Conservation Law Foundation, Inc. v. Plourde Sand and Gravel Co., Inc.
Filing
40
///ORDER denying 32 defendant's Motion to Dismiss. So Ordered by Judge Steven J. McAuliffe.(lat)
UNITED STATES DISTRICT COURT
DISTRICT OF NEW HAMPSHIRE
Conservation Law Foundation, Inc.,
Plaintiff
v.
Case No. 13-cv-214-SM
Opinion No. 2014 DNH 235
Plourde Sand and Gravel Co., Inc.,
Defendant
O R D E R
This is a citizen suit brought by the Conservation Law
Foundation (“CLF”).
CLF alleges that Plourde Sand and Gravel
Co., Inc. (“Plourde”) violated the Federal Water Pollution
Control Act (the “Clean Water Act,” the “Act,” or “CWA”), 33
U.S.C. § 1251 et seq., by discharging storm water associated with
its industrial activities, as well as other pollutants, into
waters of the United States.
Specifically, CLF alleges in count
I that Plourde has been discharging pollutants from at least one
point source into the Merrimack River, without authorization
under a valid National Pollution Discharge Elimination System
(“NPDES”) permit as required by the CWA.
In count II, CLF
alleges that Plourde violated the CWA by failing to obtain either
an individual NPDES permit or coverage under the Multi-Sector
General Permit issued by the Environmental Protection Agency (the
“EPA”).
In count III, CLF alleges that Plourde violated the CWA
by failing to comply with its permit requirements.
CLF seeks
declaratory and injunctive relief, as well as civil penalties,
costs, and attorney’s fees.
Plourde moves to dismiss CLF’s complaint pursuant to Rules
12(b)(1) and 12(b)(6)1 of the Federal Rules of Civil Procedure,
arguing that CLF has not alleged sufficient facts to demonstrate
that it has constitutional standing to maintain this lawsuit, and
it has not complied with the statutory preconditions to filing
suit.
Because CLF has pled sufficient facts in its complaint, as
supplemented by the declaration of one of its members, to support
associational standing to pursue its claims, and has sufficiently
complied with the notice provisions described in 33 U.S.C.
§ 1365(b)(1) and 40 C.F.R. § 135.3(a), the motion to dismiss
(document no. 32) is denied.
Background
Plourde operates a sand and gravel processing facility in
Hooksett, New Hampshire, near the Merrimack River.
1
CLF is a
Although Plourde purports to move to dismiss based on Rule
12(b)(6) in addition to Rule 12(b)(1), because Plourde addresses
its motion and supporting papers to its Rule 12(b)(1) (lack of
jurisdiction for, in this case, lack of constitutional and
statutory standing), this order speaks only to Plourde’s standing
arguments.
2
regional non-profit organization with more than 4,000 members,
including more than 450 members in New Hampshire, dedicated to
protecting the environment, including protecting New Hampshire’s
waterways from the significant adverse water quality impacts of
storm water pollution.
CLF alleges in its complaint that Plourde maintains earth
material piles — including sand, gravel, overburden, raw
materials, intermediate product, finished product, by-product,
and waste product — at its facility.
CLF further asserts that
Plourde engages in industrial activities, such as storing,
moving, and processing materials using heavy machinery and
equipment, and that the materials, heavy machinery and equipment,
maintenance areas, loading areas, shipping areas, vehicles, and
onsite refueling of activities, are all exposed to storm water
and snow-melt, and on occasion, equipment and material may be
sprayed down with water under certain conditions.
When the industrial materials and equipment located at
Plourde’s facility are exposed to storm water, says CLF, the
water becomes contaminated with dust, suspended solids, dissolved
solids, fines, hydrocarbons (oil, grease, and fuel), heavy
metals, sediment, road salt, trash, and other pollutants.
The
polluted water is then discharged, CLF alleges, via various point
3
sources, such as site grading, surface water channels, subsurface
hydrological connections, and detention ponds, into two surfacewater wetlands complexes located in the northeasterly and
southeasterly areas of Plourde’s facility.
CLF claims that the
south detention pond-wetlands discharges polluted water into the
Merrimack River via surface water flows and a culvert, and the
north detention pond-wetlands discharges polluted water into the
Merrimack River via surface water flows and a man-made conduit.
CLF contends that these activities harm both its
organization, whose interest is protection of New England’s and
New Hampshire’s environment and waterways, and its members, who
use and enjoy New England's and New Hampshire's waterways,
including waters of the United States affected by Plourde’s
industrial activities, such as the Merrimack River, for
recreational and aesthetic purposes, including boating, swimming,
fishing, hunting, and sightseeing.
In addition to the allegations in CLF’s complaint, CLF also
offers a declaration from one of its members, Mark Feigl, of
Concord, New Hampshire, who regularly makes use of the
approximately four mile stretch of the Merrimack River in the
area of Plourde’s facility to swim, canoe, and hunt.
