this Court’s previous Order found that Plaintiffs’ alleged
deprivation of silviculture rights “might support a procedural due process claim”, but argue that
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the Court’s “decision was erroneous”. (Doc. 26-1, p. 10 (referring to Doc. 22); see Doc. 26-1, pp.
11-13 for Defendants’ reasoning as to why this Court’s prior ruling was “erroneous”). Defendants
also argue that Plaintiffs’ First Amended Complaint “rehashes” allegations of deprivations of
protected interests “that the Court has already rejected”. (See Doc. 26-1, pp. 13-14 for the
purported “rehashed” allegations). Therefore, Defendants seek dismissal of Plaintiffs’ procedural
due process claim or clarification from the Court on the “limited extent” on which Plaintiffs may
proceed. (Doc. 26-1, pp. 10, 14).
Regarding Count II, Defendants argue that Plaintiffs’ claims of substantive due process do
not “shock the conscience”. (Doc. 26-1, p. 15 (citing City of Sacramento v. Lewis, 523 U.S. 833,
846 (1998)). Specifically, Plaintiffs claim that Corps personnel showed bias against Lewis based
upon the following: (1) an email in which the chief of the Regulatory Branch of the New Orleans
District called Lewis “very mendacious”, (Doc. 26-1, p. 15 (citing Doc. 23, ¶ 59)); (2) a statement
by a Corps employee that Plaintiffs’ proposed construction of water lines “is only needed to
facilitate future development”, (id. at ¶ 60); (3) different treatment of a neighboring landowner,
(id. at ¶ 61); and (4) allegations regarding the Corps’ refusal to allow the use of Plaintiffs’ land for
temporary flood shelter. (Id. at ¶ 62). Defendants argue that as plead, the allegations do not
support viable claims of bias. (Doc. 26-1, pp. 15-17).
Plaintiffs plead that they reserve equitable estoppel for “later proceedings”. (Doc. 23, ¶ 63).
Defendants argue, however, that the Court stated in its prior Order, (Doc. 22, p. 16), that “equitable
estoppel is not, in itself, either a claim or defense”. Defendants ask the Court to dismiss Plaintiffs’
estoppel claim because it “does not make any sense for Plaintiffs to reserve a claim that is not a
claim”. (Doc. 26-1, p. 17).
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Because the EPA is not named as a party in the caption of the First Amended Complaint,
Defendants argue that the EPA is no longer a named Defendant. (Doc. 26-1, p. 17). However,
since Count IV and Paragraph 66 contain allegations of unreasonable delay by the EPA,
Defendants move to dismiss this claim adverse to the EPA. Defendants argue that this Court
dismissed this claim in its prior Order. (Id. (citing Doc. 22, p. 17)). Further, Defendants argue
that because the EPA was not required to provide a hearing on an advisory letter that it issued or
to rescind the letter, then the EPA could not be the subject of an “unreasonable delay” claim in
taking these non-required actions. (Doc. 26-1, p. 18).
Finally, Defendants argue that Plaintiffs’ claim of a statutory violation of the Clean Water
Act should be dismissed for failure to state a claim. Plaintiffs do not plead a cause of action and/or
state a basis of relief. (Doc. 26-1, p. 18). Because Plaintiffs did not identify a cause of action,
there is no waiver of sovereign immunity by the United States which is required for it to be sued.
(Doc. 26-1, p. 19). Defendants argue that assuming Plaintiffs’ cause of action is under the APA,
then the claim should be dismissed because Plaintiffs fail to allege “final agency action”. (Id.).
B.
Plaintiffs’ Opposition
As to whether Plaintiffs have established jurisdiction, Plaintiffs do not address the issue of
concurrent or exclusive jurisdiction and the $10,000 threshold amount. Rather, Plaintiffs argue
their regulatory takings claim is subject to equitable relief. (Doc. 28, p. 5 (citing U.S. v. Charles
George Trucking Co., Inc., 682 F.Supp. 1260 (D. Mass. 1988), n. 2)). Plaintiffs rely upon Duke
Power Co. v. Carolina Env. Study Group, 438 U.S. 59, 71 (1978), n. 15, arguing that Plaintiffs are
allowed to seek declaratory relief “against the constitutionality of disputed federal government
taking actions”, notwithstanding the lack of a Tucker Act money takings claim. (Doc. 28, p. 6
(citing Alto El Dorado Partners v. City of Santa Fe, 644 F.Supp.2d 1313, 1327 (D. N.Mex. 2009))).
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Plaintiffs conclude their address of the jurisdictional issue by stating, “The worse that can be said
of this count is that the ripeness issue is still open”. (Doc. 28, p. 6).
Plaintiffs argue that this Court was correct in finding that the loss of timber rights was a
denial of property without due process. (Doc. 28, p. 6 (citing La. C.C. Art. 463)). Plaintiffs also
amended their Complaint to clarify that their claim regarding access to drinking water is a “liberty
right”. (Doc. 28, p. 6 (citing Juliana v. United States, 2017 WL 2483705, at *26, 44-48 (D. Or.
2017))). Plaintiffs state that “said plaintiffs’ access is stopped cold by government action here”.
(Doc. 28, p. 7).
Plaintiffs maintain that their allegations of bias violate their substantive due process rights,
arguing that Defendants’ alleged conduct clearly “shock the conscience”. (Doc. 28, p. 7 (“What
is shocking speaks for itself. Bureaucratic torment is not insulated. … Shocking is what shocking
does, i.e., here no drinking water access or timber harvesting as a result of agency standstills.
Respectfully, we submit that is about as clear of a smoking gun as it gets.”)).
Plaintiffs clarify their intention to “reserve their right to argue equitable estoppel as
appropriate in future proceedings”. Plaintiffs state that this Court has “recognized this right” in its
prior ruling. (Doc. 28, pp. 7-8 (citing Doc. 22, p. 16)).
Plaintiffs also clarify that they “did drop EPA as a party in the amended complaint” but
maintain the EPA’s “factual involvement”. Plaintiffs suggest that Defendants’ motion on this issue
should be denied as moot. (Doc. 28, p. 8).
Regarding Count VI, Plaintiffs state, “The federal invasion of timber management rights
governed by the Department of Agriculture and Forestry in Louisiana and land use rights governed
by political subdivisions in the State, are the basis for Count VI. These constitutional rights must
be upheld against federal government overregulation.” (Doc. 28, p. 9).
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C.
Defendants’ Reply
Defendants disagree with Plaintiffs’ position that their regulatory takings claim is subject to
equitable relief. Defendants argue that the “sole remedy” is compensation. Further, Defendants
highlight that the caselaw upon which Plaintiffs rely, United States v. Charles George Trucking
Co., actually supports Defendants’ argument that jurisdiction over the takings claim lies in “the
Claims Court, pursuant to the Tucker Act”. (Doc. 29, pp. 1-2 (citing United States v. Charles
George Trucking Co., 682 F.Supp. 1260, 1271 (D. Mass. 1988))).
Defendants maintain that Plaintiffs’ regulatory takings claim is not ripe. Defendants argue
that the Corps did not order silviculture to stop indefinitely (which Plaintiffs argue as the “taking”).
Instead, Defendants argue that the Corps’ cease and desist order only pertained to activities not
authorized by the Clean Water Act (i.e., depositing fill material into wetlands without a permit),
and that the CWA “exempts normal silviculture”. Defendants also argue that Duke Power Co. v.
Carolina Environmental Study Group, Inc., relied-upon by Plaintiffs, does not support Plaintiffs’
argument. First, the United States Supreme Court did not reach the issue of a taking because the
alleged taking was hypothetical and had not yet occurred. Further, the Supreme Court stated that
Tucker Act compensation was available in the event such a claim arose. (Doc. 29, p. 2 (citing
Duke Power, 438 U.S. 59, 94 (1978))).
Regarding Plaintiffs’ procedural due process claim, Defendants aver that Plaintiffs have not
established a deprivation of property; have not identified a deprivation of silvicultural rights; and
if the deprivation cannot yet be determined, then the due process claim is not ripe. (Doc. 29, p. 3).
Plaintiffs’ argument regarding the drinking water access “added nothing” to the allegations of the
original Complaint which, Defendants argue, were “previously held insufficient”. (Id.).
15
Defendants’ motion under Rule 12(b)(6) seeking to dismiss Plaintiffs’ substantive due
process claim is procedurally appropriate, and Defendants argue that Plaintiffs do not meet the
“high bar” for pleading a substantive due process claim. (Doc. 29, pp. 3-4).
Defendants argue that “Plaintiffs concede” that equitable estoppel is not a claim. Therefore,
Plaintiffs should not be allowed to “reserve” a claim that is “not a claim”. (Doc. 29, p. 4).
Plaintiffs concede that they “dropped” EPA as a party; therefore, any claims in Count IV
adverse to the EPA should be dismissed. (Id.).
Defendants argue that Plaintiffs assert an unspecified violation of the Clean Water Act in
Count VI of its First Amended Complaint but argue a violation of the Tenth Amendment as Count
VI in its opposition. Defendants suggest that this proves their point that Plaintiffs have not plead
a cause of action in Count VI. Neither the original Complaint, nor the First Amended Complaint
plead a claim of a violation of the Tenth Amendment or a violation of the Clean Water Act.
Defendants argue that Plaintiffs’ allegations are nothing more than vague, incoherent accusations
that do not identify a legal cause of action and to which Defendants are not able to respond. (Doc.
29, p. 5).
V.
ANALYSIS
A.
Count I – Regulatory Taking and Procedural Due Process
1.