Feigl
states in his declaration that he is “concerned ab[o]ut the water
4
quality and overall environmental health of the river . . ., the
surrounding tributaries, streams, wetlands, and ponds that may
flow into the Merrimack River.”
He also expressed “concerns”
that the river is not safe for his daughter, his dog, or himself,
and he limits the quantity of duck harvested from the Merrimack
River and ponds near the Plourde facility that he serves friends
and family.
CLF claims that Plourde’s alleged discharge of pollutants
into the detention ponds, wetlands, and eventually the Merrimack
River without obtaining a permit violates the CWA.
The CWA
prohibits the “discharge of any pollutant” into navigable waters
from any “point source” without an NPDES permit.
§ 1311(a); 40 C.F.R. § 122.2.
33 U.S.C.
“Discharge of a pollutant”
includes “surface runoff which is collected or channelled by
man.”
40 C.F.R. § 122.2.
“Point source” is defined broadly to
mean “any discernible, confined, and discreet conveyance,
including but not limited to any pipe, ditch, channel, tunnel,
conduit, well, discreet fissure, container, rolling stock,
concentrated animal feeding operation, landfill leachate
collection system, vessel or other floating craft from which
pollutants are or may be discharged.”
2
Id.2
“Pollutants” include
The definition of “point source” expressly excludes
“agricultural storm water runoff,” but does not exclude “storm
water discharge associated with industrial activity.” See
5
“solid waste, incinerator residue, filter backwash, . . .
garbage, . . . chemical wastes, . . . wrecked or discarded
equipment, rock, sand, cellar dirt and industrial, municipal, and
agricultural waste discharged into water.”
Id.
Additionally, the CWA requires a permit for “a discharge
associated with industrial activity.”
33 U.S.C. § 1342(p)(2)(B).
The EPA regulations implementing this section provide that
“[s]torm water discharge associated with industrial activity
means the discharge from any conveyance that is used for
collecting and conveying storm water and that is directly related
to manufacturing, processing or raw materials storage areas at an
industrial plant.”
40 C.F.R. § 122.26(a), (b)(14).
CLF asserts that Plourde is in violation of the CWA because
it is discharging storm water associated with its industrial
activities, and other pollutants as described above, without
first obtaining (and complying with) an NPDES permit.
Since the
CWA was amended in 1987, it has required that facilities engaged
in certain industrial activities, such as Plourde’s, obtain storm
water discharge permits.
33 U.S.C. §§ 1342(a)(1), 1342(p)(2),
1342(p)(3)(A), 1342(p)(4), 1342(p)(6).
§ 122.2.
6
The CWA authorizes a “citizen” defined as “a person or
persons having an interest which is or may be adversely
affected,” to file suit to enforce the CWA’s permitting
requirements.
33 U.S.C. §§ 1365(a), (g).
The statute and its
implementing regulations impose a notice requirement on citizen
suits requiring a would-be plaintiff to give notice of the
alleged violation to the EPA, the State in which the alleged
violation occurred, and the alleged violator, at least sixty days
before filing a citizen suit.
Id. at § 1365(b)(1)(A).
In an effort to comply with the statutory notice
requirement, CLF sent Plourde, the EPA Administrator, and the
Commissioner of the New Hampshire Department of Environmental
Services (“NHDES”) a letter on December 3, 2012.3
Receiving no
adequate response from Plourde, and the EPA and NHDES having not
filed any enforcement action, CLF filed suit on May 1, 2013.
3
CLF sent a second letter alleging a separate violation of
the CWA to Plourde, the EPA, and the NHDES on December 23, 2013.
Plourde argues that CLF should not be permitted to rely on that
letter to satisfy the statutory notice requirement because it was
filed post-suit, and as such, the suit should be dismissed as
premature. (Plourde Br. at 16-17.) CLF explained that the
second notice consisted of different, additional allegations
involving “process wastewater” rather than “storm water discharge
associated with industrial activity.” CLF has not attempted to
rely on its allegations in the second letter to support either
constitutional standing or statutory compliance in this suit, nor
has CLF sought to amend its complaint to include the additional
allegations. Consequently, I have not considered the December
23, 2013 letter.
7
Plourde now moves to dismiss the suit because it claims CLF lacks
Article III standing and has not adequately complied with the
statutory notice requirements.
Standard of Review
In deciding a motion to dismiss for lack of standing under
Federal Rule of Civil Procedure 12(b)(1), a court must “accept as
true all well-pleaded factual averments in the plaintiff’s
complaint and indulge all reasonable inferences therefrom in his
favor.”
Katz v. Pershing, LLC, 72 F.3d 64, 70 (1st Cir. 2012)
(internal quotation marks omitted).