Regulatory Taking
Count I of Plaintiffs’ First Amending Complaint states:
Said Plaintiffs formerly marketed and sold timber harvests which now remain
dormant and valueless under the direct result of the government’s harsh regulatory
actions on their land. Under U.S. Supreme Court precedents a taking exists
because: (1) the nature of the taking here is as applied and regulatory, (2) the
economic impact of the regulation is to deprive owners of all value in their standing
timber rights through harvests, and (3) said plaintiffs investment in the property
since 2012 and prior investment for timber rights was justified to them through the
silviculture exemption in the Clean Water Act, 33 U.S.C. § 1344(f). Therefore,
16
Plaintiffs Lewis have suffered an actual and regulatory taking of property rights
without just compensation. Said plaintiffs do not seek compensation at this time,
but pray for injunctive and declaratory relief due to a government violation of the
U.S. Constitution on several counts as alleged herein.
(Doc. 23, pp. 25-26).
“The Takings Clause of the Fifth Amendment, made applicable to the States through the
Fourteenth, provides that private property shall not ‘be taken for public use, without just
compensation.’” Lingle v. Chevron U.S.A. Inc., 544 U.S. 528, 536, 125 S.Ct. 2074, 2080 (2005)
(internal citation omitted). The Takings Clause “does not prohibit the taking of private property,
but instead places a condition on the exercise of that power…. It is designed not to limit the
governmental interference with property rights per se, but rather to secure compensation in the
event of otherwise proper interference amounting to a taking.” Id. at 537 (emphasis in original).
There are two types of “takings” under the Fifth Amendment: (1) a direct, physical
appropriation of property, real or personal, which is “perhaps the most serious form of invasion of
an owner's property interests, depriving the owner of the rights to possess, use and dispose of the
property”; and (2) a “regulatory taking,” i.e., a restriction on the use of property that went “too
far.” Horne v. Department of Agriculture, ––– U.S. ––––, 135 S.Ct. 2419, 2427, 192 L.Ed.2d 388
(2015), citing Pennsylvania Coal Co. v. Mahon, 260 U.S. 393, 43 S.Ct. 158, 67 L.Ed. 322 (1922).
Plaintiffs’ First Amended Complaint falls into the second category. Plaintiffs allege that they were
deprived of all value in their timber rights through the Corps’ cease-and-desist order, delays and
non-response to Plaintiffs’ permit application, and delays and allegedly improper response to the
requests for jurisdictional determination. (Doc. 23, p. 25).
The Supreme Court has explained that when a government regulation goes too far, it
constitutes a regulatory taking. Pennsylvania Coal Co. v. Mahon, 260 U.S. 393, 415 (1922).
However, in 90 years of takings jurisprudence, the Supreme Court has generally eschewed any
17
“set formula” for determining how far is too far, and prefers to engage in fact specific inquiries set
out in Penn Central Transportation Co. v. City of New York, 438 U.S. 104, 124 (1978) (looking to
factors to determine whether a taking occurred such as the economic impact on the claimant,
interference with distinct investment-backed expectations, and the character of the government
action). The public interest behind the regulation, such as the “health, safety, morals, or general
welfare,” will also be a factor in the analysis of whether a regulatory taking has occurred. Penn
Central, 438 U.S. at 125. Ultimately, whether a regulatory taking has occurred will depend largely
on the particular circumstances of each case. Id. at 124.
“When the government physically takes possession of an interest in property for some
public purpose, it has a categorical duty to compensate the former owner ... regardless of whether
the interest that is taken constitutes an entire parcel or merely a part thereof.” Tahoe–Sierra
Preservation Council, Inc. v. Tahoe Regional Planning Agency, 535 U.S. 302, 322, 122 S.Ct. 1465,
152 L.Ed.2d 517 (2002), citing U.S. v. Pewee Coal Co., 341 U.S. 114, 115, 71 S.Ct. 670, 95 L.Ed.
809 (1951). Thus, where a regulation restricts the use but does not completely deprive an owner
of property rights, there may not be a taking, in which case the regulation did not go “too far.” The
Supreme Court has long proclaimed that “‘where an owner possesses a full ‘bundle’ of property
rights, the destruction of one ‘strand’ of the bundle is not a taking.’” Id., quoting Andrus v. Allard,
444 U.S. 51, 65–66, 100 S.Ct. 318, 62 L.Ed.2d 210 (1979). Once there is a taking, as when there
is a physical appropriation, payment from the government becomes an issue of just compensation.
Horne, 135 S.Ct. at 2429. “[J]ust compensation normally is to be measured by ‘the market value
of the property at the time of the taking.’” Id., quoting United States v. 50 Acres of Land, 469 U.S.
24, 29, 105 S.Ct. 451, 83 L.Ed.2d 376 (1984).
18
Plaintiffs allege, “Standing timber rights and the fruits thereof are important sticks in the
owners’ ‘bundle of rights’ in Louisiana.” (Doc. 23, p. 25). The alleged impairment of this
“important stick”, alone, may not amount to a taking. See Tahoe-Sierra Preservation Council,
Inc., 535 U.S. at 322, quoting Andrus, 444 U.S. at 65-66. Further, Plaintiffs allege the “taking”
deprives owners of all value in their “standing timber rights” only. (Doc. 23, p. 25). Plaintiffs do
not allege a complete taking of the property, only a “stick”, to further Plaintiffs’ analogy. While
Plaintiffs’ pleading may be sufficient under Rule 12 to attempt to assert a regulatory takings claim,
a more detailed, fact-intensive analysis under Penn Central is required to determine whether the
allegations rise to the level of a regulatory taking. The “partial taking” may ultimately not be a
“taking” at all. See Lucas v. South Carolina Coastal Council, 505 U.S. 1003, 1015-1019 (1992).
Nevertheless, regardless of the classification of the taking, a takings claim under the Fifth
Amendment must first be ripe for adjudication. Severance v. Patterson, 566 F.3d 490, 496 (5th
Cir. 2009). The Supreme Court has adopted a test for ripeness under the Fifth Amendment's takings
clause: “such claims are not ripe until (1) the relevant governmental unit [administrative agency]
has reached a final decision as to how the regulation will be applied to the land owner, and (2) the
plaintiff has sought compensation for the alleged taking through whatever adequate procedures the
state provides.” Williamson County Reg'l Planning Comm's v. Hamilton Bank, 473 U.S. 172, 105
S.Ct. 3108, 87 L.Ed.2d 126 (1985); see also Urban Developers, LLC v. City of Jackson, Miss., 468
F.3d 281, 292–93 (5th Cir. 2006); Robinson v. City of Baton Rouge, No. 13-375, 2016 WL
6211276, *25 (M.D. La. Oct. 22, 2016).
Plaintiffs fail to show that their regulatory takings claim is ripe for adjudication. First, in
their opposition, Plaintiffs characterize the Corps’ cease-and-desist order as stopping silviculture
“indefinitely” and, in a conclusory fashion, equates this order to a regulatory taking. (Doc. 28, p.
19
5). This is the extent of Plaintiffs’ address of a “final decision” in its opposition. The “cease and
desist” order addresses the deposition of fill material into wetlands without a permit and orders
Lewis to cease from depositing fill materials into wetlands until a permit is obtained. (Doc. 1-14).
The “cease and desist” order neither addresses silviculture operations in total, nor does it address
the issue of access to drinking water. However, as this Court ruled in response to Defendants’ first
motion to dismiss, “Plaintiffs have adequately alleged that the cease-and-desist order constituted
a final agency action, particularly given the lenient standards generally applicable at this stage.”
(Doc. 22, p. 21 (citing Lane v. Halliburton, 529 F.3d 548, 557 (5th Cir. 2008))). This Court found
that Plaintiffs adequately allege that the cease-and-desist order had “legal consequences” and
constituted the “consummation of the agency’s decision-making process” with respect to factual
and legal conclusions that Plaintiffs wish to challenge.
Therefore, under the applicable
jurisprudential authority, this Court concluded that Plaintiffs made a plausible showing of a final
order. (Doc. 22, pp. 21-23 (citing U.S. Army Corps of Engineers v. Hawkes Co., __ U.S. __, 136
S.Ct. 1807, 1815 (2016); Frozen Food Express v. United States, 351 U.S. 40, 44-45 (1956);
Louisiana State v. United States Army Corps of Engineers, 834 F.3d 574, 580-81 (5th Cir. 2016))).
Even though Plaintiffs meet the first prong of the ripeness test, Plaintiffs do not meet the
second prong. Plaintiffs are clear in both their First Amended Complaint as well as their opposition
to this motion that they seek injunctive and declaratory relief, not compensation. Thus, the second
element of the ripeness test is absent. Plaintiffs argue that the case of Duke Power Co. v. Carolina
Env. Study Group, 438 U.S. 59, 71 (1978), allows for “equitable jurisdiction”, notwithstanding the
lack of a “Tucker Act money taking claim”. Defendants argue that Duke Power is not applicable
to this matter because the Supreme Court declined to resolve the taking claim because the alleged
taking had not occurred. Defendants argue that the Supreme Court “held” that Tucker Act
20
compensation was available and left the jurisdiction of the taking claim “for another day”. (Doc.
29, p. 2).
In Duke Power, the Supreme Court did not “hold that plaintiffs were allowed to seek
declaratory relief”, as Plaintiffs posit in their opposition.
(Doc. 28, p. 6).