In determining whether a
plaintiff has sufficiently alleged its standing to sue, a court
may consider affidavits and other such materials outside the
pleadings.
Cir. 2002).
Gonzalez v. United States, 284 F.3d 281, 287-88 (1st
“[A] suit will not be dismissed for lack of standing
if there are sufficient allegations of fact . . . in the
complaint or supporting affidavits.”
Gwaltney of Smithfield,
Ltd. v. Chesapeake Bay Found., Inc., 484 U.S. 49, 65 (1987)
(internal quotations omitted).
Allegations of standing, even in the context of a motion to
dismiss, must be reasonably definite, factual, and relate either
directly or inferentially to each material element necessary to
establish standing.
See United States v. AVX Corp., 962 F.2d
8
108, 115 (1st. Cir. 1992) (rejecting “conclusory allegations” and
“generalized averments” of standing and requiring “reasonably
definite factual allegations, either direct or inferential,
regarding each material element needed to sustain standing”); see
also Ashcroft v. Iqbal, 556 U.S. 662, 678 (2009).
Constitutional Standing
Associational Standing
“The ingredients of standing are imprecise and not easily
susceptible to concrete definitions or mechanical applications.”
Dubois v. United States Dep’t of Agric., 102 F.3d 1273, 1280 (1st
Cir. 1996) (citing Allen v. Wright, 468 U.S. 737, 751 (1984)).
To have standing to sue, a plaintiff must have “such a personal
stake in the outcome of the controversy as to assure that
concrete adverseness which sharpens the presentation of issues
upon which the court so largely depends for illumination of
difficult . . . questions.”
Dubois, 102 F.3d at 1280 (quoting
Baker v. Carr, 369 U.S. 186, 204 (1962)).
“Standing consists of both a constitutional aspect and a
prudential aspect.
The constitutional dimension derives from the
requirement that federal courts can act only upon a justiciable
case or controversy.”
Const. art. III).
Dubois, 102 F.3d at 1280-81 (citing U.S.
“If a party lacks Article III standing to
9
bring a matter before the court, the court lacks subject matter
jurisdiction to decide the merits of the underlying case” and
must dismiss it.
Dubois, 102 F.3d at 1281 (citing FW/PBS, Inc.
v. City of Dallas, 493 U.S. 215, 231 (1990)).
To satisfy the constitutional aspect of standing, a
“plaintiff must demonstrate standing for each claim he seeks to
press and for each form of relief that is sought.”
Davis v.
F.E.C., 554 U.S. 724, 734 (2008) (internal quotations omitted).
To carry this burden, the plaintiff must show that “(1) it has
suffered an injury in fact that is (a) concrete and
particularized and (b) actual or imminent, not conjectural or
hypothetical; (2) the injury is fairly traceable to the
challenged action of the defendant; and (3) it is likely, as
opposed to merely speculative, that the injury will be redressed
by a favorable decision.”
Friends of the Earth, Inc. v. Laidlaw
Envtl. Servs. (TOC), Inc., 528 U.S. 167, 180-81 (2000).
As an
exception to the general prudential rule that a party must assert
its own legal rights and not those of third parties, an
“association has standing to bring suit on behalf of its members
when its members would otherwise have standing to sue in their
own right, the interests at stake are germane to the
organization's purpose, and neither the claim asserted nor the
10
relief requested requires the participation of individual members
in the lawsuit.”
Id. at 181.4
CLF Sufficiently Alleges Standing at the Motion to Dismiss Stage
Plourde challenges whether CLF has alleged “an injury-infact fairly traceable to Plourde” sufficient to establish
associational standing.
Plourde does not argue that the
interests at stake are not germane to CLF’s purpose, or that the
participation of individual CLF members is necessary to the
lawsuit, or that the relief CLF seeks will not redress its
alleged harm.
Our court of appeals has recognized that the injury-in-fact
component of the constitutional standing analysis “may be
satisfied by environmental or aesthetic injuries.”
Dubois v.
United States Dep’t of Agric., 102 F.3d 1273, 1281 (1st Cir.
1996) (citing United States v. Students Challenging Regulatory
Agency Procesures (SCRAP), 412 U.S. 669, 686 (1973); Sierra Club
v. Morton, 405 U.S. 727, 734 (1972)).
Further, the injury
alleged “need not be ‘significant’; a ‘small’ stake in the
outcome will suffice if it is ‘direct.’”
1281.
Dubois, 102 F.3d at
The Supreme Court has likewise held “that environmental
4
Plourde does not contest the prudential aspect of standing
that a “plaintiff’s complaint fall within the zone of interests
protected by the law invoked.” Id. at 1281.