In addressing
jurisdiction, which the Supreme Court raised on its own motion, the Supreme Court stated:
For purposes of determining whether jurisdiction exists under § 1331(a) to resolve
appellees' claims, it is not necessary to decide whether appellees' alleged cause of
action against the NRC based directly on the Constitution is in fact a cause of action
“on which [appellees] could actually recover.” Bell v. Hood, 327 U.S. 678, 682, 66
S.Ct. 773, 776, 90 L.Ed. 939 (1946). Instead, the test is whether ‘the cause of action
alleged is so patently without merit as to justify . . . the court's dismissal for want
of jurisdiction.’ Hagans v. Lavine, 415 U.S. 528, 542–543, 94 S.Ct. 1372, 1382,
39 L.Ed.2d 577 (1974) quoting Bell v. Hood, supra, at 683, 66 S.Ct., at 776.
(Emphasis added.) See also Oneida Indian Nation v. County of Oneida, 414 U.S.
661, 666, 94 S.Ct. 772, 778, 39 L.Ed.2d 73 (1974) (test is whether right claimed is
‘so insubstantial, implausible, foreclosed by prior decisions of this Court, or
otherwise completely devoid of merit as not to involve a federal controversy’). In
light of prior decisions, for example, Bivens v. Six Unknown Fed. Narcotics Agents,
403 U.S. 388, 91 S.Ct. 1999, 29 L.Ed.2d 619 (1971) and Hagans v. Lavine, supra,
as well as the general admonition that ‘where federally protected rights have been
invaded . . . courts will be alert to adjust their remedies so as to grant the necessary
relief,’ Bell v. Hood, supra, 327 U.S., at 684, 66 S.Ct., at 777, we conclude that
appellees' allegations are sufficient to sustain jurisdiction under § 1331(a).
The further question of whether appellees' cause of action under the Constitution is
one generally to be recognized need not be decided here. The question does not
directly implicate our jurisdiction, see Bell v. Hood, supra, was not raised in the
court below, was not briefed, and was not addressed during oral argument. As we
noted last Term in a similar context, questions of this sort should not be resolved
on such an inadequate record; leaving them unresolved is no bar to full
consideration of the merits. See Mt. Healthy City Bd. of Educ. v. Doyle, 429 U.S.
274, 278–279, 97 S.Ct. 568, 571–572, 50 L.Ed.2d 471 (1977). It is enough for
present purposes that the claimed cause of action to vindicate appellees'
constitutional rights is sufficiently substantial and colorable to sustain jurisdiction
under § 1331(a).
Duke Power Co. v. Carolina Envtl. Study Grp., Inc., 438 U.S. 59, 70–72, 98 S. Ct. 2620, 2629,
57 L. Ed. 2d 595 (1978).
21
The Court finds more helpful guidance from the Northern District of Texas, where that court
succinctly stated:
Plaintiff claims that the enactments ‘violate Ash Grove's substantive due process
rights because they amount to a regulatory taking.’ The City of Arlington and
Dallas County Schools have moved to dismiss that portion of Plaintiff's case
claiming that such a claim, if viable at all, is nonetheless not ripe for decision.
In this, Defendants are correct. See Williamson County Reg'l Planning Comm'n v.
Hamilton Bank, 473 U.S. 172, 186,194, 105 S.Ct. 3108, 87 L.Ed.2d 126, (1985);
Severance, 566 F.3d at 496–500. Under Williamson County, ‘[a] takings claim is
not ripe until (1) the relevant governmental unit has reached a final decision as to
how the regulation will be applied to the landowner, and (2) the plaintiff has sought
compensation for the alleged taking through whatever adequate procedures the state
provides.’ Id. It does not matter whether the taking is styled as a regulatory taking
or as condemnation of real property. Severance, 566 F.3d at 496.
Plaintiff has not pled that it sought compensation through state procedures nor
alleged that those procedures are ‘unavailable or inadequate.’ See Williamson
County, 473 U.S. at 197; Severance, 566 F.3d at 498. Ash Grove argues this is not
required because it is seeking only a declaration that the enactments violate the
Takings Clause. This is insufficient. The state procedural requirement is applicable
to both injunctive and declaratory relief on taking claims. Williamson 473 U.S. at
195; Severance, 566 F.3d at 497. Accordingly, its pursuit of a regulatory takings
claim in this Court is not ripe under Williamson County and Severance and should
be dismissed.
Ash Grove Texas, LP v. City of Dallas, 2009 WL 3270821, at * 11 (N.D. Tex. Nov. 9, 2009).
Any potential takings claim under the Fifth Amendment must be dismissed for lack of
jurisdiction under Rule 12(b)(1) and for failure to state a claim under 12(b)(6) if it is not ripe.
Hidden Oaks Ltd. v. City of Austin, 138 F.3d 1036, 1041 (5th Cir. 1998). Such is the case here.
For the reasons stated above, Plaintiffs’ takings claim is not ripe because Plaintiffs have not sought
compensation for the alleged taking through whatever adequate procedures the states provides.
Ripeness is part of subject matter jurisdiction, which must be established by the party invoking
federal jurisdiction. Abdelhak v. City of San Antonio, 2011 WL 13124298, at *10 (W.D. Tex. Dec.
22
6, 2011). Plaintiffs’ regulatory takings claim is dismissed under Rule 12(b)(1) for lack of
jurisdiction.
2.
Procedural Due Process
Plaintiffs allege that they are “entitled to due process of law” before they may be deprived
of “life, liberty, and use and enjoyment of their Property”. (Doc. 23, p. 23). Plaintiffs identify the
following “rights” of which they were allegedly deprived: right to use their own property and their
own road rights of way to construct and install pipes to provide drinking water and/or a water
tower to provide access to drinking water, also presented as a “liberty right to drinking water”,
(Doc. 23, p. 23); and their right of land use for silviculture purposes without first conducting a
hearing, (Doc. 23, p. 24). Plaintiffs allege that Defendants unlawfully refused to process Plaintiffs’
requests for a jurisdictional determination, in failing to respond to Plaintiffs’ application for
permits, and in improperly denying a silviculture exemption without first conducting a hearing.
(Doc. 23, p. 24). Plaintiffs also aver that Defendants denied and deprived them of proper
administrative appeals. (Doc. 23, p. 25).
Defendants contend in their motion that Plaintiffs fail to identify a deprivation of a protected
interest for which they are entitled to due process protection. (Doc. 26-1, p. 10). Specifically,
Defendants argue that this Court’s prior finding that Plaintiffs’ alleged deprivation of silviculture
rights may support a procedural due process claim was in error and that Plaintiffs now “rehash”
other alleged deprivations that this Court previously rejected. (Doc. 26-1, p. 10).
Procedural Due Process. When Plaintiffs assert a due process violation, they “must first
identify a life, liberty, or property interest protected by the Fourteenth Amendment and then
identify a state action that resulted in a deprivation of that interest.” Blackburn v. City of Marshall,
42 F.3d 925, 935 (5th Cir. 1995). The Fifth Circuit has explained:
23
In order for a person to have a property interest within the ambit of the Fourteenth
Amendment, he ‘must have more than an abstract need or desire for it. He must
have more than a unilateral expectation of it. He must, instead, have a legitimate
claim of entitlement.’ Board of Regents v. Roth, 408 U.S. 564, 577, 92 S.Ct. 2701,
2709, 33 L.Ed.2d 548 (1972). Property interests are not created by the Constitution;
rather, they stem from independent sources such as state statutes, local ordinances,
existing rules, contractual provisions, or mutually explicit understandings. Perry,
408 U.S. at 599-601, 92 S.Ct. at 2699-2700. However, it is clear that ‘the
sufficiency of the claim of entitlement must be decided by reference to state law.’
Bishop v. Wood, 426 U.S. 341, 344, 96 S.Ct. 2074, 2077, 48 L.Ed.2d 684 (1976)
(footnote omitted).
Id. at 936-37 (citation omitted).
Furthermore, “[a]lthough the underlying substantive interest is created by ‘an independent
source such as state law,’ federal constitutional law determines whether that interest rises to the
level of a ‘legitimate claim of entitlement’ protected by the Due Process Clause.” Town of Castle
Rock, Colo. v. Gonzales, 545 U.S. 748, 757 (2005) (emphasis in original). The Supreme Court has
recognized that “a benefit is not a protected entitlement if government officials may grant or deny
it in their discretion.” Id. at 756.
Silviculture rights. Defendants responded to Plaintiffs’ original Complaint with a motion to
dismiss, arguing that Plaintiffs’ procedural due process claims should be dismissed. (Doc. 13). In
denying Defendants’ motion on these grounds, this Court stated:
However, a central issue in this case is whether the silviculture exemption was
properly and clearly applied, and to determine that none of Defendants’ actions
deprived Plaintiffs of or even implicated any protected right to conduct silviculture
activities would be to prejudge this case. The Court cannot conclude that Plaintiffs
have failed to state a plausible claim under the standards applicable at this stage.
See Lormand, 565 F.3d at 257.
(Doc. 22, p. 13).
This Court also found that Plaintiffs sufficiently plead claims of inadequate process due to
the alleged delays, denial of hearings and appeals, and lack of timely response to the requests for
jurisdictional determinations. (Doc. 22, pp. 13-14).
24
Since then, Plaintiffs have enhanced their allegations and supporting facts of their claim
regarding the deprivation of their due process rights, specifically their silvicultural property rights.
The Court has reviewed its earlier ruling in light of Defendants’ contentions and the amended
Complaint. The Court finds no cause for revising its earlier ruling. Defendants’ motion with
regard to silviculture rights is denied.
Right to access drinking water. Defendants argue that Plaintiffs’ “rehashed” claim of
deprivation of their right to access drinking water should be dismissed because this Court already
disposed of this claim. In its prior ruling, this Court found that Plaintiffs had alleged a right to
clean drinking water, but the facts presented better supported a claim for the right to construct a
water tower and utility line to access clean water. (Doc. 22, p. 13). At that time, Plaintiffs had not
plead facts or authority that supported such a right or protection. (Id.).
Plaintiffs have now amended their complaint and supplemented their claim by pleading a
“liberty right” to access clean drinking water. (Doc. 23, p. 23 (citing Juliana v. United States,
2017 WL 2483705, at *26, 44-48 (D. Or. 2017)); Doc. 28, pp. 6-7). Defendants challenged
Plaintiffs’ claim; however, Defendants do not specifically address Plaintiffs’ enhanced pleading
and identification of a “liberty right”. (Doc. 26-1, p. 13). Rather, Defendants argue, again, that
the alleged due process protection does not extend to the “indirect adverse effects of governmental
action”. (Id. (citing O’Bannon v. Town Court Nursing Ctr., 447 U.S. 773, 789 (1980)); Doc. 29,
p. 3).
Plaintiffs cite the Court to Juliana v. United States, No. 15-01517, 2017 WL 2483705 (D.
Ore. June 8, 2017) in support of a purported “liberty right” to access drinking water. However,
Juliana at this cite is a brief opinion by District Judge Aiken regarding motions for stay,
certification for appeal, and expedited consideration of pending motions. Specifically, the issue
25
before that court was the proper standard to apply in consideration of a recommendation from the
Magistrate Judge. The opinion makes no mention of rights to drinking water. Defendants suggest
that the proper opinion to consider is Juliana v. United States, 217 F.Supp.3d 1224, 1250 (D. Or.
2016). The Court agrees.
Judge Aiken first noted that Juliana was not “an ordinary lawsuit”. The question before the
court was whether the defendants were responsible for the harm caused by climate change.
Juliana, 217 F.Supp.3d at 1235. It is readily apparent that the context of Juliana is hardly
comparable to the matter presently before this Court. Nevertheless, Juliana addressed rights of
drinking water as follows:
Fundamental liberty rights include both rights enumerated elsewhere in the
Constitution and rights and liberties which are either (1) ‘deeply rooted in this
Nation's history and tradition’ or (2) ‘fundamental to our scheme of ordered
liberty[.]’ McDonald v. City of Chicago, Ill., 561 U.S. 742, 767, 130 S.Ct. 3020,
177 L.Ed.2d 894 (2010) (internal citations, quotations, and emphasis omitted). The
Supreme Court has cautioned that federal courts must ‘exercise the utmost care
whenever we are asked to break new ground in this field, lest the liberty protected
by the Due Process Clause be subtly transformed into’ judicial policy preferences.
Washington v. Glucksberg, 521 U.S. 702, 720, 117 S.Ct. 2258, 138 L.Ed.2d 772
(1997) (citation and quotation marks omitted).
Juliana, 217 F. Supp. 3d at 1249. However, the court went on to state:
In this opinion, this Court simply holds that where a complaint alleges
governmental action is affirmatively and substantially damaging the climate system
in a way that will cause human deaths, shorten human lifespans, result in
widespread damage to property, threaten human food sources, and dramatically
alter the planet's ecosystem, it states a claim for a due process violation. To hold
otherwise would be to say that the Constitution affords no protection against a
government's knowing decision to poison the air its citizens breathe or the water its
citizens drink. Plaintiffs have adequately alleged infringement of a fundamental
right.
Juliana v. United States, 217 F. Supp. 3d at 1250.
Juliana v. United States does not address the issue that is presently before this Court, whether
Plaintiffs, landowners, have a fundamental due process right to construct water towers and utilities
26
in order to access water and to provide same to their area. The issue in Juliana was not one of
whether government or administrative action was impeding access to specific water sources, but
whether government action was damaging the climate system to the extent that it poisoned the
drinking water. As Judge Aiken noted, Juliana was no ordinary lawsuit; Juliana does not support
Plaintiffs’ position on this issue. Juliana, 217 F.Supp.3d at 1235.
As this Court acknowledged in its prior ruling, the Court agrees with Defendants that the
alleged deprivation of the right to drinking water was an indirect effect of governmental action.
(Doc. 22, p. 12). Also, as stated in the prior ruling and as remains applicable here, Plaintiffs must
have a “legitimate claim of entitlement” to the claimed interest, not an “abstract need or desire for
it” or a “unilateral expectation of it”. (Doc. 22, p. 12 (citing Bd. of Regents of State Colleges v.
Roth, 408 U.S. 564, 577 (1972))). As the Court questioned in its ruling on Defendants’ first motion
to dismiss, is there a “rule or understanding” giving rise to due process protection for the right to
the construction of a new water tower and utility line to access water? (Doc. 22, p. 13). Plaintiffs’
amendment to their complaint does not answer this question. The amended complaint avers that
“one right deprived of is the right to use its own property and its own road rights of way to construct
and install 8 inch pipes to provide pure drinking water and or a water tower, to provide access to
water where such water was previously unavailable due to contamination.” Plaintiffs continue by
averring that this is a “direct impairment of a fundamental liberty right to drinking water”. (Doc.
23, p. 23). Even a simple reading of the amended complaint shows that facts and authority
supporting an entitlement to construct new pipes and a water tower to access water is not plead.
The “guarantee of fair procedure” requires that when the government invades a
constitutionally protected interest in “life, liberty, or property,” the government must provide due
process of law. Zinermon v. Burch, 494 U.S. 113, 125, 110 S.Ct. 975, 108 L.Ed.2d 100 (1990).
27
Plaintiffs allege a protected interest in liberty, although the Court also considers whether there is
a protected interest in Plaintiffs’ property. The first inquiry is whether a given interest qualifies as
a property or liberty interest for purposes of procedural due process. See Bowlby v. City of
Aberdeen, 681 F.3d 215, 220 (5th Cir.2012). The second inquiry is “what process the State
provided, and whether it was constitutionally adequate.” Id. Because the Court does not find a
recognized property or liberty right, it is not necessary for the Court to discuss the process.
Plaintiffs’ entire argument is that they have a liberty right to drinking water and that
“plaintiffs’ access is stopped cold by government action here”. (Doc. 28, pp. 6-7). The amended
complaint does not set forth facts that support that Plaintiffs had access, permission to access, or a
promise to be able to access a new source of water by constructing a water tower and new pipes
and then such access was revoked or rescinded. Neither the amended complaint, nor Plaintiffs’
opposition sheds any light on how the government allegedly “stopped cold” Plaintiffs’ access to
the purported new water source. The pleadings reflect that Plaintiffs wish to construct their own
utilities and facilities to access other water sources and that they have requested jurisdictional
determinations and permits in furtherance of this new construction to access water, with no
response. (Doc. 23, pp. 5-8). The allegations of the amended complaint do not show that Plaintiffs
were approved for, granted, or promised the alleged construction to access water and then it was
revoked or not provided. The amended complaint and argument of Plaintiffs do not explain how
Plaintiffs were entitled to this construction and access to another water source and how any action
by Defendants invaded that entitlement or right. The amended complaint and record only suggest
that Plaintiffs would like to construct a water tower and water pipes to access a new water source
for the anticipated use by Plaintiffs on their property.
28
Protected property interests are those “that rise to the level of a ‘legitimate claim of
entitlement’ ” and not “mere expectations.” Walsh v. La. High Sch. Athletic Ass'n, 616 F.2d 152,
159 (5th Cir.1980). Property interests are matters of state law, and they “stem from independent
sources such as state statutes, local ordinances, existing rules, contractual provisions, or mutually
explicit understandings.” Blackburn v. City of Marshall, 42 F.3d 925, 936–37 (5th Cir.1995).
Plaintiffs have not pointed to any Louisiana caselaw, statutes, or a local ordinance that creates a
right to construct and access water service.
When determining state law in the absence of any controlling authority, “it is the duty of
the federal court to determine as best it can, what the highest court of the state would decide.”
Transcon. Gas Pipe Line Corp. v. Transp. Ins. Co., 953 F.2d 985, 988 (5th Cir.1992). Louisiana
has acknowledged a basis for a contract claim to remediate contaminated water or property, Marin
v. Exxon Mobil Corp., 48 So.3d 234, 239 (La. 10/19/10), and supports a claim where a specific
ordinance or contract deprives a petitioner of the right of access to their own property without due
process of law and without compensation. See Otis v. Sweeney, 20 So. 229, (La. June 1, 1896).
However, there is no support for a fundamental property right to access water by construction of
utilities or facilities without a showing of some ordinance or contract granting such a right. If there
is authority for the proposition that a property right exists in accessing or obtaining water service
without any further showing, the legal support is a stranger to the parties' briefing and to the Court.
In fact, Plaintiffs have not argued that such a right exists, as they have amended their complaint to
allege that they have been denied a liberty right to drinking water. The Court has not been provided
and is not aware of any support for Plaintiffs’ allegations or plea of a liberty right to construct
utilities and facilities to access water.