11
plaintiffs adequately allege injury in fact when they aver that
they use the affected area and are ‘persons for whom the
aesthetic and recreational values of the area will be lessened’
by the challenged activity.”
Laidlaw, 528 U.S. at 183 (quoting
Sierra Club v. Morton, 405 U.S. 727, 735 (1972); citing Lujan v.
Defenders of Wildlife, 504 U.S. 555, 562-63 (1992) (“Of course,
the desire to use or observe an animal species, even for purely
esthetic purposes, is undeniably a cognizable interest for
purposes of standing.”).
Further, the “relevant showing for purposes of Article III
standing . . . is not injury to the environment but injury to the
plaintiff.”
Laidlaw, 528 U.S. at 704.
That is because to
“insist upon the former rather than the latter as part of the
standing inquiry . . . is to raise the standing hurdle higher
than the necessary showing for success on the merits in an action
alleging noncompliance with an NPDES permit.”
Id.
In Dubois, an environmental organization and an individual
alleged, in relevant part, that the Department of Agriculture
failed to require the operator of a ski resort to obtain an NPDES
permit, in violation of the CWA, prior to discharging water
allegedly containing pollutants into waters of the United States.
Dubois, 102 F.3d at 1277.
The court of appeals agreed with the
12
district court’s determination that the organizational plaintiff
sufficiently alleged standing when it asserted that its members
who lived and worked in the vicinity of the ski area would be
harmed by the proposed expansion of its activities.
Id. at 1281.
The organization supported its allegations with affidavits from
members who claimed that they lived in the town where the resort
was located, used the town's water supply system, which relied in
part on a pond at issue as a water source, and made regular
recreational use of the area in which the expansion would occur.
They also alleged that they would be directly affected by “noise,
water quality, taxes, conversion of forested areas, impacts [on]
wildlife and a degradation of the visual quality of the town if
[the resort] is allowed to expand.”
Dubois v. United States
Dep’t of Agric., No. 95-50, 1995 U.S. Dist. LEXIS 16608, at *2
(D.N.H. Nov. 2, 1995).
The court of appeals determined that the individual
plaintiff had standing when he alleged that:
[his] principal residence from 1959-1977 was
in Lincoln, New Hampshire. [He] has returned
to the Lincoln area at least once per year —
and occasionally up to twelve or more times
per year — since 1977. During these trips,
[he] has visited relatives and friends,
collected botanical samples for scientific
analysis, and engaged in recreational
activities in and around the [White Mountain
National Forest] and the Loon Mountain Ski
Area. Plaintiff’s interest in the
environmental, recreational and aesthetic
13
quality of the [White Mountain National
Forest] are and will be adversely affected by
the Defendants’ actions challenged in this
Complaint.
Dubois, 102 F.3d at 1282.
Similarly, in the Supreme Court’s decision in Laidlaw, one
association member averred in an affidavit “that he lived a halfmile from [the defendant’s] facility; that he occasionally drove
over the [river at issue], and that it looked polluted; and that
he would like to fish, camp, swim, and picnic in and near the
river between 3 and 15 miles downstream from the facility, as he
did when he was a teenager, but would not do so because he was
concerned that the water was polluted by [the defendant’s]
discharges.”
Laidlaw, 528 U.S. at 181.
Arguing, here, that CLF fails to allege an injury-in-fact,
Plourde contends that CLF “claims violations” of the CWA “but
points to no actual environmental harm.”
(Def.’s Br. at 1.)
But, requiring CLF to show environmental harm in order to
establish standing, would “raise the standing hurdle higher than
the necessary showing for success on the merits.”
528 U.S. at 704.
See Laidlaw,
CLF need not allege environmental harm to
establish standing, only harm to its and its members’ interests.
See id.
14
Plourde further contends that the allegations of injury in
CLF’s complaint are too general and specious to satisfy the
requirements of Article III standing.
In its complaint, CLF
alleges:
Plaintiff, CLF, is a nonprofit, membersupported organization incorporated under the
laws of Massachusetts with an office at 27
North Main Street, Concord, NH 03301 . . . .
CLF is a regional organization with more than
4,000 members, including more than 450
members in New Hampshire, and is dedicated to
protecting New England’s environment. CLF
has a long history of working to protect the
health of New England’s and New Hampshire’s
waterways, including addressing the
significant water quality impacts of
stormwater [sic] pollution. CLF members use
and enjoy New England’s and New Hampshire’s
waterways for recreational and aesthetic
purposes, including boating, swimming,
fishing, hunting, sightseeing, including but
not limited to waters of the United States
affected by Plourde Sand and Gravel’s
activities, including the Merrimack River.
CLF actively seeks federal and state agency
implementation of the Clean Water Act and,
where necessary, directly initiates
enforcement actions on behalf of itself and
its members.