29
Plaintiffs have not only failed to show a fundamental right to access water, but also to show
that such permits to construct the water line are something to which the Plaintiffs are clearly
entitled. Although Plaintiffs insinuate that they expect to ultimately receive approval to construct
the utilities and facilities to access the water, “a unilateral expectation” is not enough to create a
protected property interest. Blackburn, 42 F.3d at 936. The failure to identify a protected property
interest or liberty right is fatal to Plaintiffs’ procedural due process claim. See Baldwin v. Daniels,
250 F.3d 943, 946–47 (5th Cir.2001).
The Court further notes that within the Fifth Circuit, the jurisprudence relevant to claims of
drinking water pertain to the quality of drinking water (an existing water supply) and the procedure
of processing such claims, not to a right to construct access to other water sources. See, e.g., Matter
of Bell Petroleum Services, Inc., 3 F.3d 889 (5th Cir. 1993); ACORN v. Edwards, 81 F.3d 1387 (5th
Cir. 1996). This Court has not been provided any legal authority or support for a finding of a
fundamental right to life, liberty or property, to construct utilities and facilities to access and provide
drinking water to a specific location. Therefore, Plaintiffs’ pleading of a “fundamental liberty right
to drinking water” is not plausible. For the reasons set forth above, the Court agrees with Defendants
that Plaintiffs have failed to sufficiently state a claim of denial of due process to construct utilities
and facilities to access water.
B.
Count II – Substantive Due Process
In Count II of their First Amended Complaint, Plaintiffs allege that: Plaintiffs were called
“mendacious”, (Doc. 23, p. 26); the Corps and EPA acted in a biased fashion in detriment to
Plaintiffs, (Doc. 23, p. 27); and Defendants did not treat Plaintiffs equally to their neighboring
landowners, i.e., Pot-O-Gold Waste Management which was allowed “unimpeded use of identified
wetlands”, (Doc. 23, pp. 27-28).
30
Defendants first move to dismiss Plaintiffs’ allegations of bias because these same
allegations were the subject of Defendants’ first motion to dismiss and were dismissed by this
Court in its prior ruling. (Doc. 26-1, p. 14). Defendants are correct in this regard. Plaintiffs
alleged in their original Complaint the same allegations of unfair bias and unequal treatment of
Plaintiffs and their neighboring landowners, Pot-O-Gold. (Doc. 1, pp. 15-16). Plaintiffs argued
in opposition to Defendants’ first motion to dismiss that Defendants’ actions violated their
substantive due process rights under the APA and CWA. (Doc. 16, pp. 4-5). This Court dismissed
these claims because Plaintiffs’ claims of bias and unequal treatment did not “shock the
conscience” so as to rise to the level of a viable substantive due process claim. Plaintiffs’ claims
were found to be “conclusory and insufficient”. (Doc. 22, p. 15).
In amending their complaint, Plaintiffs re-urged these same claims but added the phrase
“shocks the conscience”. (Doc. 23, p. 27). Simply utilizing a phrase or standard does not a wellplead, plausible claim make. Plaintiffs must plead the facts which support their contention that
the complained-of conduct is “so egregious” and “so outrageous” that it “shocks the conscience”.
See United States v. Salerno, 481 U.S. 739, 746 (1987); Cty. Of Sacramento v. Lewis, 523 U.S.
833, 846 (1998). Not only have Plaintiffs failed to do this, but no party has provided to the Court
any caselaw or legal support for the proposition that calling one “mendacious”, having bias against
certain landowners, and/or exhibiting presumed deferential treatment to one landowner over
another equates to egregious and outrageous actions that “shock the conscience”.
Further, the Court has already considered and ruled upon these allegations. (See Doc. 22,
p. 15). The Court concludes that, when viewed in the light most favorable to Plaintiffs, Plaintiffs’
First Amended Complaint does not plausibly allege a set of facts that state a claim for “conscience-
31
shocking” actions that are actionable under the Fourteenth Amendment. These claims were
previously dismissed, and Defendants’ renewed motion under Rule 12(b)(6) is granted.
C.
Count III – Estoppel
Plaintiffs acknowledge in Count III of their First Amending Complaint that this Court
dismissed their prior pleading of a claim of equitable estoppel. (Doc. 23, p. 28 (citing Doc. 22)).
In their First Amending Complaint, Plaintiffs “therefore reserve equitable estoppel for later
proceedings”. (Doc. 23, p. 28). In their motion to dismiss, Defendants question Plaintiffs’ logic
– “reserving” a claim that is not a claim. Defendants then seek to dismiss this “claim”. (Doc. 261, p. 17). Plaintiffs concede that equitable estoppel is not a claim and that they are not alleging a
claim; rather, Plaintiffs simply seek to “reserve” their right to argue estoppel in future proceedings,
as necessary. (Doc. 28, pp. 7-8). Despite this Court’s prior ruling that equitable estoppel is not a
cause of action and dismissal of same, as well as Plaintiffs concession that they are not pleading a
“claim” of equitable estoppel, Defendants maintain that the “estoppel claim in Count III should be
dismissed”. (Doc. 29, p. 4).
As this Court stated in its prior ruling, “to the extent that the Complaint asserts equitable
estoppel as a standalone claim, the claim must be dismissed. Since the purpose of a motion under
Federal Rule of Civil Procedure 12(b) is to test and assert defenses to ‘claim[s] for relief,’ see Fed.
R. Civ. P. 12, the Court need not determine at this time whether equitable estoppel or its
components may be relevant for some other purpose.” (Doc. 22, p. 16). The same holds true here.
Any cause of action for equitable estoppel that Plaintiffs attempted to plead in their original
Complaint has already been dismissed. Also, the Court need not determine at this time whether
the argument of equitable estoppel is relevant for “future proceedings”. Therefore, Defendants’
motion on this issue is denied as moot.
32
D.
Count IV – Unreasonable Delay adverse to the EPA
Similarly, out of “an abundance of caution”, Defendants also seek to dismiss Plaintiffs’
unreasonable delay claim adverse to the EPA. This claim was previously dismissed by this Court,
but Defendants were unclear, based on Plaintiffs’ pleading in the First Amended Complaint,
whether Plaintiffs were attempting to re-plead this same claim against the EPA. (Doc. 26-1, p.
17). In opposition to Defendants’ motion, Plaintiffs admit that they “did drop EPA as a party in
the amended complaint” and suggest that Defendants’ motion “should be denied as moot”. (Doc.
28, p. 8). This Court agrees with Plaintiffs. The claim of unreasonable delay adverse to the EPA
has previously been dismissed. (Doc. 22). Plaintiffs are not re-pleading any claim of unreasonable
delay adverse to the EPA in its First Amended Complaint. Therefore, Defendants’ motion on this
issue is denied as moot.
E.
Count VI – Violation of the Clean Water Act and Sovereign Immunity Waiver
Plaintiffs plead a general claim of “statutory violation of the Clean Water Act”. (Doc. 23,
p. 31). Plaintiffs allege the following “violations of the act”: excessive delay; extending land use
and restriction beyond wetlands to restrict non-wetlands; and “refusing to delineate specific
boundaries for wetlands, not mapping, and not delineating”. (Id.). Plaintiffs do not cite to specific
statutory provisions within the CWA. Also, the alleged “violations” of the CWA appear to be
duplicative of allegations in support of Counts I−V.
In their First Amending Complaint, “Count VI Statutory Violation of the CWA”, Plaintiffs
allege that the CWA “is to regulate ‘jurisdictional’ wetlands, and if identified[,] preserve them, but
if not wetlands[,] there is no such authority to regulate them. To require a permit to regulate a
38% wetlands tract has no basis in law, and violates due process as well [as] the 10th Amendment
of the [C]onstitution.” (Doc. 23, p. 32). Plaintiffs further allege within Count VI that “[a]llowing
33
for C&Ds without a determination of jurisdiction is unlawful, as occurred here. The Courts have
explicitly determined the Corps must have jurisdiction to regulate. 10th Amendment of the
Constitution so requires it.” (Id.). Plaintiff continues by alleging the “violation of the due process
concept of fair notice”, a “regulatory taking”, and concludes by stating that Defendants’ acts “are
meting out punishments not lawfully regulating lands under the CWA”. (Doc. 23, p. 33).
Defendants move to dismiss Count VI for alleged violations of the CWA because Plaintiffs
fail to state a claim upon which relief can be granted. Defendants argue that Plaintiffs have not
adequately stated a claim because they have not identified a legal basis which entitles them to the
relief sought. (Doc. 26-1, p. 18 (citing Fed. R. Civ. P. 8(a)(2))). Further, Defendants argue that
there can be no waiver of sovereign immunity when a plaintiff has “failed altogether to identify a
cause of action”. (Doc. 26-1, p. 19 (citing Hix v. U.S. Army Corps of Eng’rs, 155 F. App’x 121,
124 (5th Cir. 2005))).
In their opposition, Plaintiffs argue that their pleading of Count VI is a claim under the 10th
Amendment:
All Plaintiffs merely state is the Corps exceeded the 10th Amendment in the U.S.
Constitution in regulating Plaintiff Lewis’ property. See Bond v. U.S., 131 U.S.
2355, 2366-2367 (2011) (citizens with standing can allege 10th amendment rights).
The APA at 5 U.S.C. § 706(1)(B) here in conjunction with 28 U.S.C. § 1331
(federal question jurisdiction), create [federal] court jurisdiction over agency
violations of constitutional rights. The federal invasion of timber management
rights governed by the Department of Agriculture and Forestry in Louisiana and
land use rights governed by political subdivisions in the State, are the basis for
Count VI. These constitutional rights must be upheld against federal government
overregulation. The motion should be denied.
(Doc. 28, p. 9). Plaintiffs do not directly address sovereign immunity or mention the CWA.
Defendants interpret Plaintiffs’ argument as their attempt to amend their First Amended
Complaint and convert their claim of statutory violations of the CWA to a constitutional claim.
34
Defendants conclude that “neither the complaint nor Plaintiffs’ reformulation of the complaint”
state a viable claim. (Doc. 29, p. 5).