Discharges of pollutants by Defendant
adversely affect CLF members’ use and
enjoyment of water resource, including but
not limited to the Merrimack River. The
interests of CLF’s members have been, are
being, and will continue to be adversely
affected by Defendant’s failure to comply
with the Clean Water Act and the Multi-Sector
General Permit. The relief sought in this
action will redress these harms. The
unlawful acts and omissions described herein
have irreparably harmed and will continue to
irreparably harm Plaintiff’s members, for
15
which harm they have no plain, speedy, or
adequate remedy at law.
(Compl. at ¶¶ 12-13.)
Standing alone, the allegations fail to
identify any CLF member by name, specify that its members use a
portion of the Merrimack River within reasonable proximity to
Plourde’s facility, or state how frequent its members use that
particular portion of the Merrimack River, and may fall short of
the level of specificity required under Iqbal, Laidlaw, Dubois,
and the court of appeals’ decision in United States v. AVX Corp.,
962 F.2d 108, 116-17 (1st Cir. 1992).
In AVX Corp., the court held that the plaintiff’s
allegations of injury in fact were insufficient where the
organization alleged that its “members have been and will
continue to be harmed by the releases” at issue in the case, but
no organization members were identified, their places of abode
were not provided, and “the extent and frequency of any
individual use of the affected resources [was] left open to
surmise.”
Id.
The allegations in CLF’s complaint are similar to
the plaintiff’s allegations in AVX Corp. held to be insufficient
to establish an injury-in-fact.
However, it is not necessary to decide whether the
allegations in CLF’s complaint, without more, adequately allege
16
an injury-in-fact fairly traceable to Plourde because, unlike the
plaintiff in AVX Corp., CLF also submitted the declaration of one
of its members, Mark Feigl.
In that declaration, Feigl alleges
that he has lived in Concord for fourteen years and that he
joined CLF prior to its filing this lawsuit.
Feigl alleges that
“it is [his] hope and intention to continue to use the Merrimack
River in this area for many years to come,” but that he is
“concerned with the water quality of the Merrimack River and its
tributaries”.
He alleges that he has “canoed, swam, duck hunted,
performed retrieving drills with [his] dogs Willow and Daisy, and
picked up trash with [his] daughters on the section of the
Merrimack River between the Merrimack Station coal-fired Electric
Generation Plant and the Hooksett Dam” and that due to his
activities along the section of the Merrimack River that includes
the area adjacent to and just downstream from Plourde, he is
“concerned about the water quality and the overall environmental
health of the river as well as the surrounding tributaries,
streams, wetlands and ponds that may flow into the Merrimack
River.”
Feigl asserts that he has hunted duck on the Merrimack River
for years near Plourde’s facility.
He says that he has seen
ducks on a pond on Plourde’s property, but, because he
understands that Plourde is discharging storm water associated
17
with its industrial activities into the Merrimack River, and
other waters of the United States, he is concerned that the river
is not clean and safe in that area.
Consequently, Feigl limits
the consumption of ducks harvested from that section of the river
near Plourde’s facility.
Feigl also states that he would enjoy
his use of the Merrimack River more if “it was less polluted and
if industrial facilities such as Plourde’s complied with the
Clean Water Act and reduced their pollution.”
Like the association members’ contentions in Laidlaw and
Dubois, and the individual plaintiff’s allegations in Dubois,
Feigl’s allegations sufficiently establish that he, as a CLF
member, has suffered actual injury under the law.
Consequently,
CLF has satisfied the “injury-in-fact” requirement of Article III
standing.
Plourde next contends that even if CLF has adequately
pleaded an injury-in-fact, that injury is not “fairly traceable”
to Plourde.
Plourde relies upon CLF v. Public Serv. Co., No. 11-
353, 2012 U.S. Dist. LEXIS 13881, at *12-*13 (D.N.H. Sept. 27,
2012) for the proposition that CLF cannot show that the injury
alleged by CLF and its member is “fairly traceable” to Plourde
because CLF does not allege that Plourde would discharge less
18
polluted water if it had obtained and complied with one of the
required permits.
Plourde’s analogy misses the mark.
In CLF v. Public Serv. Co., the defendant was not required
to have a permit for the regular operation or the preexisting
emissions of its power plant.
See id. at *12-13.
Rather, the
obligation to obtain a permit arose because the defendants’
planned changes and repairs to the plant would allegedly cause an
increase in emissions.
Id.
Therefore, in order to show that
plaintiff’s injuries were “fairly traceable” to the defendant’s
allegedly illegal activity — increasing its emissions without the
required permits — plaintiff in that case needed to allege that
its members were exposed to more pollutants than they would have
been had the defendant obtained the proper permits — because,
otherwise, the plaintiff’s members’ harm would have resulted from
the same pollution the defendant was allowed to emit without a
permit.
Id. at *21-*22.