The Court will first address whether Plaintiffs have stated a plausible claim for which relief
may be granted under the Clean Water Act and then whether Plaintiffs have sufficiently addressed
waiver of sovereign immunity.3 At the outset, the Court notes that Plaintiffs’ allegations in Count
VI are not clear and are poorly plead. As the Court stated in its ruling on Defendants’ first motion
to dismiss, Plaintiffs’ theories of liability and entitlement to relief must be clearly plead. (Doc. 22,
p. 14 (citing United States v. Dunkel, 927 F.2d 955, 956 (7th Cir. 1991)(“The Court is disinclined
to search through the Complaint to see if Plaintiffs have eked out claims beyond those identified
with at least some specificity.”))).
1.
CWA Claim
Under Rule 8, the pleading rules call for a short and plain statement of the claim showing
that the pleader is entitled to relief. The complaint need not be a perfect statement of the legal
theory supporting the claim asserted. Johnson, 135 S.Ct. at 346-47. The complaint, on its face,
must contain enough factual matter (taken as true) to raise a reasonable expectation that discovery
will reveal relevant evidence of the elements of the claim. Lormand, 565 F.3d at 257.
In considering Count VI for “Statutory Violations of the Clean Water Act”, it bears
repeating that: the CWA makes it unlawful to discharge pollutants into navigable waters, which
includes wetlands, 33 U.S.C. §§ 1311(a), 1362(6), (7) and (12)(A); the Corps is authorized to issue
permits for the discharge of fill material into waters, 33 U.S.C. § 1344(a); the discharge of fill
Defendants’ motion only challenges Plaintiffs’ claims under the CWA in Count VI for failure to state a claim. (Doc.
26-1, pp. 18-20). Defendants do not specifically challenge any 10th Amendment claim, to the extent such a claim has
been asserted. Therefore, the Court will not address any potential 10th Amendment claim. Further, the Court will not
address Plaintiffs’ allegations of due process, regulatory taking or unlawful regulation in Count VI, (Doc. 23, p. 33),
these claims are duplicative and have been addressed.
3
35
material from normal silviculture activities is generally not prohibited, 33 U.S.C. § 1344(f)(1)(A);
the Corps is authorized to issue jurisdictional determinations stating whether waters are considered
wetlands, 33 C.F.R. §§ 325.9, 331.2; and, the Corps may issue a cease-and-desist for violations,
33 C.F.R. § 326.3(c)(1) and (2).
There is no requirement for Plaintiffs to plead the specific statutory provisions applicable
to their claims. Plaintiffs’ general allegations of over-regulation of Plaintiffs’ land beyond
designated wetlands or “navigable waters”, as that term is defined and interpreted under the CWA,
and Defendants’ alleged failure to designate the wetlands area to assist Plaintiffs in responding to
the cease-and-desist order, fall within the scope of the CWA statutory provisions and the CFRs
cited above. Plaintiffs allege facts that a jurisdictional determination was requested and a permit
application was submitted with no response. (Doc. 23, pp. 5-8).
Plaintiffs allege that a cease-and-desist order was issued regarding deposition of fill material
into wetlands. Plaintiffs allege that they responded by seeking deliniation of the wetlands on their
property, which was allegedly met with an insufficient response. (Doc. 23, p. 16). Plaintiffs allege
that the activities for which they received the cease-and-desist order were “normal silviculture
activities” for which no permit is required, thus calling into question the Corps’ cease-and-desist
order. (Doc. 23, p. 9). While Count VI is poorly plead and confusing in terms of the actual
purported statutory violation, there is enough factual matter to raise a reasonable expectation that
discovery will reveal relevant evidence of the elements of Plaintiffs’ claim under the CWA.
Although vague, the Court is able to draw a reasonable inference that Defendants may be liable
for the improper procedures and over-regulation alleged.
In Avoyelles Sportsmen’s League, Inc. v. Marsh, 715 F.2d 897, 901-903 (5th Cir. 1983),
the plaintiffs brought a suit against a number of Corps and EPA officials, as well as against private
36
landowners, claiming that land-clearing activities would result in the discharge of dredged and fill
material into the waters of the United States in violation of Sections 301(a) and 404 of the CWA,
and also result in the discharge of pollutants into the waters of the United States in violation of
Section 402 of the CWA. The plaintiffs requested a declaration that the tract was a wetland within
the scope of the CWA, that the private defendants could not engage in their land-clearing activities
without obtaining a permit from the EPA or the Corps, and that the federal defendants had failed
to exercise their “mandatory duty” to designate the tract a wetland and to order the private
defendants to cease and desist from discharging pollutants and dredged materials. The plaintiffs
also sought injunctive relief against the federal defendants to require them to exercise their
jurisdiction over the property and to issue cease-and-desist orders until the private defendants
obtained the requisite permits. Avoyelles, 715 F.2d at 901-02.
The allegations advanced in Avoyelles are similar to those asserted by Plaintiffs in this
matter, illustrating the plausibility of Plaintiffs’ claims of statutory violations of the CWA in this
matter. See also, Louisiana Wildlife Federation, Inc. v. York, 761 F.2d 1044, 1046-47 (5th Cir.
1985)(The Fifth Circuit addressed the considerations and purposes of the CWA’s restrictions on
depositing fill in wetlands and the permitting process related to same, supporting the plausibility
of a claim adverse to the Corps related to its cease-and-desist order and the permitting process);
Save Our Community v. U.S. E.P.A., 971 F.2d 1155 (5th Cir. 1992)(Citizens brought suit
challenging the draining of wetlands, seeking a preliminary injunction and a declaratory judgment
under the CWA. Citizens alleged that the defendant land operator failed to obtain a permit and
sought a declaration that the Corps and EPA failed to perform their duty to enforce provisions of
the CWA. Citizens presented the issue of whether the Corps properly interpreted the CWA and
whether the draining was a regulated activity under the CWA or not.); Orleans Audubon Soc. v.
37
Lee, 742 F.2d 901, 905 (5th Cir. 1984)(The facts of Orleans Audubon span a much longer
timeframe and were more complicated than those presently before the Court. While the district
court in Orleans Audubon ultimately dismissed Orleans Audubon’s complaint, it did so after the
development of the record and ample opportunity for discovery to shed light upon Orleans
Audubon’s numerous challenges to the Corps’ permitting process.); Save Our Wetlands, Inc. v.
Sands, 711 F.2d 634 (5th Cir. 1983); Buttrey v. U.S., 690 F.2d 1170 (5th Cir. 1982) (where
discovery and development of claims challenging the Corps’ permitting process were allowed
before dismissal on merits). Plaintiffs here should be allowed the opportunity for discovery and
the presentation of evidence to better develop their claims under the CWA as well.
The Court agrees with Defendants that Plaintiffs’ claim of violations of the CWA is poorly
plead and contains “scattered” allegations. (Doc. 26-1, p. 20). However, based on the foregoing
statutory language of the CWA, the jurisprudence, and Plaintiffs’ pleading of Count VI for alleged
violations of the CWA, the Court finds that Plaintiffs have sufficiently stated a claim under the
CWA for purposes of Rule 12(b)(6).
2.
Sovereign Immunity
Plaintiffs do not address the issue of sovereign immunity in the First Amending Complaint.
Plaintiffs argue that they are seeking injunctive and declaratory relief arising out of
“overregulation” that “exceeded the 10th Amendment in the U.S. Constitution”, which Plaintiffs
imply is excepted from the doctrine of sovereign immunity under the APA. (Doc. 28, p. 9). The
Court notes that arguments of counsel in a brief are not a substitute for properly pleaded
allegations, and “it is axiomatic that a complaint cannot be amended by briefs in opposition to a
motion to dismiss.” Becnel v. St. Charles Par. Sheriff's Office, No. 15-1011, 2015 WL 5665060,
at *1 n.3 (E.D. La. Sept. 24, 2015) (quoting In re Enron Corp. Sec., Derivative & ERISA Litig.,
38
761 F. Supp. 2d 504, 566 (S.D. Tex. 2011) (collecting cases)). Because a Rule 12(b)(6) motion
tasks the Court with “assess[ing] the legal sufficiency of the complaint,” the Court will not consider
allegations that appear for the first time in plaintiffs' briefing. Servicios Azucareros de Venezuela,
C.A. v. John Deere Thibodeaux, Inc., 702 F.3d 794, 806 (5th Cir. 2012).
However, where a complaint fails to cite the statute conferring jurisdiction, the omission
will not defeat jurisdiction if the facts alleged in the complaint satisfy the jurisdictional
requirements of the statute. Doss v. S. Cent. Bell Tel. Co., 834 F.2d 421, 424 (5th Cir. 1987)(citing
Hildebrand v. Honeywell, 622 F.2d 179, 181 (5th Cir. 1980)). It is sufficient to argue the waiver
of sovereign immunity under the APA as long as the facts plead establish that the agency actions
are specifically alleged and are a final agency action. See Belle Co., LLC v. U.S. Army Corps of
Engineers, 761 F.3d 383, 395-96 (5th Cir. 2014)(citing Taylor-Callahan-Coleman Counties Dist.
Adult Probation Dep’t v. Dole, 948 F.2d 953, 956 (5th Cir. 1991); Stockman v. FEC, 138 F.3d
144, n. 13 (5th Cir. 1998)).
“Whether the United States is entitled to sovereign immunity is a question of law[.]”
Alabama-Coushatta Tribe of Tex. v. United States, 757 F.3d 484, 488 (5th Cir. 2014)(quoting
Koehler v. United States, 153 F.3d 263, 265 (5th Cir. 1998)). “The basic rule of federal sovereign
immunity is that the United States cannot be sued at all without the consent of Congress.” Block
v. North Dakota ex rel. Bd. of Univ. & Sch. Lands, 461 U.S. 273, 287 (1983). “Because sovereign
immunity is jurisdictional in nature, Congress's waiver of it must be unequivocally expressed in
statutory text and will not be implied.” St. Tammany Parish, ex rel. Davis v. Fed. Emergency
Mgmt. Agency, 556 F.3d 307, 316 (5th Cir. 2009) (citations and internal quotation marks omitted).
It is the Plaintiffs' burden to demonstrate “Congress's unequivocal waiver of sovereign immunity.”
Id. at 315.
39
Where the Court lacks express waiver of sovereign immunity under the CWA, jurisdiction
may be based upon the Administrative Procedures Act, 5 U.S.C. § 702, citing Vieux Carre
Property Owners v. Brown, 875 F.2d 453 (5th Cir. 1989) cert. denied, 493 U.S. 1020, 110 S.Ct.
720, 107 L.Ed.2d 739 (1990). See also, Saveourselves, Inc. v. U.S. Army Corps of Engineers, No.
CIV. A. 90-637-A, 1991 WL 398773, at *1 (M.D. La. Feb. 27, 1991). Section 702 of the APA
provides in relevant part, “An action in a court of the United States seeking relief other than money
damages and stating a claim that an agency … failed to act in an official capacity or under color
of legal authority shall not be dismissed nor relief therein be denied on the ground that it is against
the United States[.]” 5 U.S.C. § 702. Thus, “Section 702 of the APA ‘waives sovereign immunity
for actions against federal government agencies, seeking nonmonetary relief, if the agency conduct
is otherwise subject to judicial review.’” Alabama-Coushatta Tribe of Tex., 757 F.3d at 488 (citing
Sheehan v. Army & Air Force Exch. Serv., 619 F.2d 1132, 1139 (5th Cir. 1980), rev’d on other
grounds, 456 U.S. 728, 102 S.Ct. 2118, 72 L.Ed. 2d 520 (1982)). The rule in numerous circuits
as well as the Fifth Circuit is that Section 702 is a waiver of immunity for causes of action against
federal agencies arising under 28 U.S.C. § 1331. See id. (citing Sheehan, 619 F.2d at 1139); see
also Rothe Dev. Corp. v. U.S. Dep’t of Def., 194 F.3d 622, 624 n. 2 (5th Cir. 1999)(quoting
Sheehan, 619 F.2d at 1139, for the proposition that “The 1976 amendment [to § 702] waives
sovereign immunity for actions against federal government agencies, seeking nonmonetary relief,
if the agency conduct is otherwise subject to judicial review.”)).
The Fifth Circuit has prescribed limits on the waiver of sovereign immunity contained in
Section 702. The Fifth Circuit has explained:
Section 702 contains two separate requirements for establishing a waiver of
sovereign immunity. See Lujan v. Nat’l Wildlife Fed’n, 497 U.S. 871, 882, 110
S.Ct. 3177, 111 L.Ed. 2d 695 (1990). First, the plaintiff must identify some ‘agency
action’ affecting him in a specific way, which is the basis of his entitlement for
40
judicial review. Id[.] This ‘agency action’ for the purposes of § 702 is set forth by
5 U.S.C. § 551(13). Second, the plaintiff must show that he has ‘suffered legal
wrong because of the challenged agency action, or is adversely affected or
aggrieved by that action within the meaning of a relevant statute.’ Lujan, 497 U.S.
at 883, 110 S.Ct. 3177 (internal quotation marks omitted). These requirements
apply to any waiver of sovereign immunity pursuant to § 702.
Section 702 also waives immunity for two distinct types of claims. It waives
immunity for claims where a ‘person suffer[s] legal wrong because of agency
action.’ 5 U.S.C. § 702. This type of waiver applies when judicial review is sought
pursuant only to the general provisions of the APA. There must be ‘final agency
action’ in order for a court to conclude that there was a waiver of sovereign
immunity pursuant to the first type of waiver in § 702. Lujan, 497 U.S. at 882, 110
S.Ct. 3177 (‘When, as here, review is sought not pursuant to specific authorization
in the substantive statute, but only under the general review provisions of the APA,
the ‘agency action’ in question must be ‘final agency action.’). Both Lujan and our
most applicable case, Sierra Club, applied specifically to situations where review
was sought pursuant only to the general provisions of the APA. See id.; Sierra
Club v. Peterson, 228 F.3d 559, 565 (5th Cir. 2000)(en banc).
Section 702 also waives immunity for claims where a person is ‘adversely affected
or aggrieved by agency action within the meaning of a relevant statute.’ 5 U.S.C.
§ 702. This type of waiver applies when judicial review is sought pursuant to a
statutory or non-statutory cause of action that arises completely apart from the
general provisions of the APA. See Sheehan, 619 F.2d at 1139; Trudeau, 456 F.3d
at 187. There is no requirement of ‘finality’ for this type of waiver to apply. See
Trudeau, 456 F.3d at 187. The requirement of ‘finality’ comes from § 704 and has
been read into § 702 in cases where review is sought pursuant only to the general
provisions of the APA. See Sierra Club, 228 F.3d at 565; Amer. Airlines, Inc. v.
Herman, 176 F.3d 283, 287 (5th Cir. 1999). Instead, for this type of waiver there
only needs to be ‘agency action’ as set forth by 5 U.S.C. 551(13). See Lujan, 497
U.S. at 882, 110 S.Ct. 3177.
Alabama-Coushatta Tribe of Texas, 757 F.3d at 489.
Here, Plaintiffs plead statutory violations of the CWA. Plaintiffs argue that the APA creates
jurisdiction over the alleged agency violations. (Doc. 28, p. 9). Plaintiffs imply that Section 702
of the APA waives immunity for Plaintiffs’ claims. Plaintiffs do not plead grievances of agency
action “completely apart” from the general provisions of the APA. Therefore, with regard to
sovereign immunity, the Court looks to waiver of immunity under Section 702 for the “claims
where a person suffer[ed] legal wrong because of agency action”. Alabama-Coushatta, 757 F.3d
41
at 489 (citing 5 U.S.C. § 702). As such, there must be “final agency action” in order for the Court
to conclude that there was a waiver of sovereign immunity. Alabama-Coushatta, 757 F.3d at 489
(citing Lujan, 497 U.S. at 882).
a.
Final agency action
Plaintiffs must first identify some sort of “agency action” as defined by 5 U.S.C. § 551(13),
which defines “agency action” as including “the whole or a part of an agency rule, order, license,
sanction, relief, or the equivalent or denial thereof, or failure to act”. This agency action must be
final. Second, Plaintiffs must show that they have suffered legal wrong because of the final agency
action or are adversely affected or aggrieved by the final agency action. Lujan, 497 U.S. at 88283.
Plaintiffs generally allege that the applicable rules have not been followed, nor applied
consistently; that excessive delay is a violation of the CWA; extending land use and restriction
beyond wetlands to restrict non-wetlands is a violation of the CWA; and refusing to delineate
specific boundaries for wetlands is a violation of the CWA. (Doc. 23, p. 31). Plaintiffs do not cite
to a specific agency rule or order. Plaintiffs more specifically allege that Defendants’ failure to
act upon its request for a jurisdictional determination or mapping of the wetlands on its tract of
land is unlawful. (Doc. 23, p. 32). Plaintiffs challenge the Corps’ cease-and-desist order, both on
the grounds that the CWA does not prohibit usual silviculture activities without a permit and
because the cease-and-desist order was issued without “the 2 (two) test determination”. Id.
Plaintiffs allege that the cease-and-desist order did not specifically identify the site at issue or the
specific conduct at issue. (Doc. 23, p. 33). Plaintiffs allege that the Corps failed to respond to its
permit application or issue a permit to Plaintiffs to construct “pure drinking water flow”. Id.
42
Plaintiffs specifically seek injunctive relief to limit “further damages to life and property” while
Plaintiffs proceed with seeking recovery “for damages”. (Doc. 23, p. 34).
In order for the agency action to qualify in the waiver of sovereign immunity analysis, a
specific agency action must be identified. Alabama-Coushatta, 757 F.3d at 491. The identified
agency actions must not be directed simply at “the federal agencies’ broad policies and practices”,
but rather be factually developed “by some concrete action applying the regulation to the
claimant’s situation in a fashion that harms or threatens to harm him”. Id. (citing Lujan, 497 U.S.
at 891). Additionally, a challenge to the agencies’ failure to act may be sufficiently final to make
review appropriate. Id. (citing Sierra Club, 228 F.3d at 568). See also, Alexander v. Trump, 753
Fed.Appx. 201 (5th Cir. 2018)(where allegations that the FBI failed to investigate in violation of
constitutional rights was found to be an agency action). See also, Hawkes Co., Inc. v. U.S. Army
Corps of Engineers, 782 F.3d 994, 999 (8th Cir. 2015)(“Jurisdictional determinations and
permitting decisions are discrete agency actions…”). Based on the allegations of the Complaint,
Plaintiffs specifically identified the Corps’ failure to act on their requests for a jurisdictional
determination and on their permit application. Also, Plaintiffs specifically identified the Corps’
cease-and-desist order, which qualifies as an agency action by definition. 5 U.S.C. § 551(13). The
Court finds that Plaintiffs sufficiently allege specific agency action that allegedly harmed
Plaintiffs. The issue then becomes whether the alleged agency action is considered “final agency
action”.