A plaintiff alleging permitting violations under the CWA,
however, is not required to demonstrate, or even allege, that the
defendant's discharge of pollutants would be any less had it
obtained a permit in order to sufficiently allege standing, or
even state a claim under the CWA.
1281-83, 1296.
See Dubois, 102 F.3d at
In Dubois, the court recognized that the “most
19
important component of the [CWA] is the requirement that an NPDES
permit be obtained” before discharging pollutants from any point
source into waters of the United States.
Id. at 1294, 1296.
That interpretation is confirmed by the Supreme Court and the
statutory language itself.
See 33 U.S.C. § 1342(p) (requiring a
permit for “discharge associated with industrial activity”);
Laidlaw, 528 U.S. at 174 (stating “Noncompliance with a permit
constitutes a violation of the [CWA]”).
In this case, brought under the CWA, CLF alleges that
Plourde’s discharge of any storm water associated with industrial
activity and pollutants is illegal activity because Plourde is
required to obtain a permit to discharge any amount.
CLF and its
member have sufficiently alleged injury as set out above.
Since
CLF has adequately alleged that Plourde is, without the requisite
permit, discharging pollutants from point sources, including site
grading, surface water channels, subsurface hydrological
connections, and detention ponds, into waters of the United
States, and that the unlawful discharges have caused it and its
members harm, CLF has also sufficiently alleged, at least at the
pleading stage, that its injury is “fairly traceable” to
Plourde’s allegedly illegal conduct.
20
Therefore, CLF’s allegations that Plourde is discharging
storm water and pollutants into waters of the United States,
including the Merrimack River, without obtaining and complying
with the required permit, and that these illegal discharges harm
at least one of its identified members, are sufficient, at this
stage, to confer constitutional standing.
Statutory Standing
In addition to Article III standing, CLF must also have
statutory standing to assert a CWA claim.
See 33 U.S.C.
§ 1365(b)(1)(A); Paolino v. JF Realty, LLC, 710 F.3d 31, 33-34
(1st Cir. 2013).5
Under the CWA, at least sixty days before
filing a citizen suit, a would-be plaintiff must provide written
notice to the would-be defendant, the EPA Administrator, and the
State in which the alleged violation occurred.
Id.
Our court of
appeals has held that the “required contents of pre-suit notice
are prescribed in 40 C.F.R. § 135.3, and assessing whether these
requirements have been met is a functional, fact-dependent, and
case-specific inquiry.
Where the information contained in
pre-suit notice identifies the potential plaintiffs, provides
basic contact information, and allows the putative defendants to
5
The court of appeals declined to hold that the notice
requirements of the CWA are strictly jurisdictional. See
Paolino, 710 F.3d at 35 n.4. However, the court there held that
the notice provisions are “mandatory conditions precedent to the
filing of a citizen suit.” Id.
21
identify and remedy the alleged violations, we hold that these
requirements have been satisfied and that the enforcement action
may proceed.”
Paolino, 710 F.3d at 34.
“In Gwaltney of Smithfield, Ltd. v. Chesapeake Bay
Foundation, Inc., 484 U.S. 49, 59-60 (1987), the Supreme Court
explained that the CWA’s pre-suit notice requirements serve two
purposes, each related to the supplementary role Congress
envisioned for citizen enforcement actions.
First, pre-suit
notice allows federal and state agencies to initiate their own
enforcement action against an alleged violator, obviating the
need for a citizen suit.”
Paolino, 710 F.3d at 36 (citing
Gwaltney of Smithfield, Ltd., 484 U.S. at 59-60; see also 33
U.S.C. § 1365(b)(1)(B) (barring citizen suits where “the
Administrator or State has commenced and is diligently
prosecuting” its own civil or criminal action)).
“Similarly, the
second purpose of notice ‘is to give [the alleged violator] an
opportunity to bring itself into complete compliance with the Act
and thus likewise render unnecessary a citizen suit.’”
Paolino,
710 F.3d at 36-37 (quoting Gwaltney, 484 U.S. at 60; see also
Hallstrom v. Tillamook Cnty., 493 U.S. 20, 29 (1989) (relying on
Gwaltney in identifying same purposes for parallel notice
requirements under the Resource Conservation and Recovery Act)).
22
Congress tasked the EPA to determine what information a presuit notice letter must contain to achieve its dual purposes.
See Paolino, 710 F.3d at 37 (citing 33 U.S.C. § 1365(b)).
“In
the CWA’s legislative history, Congress clarified that [the
EPA’s] implementing regulations ‘should not require notice that
places impossible or unnecessary burdens on citizens but rather
should be confined to requiring information necessary to give a
clear indication of the citizens' intent.’”
Paolino, 710 F.3d at
37 (quoting S. Rep. No. 92-414, at 80 (1971), reprinted in 1972
U.S.C.C.A.N. 3668, 3745).