Final agency actions are actions which (1) “mark the consummation of the agency's
decision-making process,” and (2) “by which rights or obligations have been determined, or from
which legal consequences will flow.” Bennett v. Spear, 520 U.S. 154, 178, 117 S.Ct. 1154, 137
L.Ed.2d 281 (1997) (quotations omitted). The final action must be “an identifiable action or event.”
43
Lujan, 497 U.S. at 899, 110 S.Ct. 3177. Absent a specific and final agency action, the Court lacks
jurisdiction to consider a challenge to agency conduct. See American Airlines, 176 F.3d at 287. In
certain circumstances, agency inaction may be sufficiently final to make judicial review
appropriate. See 5 U.S.C. § 706(1) (allowing courts “to compel agency action unlawfully withheld
or unreasonably delayed”); Sierra Club v. Thomas, 828 F.2d 783, 792–96 (D.C.Cir.1987)
(discussing different forms of agency inaction). See Sierra Club v. Peterson, 228 F.3d 559, 568
(5th Cir. 2000)(suggesting that the failure of an agency to issue a land resource management plan
would constitute a final agency action). However, an agency action with which a party disagrees
cannot be “dressed up as an agency’s failure to act”. Sierra Club v. Peterson, 228 F.3d at 568
(citations omitted).
As set forth above in Section V(A)(1) regarding the ripeness of Plaintiffs’ regulatory
takings claim, this Court has previously found the cease-and-desist order to be a final agency
action. (Doc. 22, p. 21 (citing Lane v. Halliburton, 529 F.3d 548, 557 (5th Cir. 2008)). This Court
found that the cease-and-desist order had “legal consequences” and constituted the “consummation
of the agency’s decision-making process” with respect to factual and legal conclusions that
Plaintiffs wish to challenge, and, therefore, is a final order. (Doc. 22, pp. 21-23 (citing U.S. Army
Corps of Engineers v. Hawkes Co., __ U.S. __, 136 S.Ct. 1807, 1815 (2016); Frozen Food Express
v. United States, 351 U.S. 40, 44-45 (1956); Louisiana State v. United States Army Corps of
Engineers, 834 F.3d 574, 580-81 (5th Cir. 2016)).
With regard to Plaintiffs’ request for a jurisdictional determination or mapping of the
wetlands and permit application, jurisdictional determinations made by the Corps and permits
issued by the Corps with regard to the applicability of the CWA are considered a final agency
action. The issuance of a jurisdictional determination or permit produces “legal consequences”.
44
Texas v. Equal Employment Opportunity Commission, 2019 WL 3559629, *5 (5th Cir.
2019)(citing United States Army Corps of Engineers v. Hawkes Co., 136 S.Ct. 1807, 1814). Here,
the complaint of Plaintiffs is that the Corps failed to act upon the request for a jurisdictional
determination or mapping of the wetlands and failed to issue a permit. The definition of “agency
action” includes “the equivalent or denial” of “relief.” 5 U.S.C. § 551(13). “[A]gency action”
also includes “failure to act,” and the Supreme Court has explained that “failure to act” is properly
understood as a failure to take an agency action—that is, a failure to take one of the agency actions
(including their equivalents) defined in Section 551(13). Norton v. S. Utah Wilderness All., 542
U.S. 55, 62, 124 S.Ct. 2373, 159 L.Ed.2d 137 (2004).
In failing to conduct a hearing on Plaintiffs’ request for a jurisdictional determination and
failing to provide relief, act on the request, and issue the permit, the Corps’ alleged failure to act
and to provide relief or a remedy to Plaintiffs could be construed as a final agency action in and of
itself under the APA. However, as the Court has previously found, these “failures” by the Corps
consummated in the agency’s issuance of the cease-and-desist letter, a final decision and action.
b.
Suffered legal wrong; adversely affected or aggrieved
The second and final step in the waiver of sovereign immunity analysis is that Plaintiffs
must show that they have suffered legal wrong, were adversely affected or aggrieved by the final
agency action. Here, Plaintiffs allege that due to the cease-and-desist order, the Corps asserted
jurisdiction over 19 acres improperly, which prohibited Plaintiffs from using their land and rightof-ways. Plaintiffs claim they were “further aggrieved” when there was no response to their
request for a jurisdictional determination on this issue because it denied Plaintiffs the appeal rights
to have the error reviewed. The total time period over which Plaintiffs have “suffered the inability
to use their land” is four years. (Doc. 23, p. 16). Plaintiffs claim that they have sustained financial
45
loss from an inability to complete timber farming. There is also alleged “beetle damage” to land
that was not properly managed during this time. (Doc. 23, p. 20). Not only were Plaintiffs
allegedly affected and aggrieved by Defendants’ actions, but Plaintiffs plead that they were
“legally wronged” by Defendants’ “arbitrary and capricious” handling of the process, by not
issuing a jurisdictional determination prior to the cease-and-desist letter, by not conducting a
hearing, and by failing to respond in a timely fashion to the requests and permit application.
“The phrase ‘person adversely affected or aggrieved’ is a term of art used in many statutes
to designate those who have standing to challenge or appeal an agency decision, within the agency
or before the courts.” Dir., Office of Workers' Comp. Programs v. Newport News Shipbuilding &
Dry Dock Co., 514 U.S. 122, 126, 115 S.Ct. 1278, 131 L.Ed.2d 160 (1995). The terms “adversely
affected” and “aggrieved,” alone or in combination, have a long history in federal administrative
law, dating back at least to the Federal Communications Act of 1934, § 402(b)(2) (codified, as
amended, 47 U.S.C. § 402(b)(6)). They were already familiar terms in 1946, when they were
embodied within the judicial review provision of the Administrative Procedure Act (APA), 5
U.S.C. § 702, which entitles “[a] person ... adversely affected or aggrieved by agency action within
the meaning of a relevant statute” to judicial review. In that provision, the qualification “within
the meaning of a relevant statute” is not an addition to what “adversely affected or aggrieved”
alone conveys; but is rather an acknowledgment of the fact that what constitutes adverse effect or
aggrievement varies from statute to statute. The Supreme Court has interpreted Section 702 as
requiring a litigant to show, at the outset of the case, that he is injured in fact by agency action and
that the interest he seeks to vindicate is arguably within the “zone of interests to be protected or
regulated by the statute” in question. Association of Data Processing Service Organizations, Inc.
46
v. Camp, 397 U.S. 150, 153, 90 S.Ct. 827, 830, 25 L.Ed.2d 184 (1970); see also Clarke v. Securities
Industry **1284 Assn., 479 U.S. 388, 395–396, 107 S.Ct. 750, 754–755, 93 L.Ed.2d 757 (1987).
The relevant statute at issue here is the CWA. As set forth above in the preceding section
regarding whether Plaintiffs plead a plausible cause of action under the CWA, the statute and
jurisprudence support a plausible claim for injunctive and declaratory relief for persons
challenging a cease-and-desist order or the permitting process under the CWA. An inability to
utilize land and the resulting loss of financial resources due to the administrative actions and
findings of the Corps is a complaint of an injury or damages, and the interests that the Plaintiffs
seek to vindicate, those of the landowners, are within the zone of interests protected and regulated
by the CWA. The CWA states that it is “unlawful” to discharge pollutants into any navigable
waters. 33 U.S.C. § 1311(a). This is specifically what the Corps has ordered Plaintiffs to ceaseand-desist from doing. However, the CWA also provides that the discharge of fill materials from
normal silviculture activities is not prohibited by or subject to regulation.
33 U.S.C. §
1344(f)(1)(4). Plaintiffs contest the cease-and-desist order due to the “faulty” process by which it
was issued and the scope of the order since Plaintiffs alleged “normal silviculture activities” which
is not prohibited by regulation.
Plaintiffs also claim to have been harmed from the “final agency action” because of the
failure to obtain a jurisdictional determination or mapping of the wetlands. Plaintiffs aver and
believe that the Corps has mis-identified the wetlands area and tract of land at issue and made the
subject of the permit application. Federal regulations authorize the Corps’ engineers to issue
jurisdictional determinations stating whether waters or wetlands are present on a particular parcel.
33 C.F.R. §§ 325.9; 331.2.
47
As this matter is before the Court on a Rule 12(b)(6) motion, the Court finds that Plaintiffs
have sufficiently plead an effect or aggrievement as a result of a final agency action that is within
the zone of protection afforded by the CWA. Plaintiffs have plead facts sufficient to support a
finding of a waiver of sovereign immunity under Section 702 of the APA. As such, Defendants’
motion with regard to Count VI of Plaintiffs’ complaint is denied.
VI.
CONCLUSION
For these reasons, IT IS ORDERED that Defendants’ Motion for Partial Dismissal of First
Amended Complaint (Doc. 26) is GRANTED IN PART and DENIED IN PART. Particularly,
with regard to Count I, the motion to dismiss the regulatory taking claim under Rule 12(b)(1) is
GRANTED, and this claim is dismissed without prejudice; the motion to dismiss the procedural
due process claims under Rule 12(b)(6) is DENIED as to the silviculture rights and GRANTED
as to the right to access drinking water. The motion is DENIED AS MOOT with regard to Count
III (equitable estoppel) and Count IV (unreasonable delay claims adverse to the EPA). The motion
with regard to Count VI is DENIED.
Signed in Baton Rouge, Louisiana, on September 25, 2019.
S
JUDGE JOHN W. deGRAVELLES
UNITED STATES DISTRICT COURT
MIDDLE DISTRICT OF LOUISIANA
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