The applicable regulations provide
that pre-suit notice must contain “sufficient information to
permit the recipient to identify the specific standard,
limitation, or order alleged to have been violated, the activity
alleged to constitute a violation, the person or persons
responsible for the alleged violation, the location of the
alleged violation, the date or dates of such violation, and the
full name, address, and telephone number of the person giving
notice.”
40 C.F.R. § 135.3(a).
In this circuit, the “key language in § 135.3(a) is that
pre-suit notice must permit ‘the recipient’ to identify the
listed information, i.e., the specific standard at issue, the
dates on which violations of that standard are said to have
occurred, and the activities and parties responsible for causing
23
those violations.”
Paolino, 710 F.3d at 37.
The necessary
inquiry is “whether the notice’s contents place the defendant in
a position to remedy the violations alleged.”
original).
Id. (emphasis in
Further, the court in Paolino explained that the
“adequacy of the information contained in pre-suit notice will
depend upon, inter alia, the nature of the purported violations,
the prior regulatory history of the site, and the actions or
inactions of the particular defendants.”
Id.
In Paolino, the court stated that where, as in this case,
“the alleged violations concern the unlawful discharge of
pollutants,” some courts have required that pre-suit notice
letters identify the particular pollutants being discharged.
Paolino, 710 F.3d at 37.
However, because the standard was so
clearly met in that case, the court declined to address whether
that holds true in every case alleging the discharge of
pollutants.
Id.
The court there also provided that “in many cases, there
must be sufficient facts asserted about the mechanisms and
sources involved in these unlawful discharges so that the
defendants may take appropriate remedial action,” but recognized
that a pre-suit notice letter could be sufficient where it
asserted a specific permit that was violated but failed to assert
24
specific point sources for each alleged discharge.
Paolino, 710
F.3d at 37-38 (citing Friends of the Earth, Inc. v. Gaston Copper
Recycling Corp., 629 F.3d 387, 401 (4th Cir. 2011); Atl. States
Legal Found., Inc. v. Stroh Die Casting Co., 116 F.3d 814, 819-20
(7th Cir. 1997)).
In Paolino, the pre-suit notice identified sections of the
CWA that plaintiffs alleged the defendant violated and stated
that the violations consisted of holding a permit in the wrong
name and “continually discharging pollutants into United States
waters.”
Paolino, 710 F.3d at 39.
The plaintiffs alleged that
defendant was discharging hazardous storm water runoff via a
drainage ditch that flowed through the plaintiffs’ property into
waters of the United States.
Id.
The plaintiffs further set out
a list of dates and water levels that plaintiffs tested on their
own property that allegedly exceeded allowable levels.
Id.
While CLF’s pre-suit notice in this case is not as specific
as the notice provided by the plaintiffs in Paolino, the court of
appeals has recognized that the CWA does not require a plaintiff
to “list every specific aspect or detail of every alleged
violation, or describe every ramification of a violation,”
Paolino, 710 F.3d at 38.
25
CLF’s pre-suit letter was delivered to Plourde, the EPA
Administrator, and the Commissioner of the New Hampshire
Department of Environmental Services, as required by the
regulation.
See 33 U.S.C. 1365(a).
The letter identified “the
specific standard [or] limitation” violated as well as the
activity alleged to be in violation,” 40 C.F.R. § 135.3(a).
The
letter asserted that Plourde “is discharging storm water directly
associated with the construction sand and gravel site at 591 West
River Rd., Hooksett, NH 03106 . . . to the waters of the United
States without a permit, in violation of 33 U.S.C. §§ 1311(a) and
1342(p)(2)(B) [and] failed to obtain coverage under any [CWA]
permit including the Multi-Sector General Permit adopted by the
EPA for industrial sources of polluted storm water runoff, and
failed to comply with the specific requirements of any such
permit, in violation of 33 U.S.C. §§ 1342(p)(3)(A) and (p)(4)(A),
and 40 C.F.R. §§ 122.26(c)(1) and (e)(1).”
Letter from Zachary
K. Griefen, CLF, to Oscar P. Plourde et al., Plourde Sand and
Gravel Co., Inc. (Dec. 3, 2012) (“Dec. 3, 2012 Letter”) at 1
(document no. 1-1).
CLF also alleged in its notice letter that the point where
Plourde discharged storm water associated with industrial
activities into the Merrimack River, and just downstream from
that point, is impaired under the CWA “for failure to meet
26
minimum water quality standards,” because it is impaired for
mercury, aluminum, dissolved oxygen saturation, pathogens, and
pH, to which “storm water is a significant contributor.”
It
further asserted that Plourde is discharging pollutants,
including dust, total suspended solids, total dissolved solids,
diesel and gas fuel, oil, heavy metals, and trash, and “storm
water discharge associated with industrial activity,” as defined
by the CWA and its implementing regulations “through at least the
following point sources: the sand and gravel piles that are open
to the elements; the machines and equipment left outdoors, and
the vehicles driving on and off [Plourde’s facility], while
additionally conveying pollutants through site grading, surface
water channels, subsurface hydrological connections, detention
ponds, culverts, and other conveyances to the Merrimack River.”
Dec. 3, 2012 Letter at 2-4.
The letter went on to inform Plourde of the steps it could
take to remedy its violations.
Id. at 5-7.
The letter identified Plourde Sand and Gravel Co., Inc., and
its officers and directors, including Oscar P. Plourde, as “the
person responsible for the alleged violation.”
It identified the
Plourde Sand and Gravel facility “located at 519 West River Rd.,
Hooksett, NH 03106" as “the location of the alleged violation.”
27
Dec. 3, 2012 Letter at 1-2.
It identified “every day since at
least 2007 on which there has been a measurable precipitation
event” as “the date of dates of [the] violation.”
Id. at 8.
The
court of appeals has suggested that such notice of times is
compliant.
Paolino, 710 F.3d at 38 (citing Waterkeepers N. Cal.
v. AG Indus. Mfg., Inc., 375 F.3d 913, 917-18 (9th Cir. 2004)).
Finally, the letter is signed by and provides “the full name and
address of the person giving notice,” a CLF attorney.
Id. at 9.
Plourde complains that CLF’s pre-suit notice letter contains
both too much information and too little detail.
Plourde
concedes that CLF’s notice letter provides lists of pollutants
and point sources that all allegedly conveyed pollutants into the
Merrimack River, but charges that the notice is “bereft of any
particularized facts” that would allow Plourde to remedy the
alleged violations, such as one specific mechanism by which
Plourde allegedly discharges pollutants into United States
waters.
Plourde cites to a case in which the plaintiff, an
individual, sued no less than nine defendants, including the EPA
Administrator, the United States Secretary of Commerce, the State
of Washington, the City of Olympia, Weyerhaeuser NR Company, the
Federal Railroad Administration, and others, accusing them “of a
vast conspiracy among the recipients of the letter to violate
most of the provisions of the CWA.”
28
West v. Johnson, No. 08-
5741, 2009 U.S. Dist. LEXIS 77128, at *9-*12 (W.D. Wash. Aug. 10,
2009).
There the court held that the notice was too broad to
provide the defendants with sufficient notice, in part because it
did not permit the multiple defendants to discern what activities
each of them engaged in that allegedly constituted a violation.
Id. at *11-*12.
Plourde also relies on a Tenth Circuit decision
in which the pre-suit notice letter failed to allege any point
source from which alleged pollution arising from “construction
activities” was discharged.
Karr v. Hefner, 475 F.3d 1192, 1201
(10th Cir. 2007) (finding the plaintiff’s pre-suit notice letter
insufficient where it alleged that pollution from “construction
activities” was being discharged from the defendant’s well rather
than from any point sources actually associated with its
construction activities).
In this case, however, CLF’s pre-suit notice letter is both
more targeted and specific than the letters in West and Karr.
CLF alleges that only one defendant, Plourde, violated specific
sections of the CWA by discharging storm water associated with
industrial activities and other specified pollutants from no more
than eight point sources on Plourde’s property.
Courts in this and other circuits do not require “a citizen
plaintiff to list every specific aspect or detail of every
29
alleged violation.”
Paolino, 710 F.3d at 38.
Rather, “the
[CWA's] notice provisions and their enforcing regulations require
no more than ‘reasonable specificity’.”
Id. (citations omitted).
CLF’s pre-suit letter in this case provided Plourde with
sufficient notice that it was and is violating the CWA by
discharging pollutants, including storm water discharge
associated with industrial activity, from several discrete point
sources on its property, without a required permit, and in
violation of the same.
The notice provided Plourde with
sufficient information for it to identify and remedy the alleged
violations arising from its failure to obtain the proper permit.
Consequently, CLF satisfied the statutory conditions
precedent to maintaining this suit provided in 40 C.F.R.
§ 135.3(a).
Conclusion
For the foregoing reasons, CLF has sufficiently alleged
Article III standing and has satisfied the statutory condition
precedent to filing a citizen suit in this case.
Accordingly,
Plourde’s motion to dismiss (document no. 32) is denied.
30
SO ORDERED.
____________________________
Steven J. McAuliffe
United States District Judge
November 6, 2014
cc:
Zachary K. Griefen, Esq.
Thomas F. Irwin, Esq.
George D. Bisbee, Esq.
Daniel E. Will, Esq.
Joshua M. Wyatt, Esq.
31
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