League of Wilderness Defenders/Blue Mountains Biodiversity Project et al v. Connaughton et al
Filing
79
OPINION & ORDER: Plaintiffs' motion for preliminary injunction 32 is denied, plaintiffs' motion to strike 59 and second motion to strike 74 are moot, and defendants' motion to strike 43 is granted. See 39-page opinion & order attached. Signed on 7/17/2013 by Judge Marco A. Hernandez. (mr)
IN THE UNITED STATES DISTRICT COURT
FOR THE DISTRICT OF OREGON
LEAGUE OF WILDERNESS
DEFENDERS/BLUE MOUNTAINS
BIODIVERSITY PROJECT, et al.,
Plaintiffs,
No. 3:12-cv-02271-HZ
OPINION & ORDER
v.
CONNAUGHTON, et al.,
Defendants.
Thomas Charles Buchele
EARTHRISE LAW CENTER
10015 SW Terwilliger Blvd.
Portland, OR 97219
Attorney for League of Wilderness Defenders/Blue Mountains Biodiversity
Project
Jennifer Ripley Schemm
602 O Avenue
La Grande, OR 97850
1 - OPINION & ORDER
Attorney for Hells Canyon Preservation Council
Beverly F. Li
US DEPARTMENT OF JUSTICE
Environment & Natural Resources Division
601 D Street, NW
P.O. Box 7611
Washington, DC 20044
Attorney for Kent P. Connaughton, United States Forest Service, United States
Fish and Wildlife Service, and Gary Miller
Scott W. Horngren
AMERICAN FOREST RESOURCE COUNSEL
5100 SW McAdam Blvd., Suite 350
Portland, OR 97239
Caroline Lobdell
WESTERN RESOURCES LEGAL CENTER
5100 SW Macadam, Suite 350
Portland, OR 97239
Attorneys for Union County, Boise Cascade Wood Products, American Forest
Resource Council, Chary Mires, and Oregon Small Woodlands Association
HERNANDEZ, District Judge:
The Snow Basin Vegetation Management Project (“Project”) is located within the
Wallowa Whitman National Forest (“WWNF”) Whitman Ranger District within Baker
County, Oregon.1 It comprises 28,545 acres and is primarily located within two main
subwatersheds Paddy Creek-Eagle Creek and Little Eagle Creek, and has minor acreages
in three other subwatersheds, including Goose Creek, Lower Eagle Creek, and East Fork
Eagle Creek. The Project area is delimited primarily by subwatershed boundaries.
The United States Forest Service developed four alternatives when considering whether
to implement the Project: a no action alternative, the proposed action, and two other
action alternatives. It ultimately chose Alternative 3, which aims to remove 48 million
board feet (“mmbf”) of timber volume, a third of which will come from large trees and
old growth stands. AR 12184, 12188-89, 12190.
1
2 - OPINION & ORDER
The Project seeks to manage forest structure, composition, and density. It also
seeks to improve sustainability and reduce disturbances to the forest by minimizing the
risk of wildfires, insects that are harmful to the forest, and disease harmful to the forest.
Finally, the Project plans to provide a supply of forest products to the public to utilize
forest resources and to provide a supply of materials to local markets.
The United States Forest Service (“FS”) seeks to accomplish the Project’s goals
by commercially harvesting 11,495 acres of forest, performing post-harvest
noncommercial harvesting on 9,926 acres of forest, performing non-commercial thinning
on 81 acres, and performing post-harvest fuels treatments (prescribed burning) on 10,467
acres. The Project will also achieve its goals by removing trees along 230 miles of open
system haul roads, constructing approximately 11 miles of temporary roads and
reconstructing approximately 41 miles of existing roads to support timber log hauling.
Road maintenance will be performed on approximately 230 miles of roads and replace an
existing bridge. Commercial logging under the Project will be conducted through two
sales, the Empire and Skull sales, which are scheduled to occur in July 2013 and
September 2013, respectively.
Now before the Court is a motion for preliminary injunction (dkt. #32) filed by
the League of Wilderness Defenders/Blue Mountains Biodiversity Project and Hells
Canyon Preservation Council. Plaintiffs’ motion seeks a temporary injunction of the
Empire and Skull sales before July 18, 2013, the date logging is set to begin under the
Empire sale. Also before the Court is Plaintiffs’ motion to strike (dkt. #59); the motion to
strike (dkt. #43) filed by the FS, the United States Fish and Wildlife Service (“FWS”),
and Gary Miller, the Field Supervisor for the FWS (collectively, “Federal Defendants”);
3 - OPINION & ORDER
and Plaintiffs’ motion to strike the declaration of Joe Sciarrino (dkt. #74).2 For the
reasons that follow, Plaintiffs’ motion for preliminary injunction is denied, Plaintiffs’
motion to strike and second motion to strike are moot, and Defendants’ motion to strike is
granted.
STANDARD
“A preliminary injunction is an extraordinary remedy never awarded as of right.”
Winter v. Natural Res. Def. Council, Inc., 555 U.S. 7, 24 (2008). The standards for a
temporary restraining order and a preliminary injunction are the same. See, e.g.,
Stuhlbarg Int’l Sales Co., Inc. v. John D. Brush & Co., Inc., 240 F.3d 832, 839 n.7 (9th
Cir. 2001). A preliminary injunction “should not be granted unless the movant, by a clear
showing, carries the burden of persuasion.” Mazurek v. Armstrong, 520 U.S. 968, 972
(1997) (emphasis in original and citation omitted).
“A plaintiff seeking a preliminary injunction must establish that he is likely to
succeed on the merits, that he is likely to suffer irreparable harm in the absence of
preliminary relief, that the balance of equities tips in his favor, and that an injunction is in
the public interest.” Winter, 555 U.S. at 20. The Ninth Circuit has “glossed that
standard by adding that there is a sliding scale approach which allows a plaintiff to obtain
an injunction where he has only shown serious questions going to the merits and a
balance of hardships that tips sharply towards the plaintiff . . . so long as the plaintiff also
shows that there is a likelihood of irreparable injury and that the injunction is in the
2
Baker County, Union County, Boise Cascade Wood Products, American Forest
Resource Council, Chary Mires, and Oregon Small Woodlands Association are
Defendant Intervenors in this case.
4 - OPINION & ORDER
public interest.” Developmental Serv. Network v. Douglas, 666 F.3d 540, 544 (9th Cir.
2011) (internal quotation marks and citations omitted).
DISCUSSION
Plaintiffs contend that they are entitled to a preliminary injunction because they
can establish a likelihood of irreparable harm, a likelihood of success on their
Endangered Species Act (“ESA”) and the National Environmental Policy Act (“NEPA”)
claims, and that the balance of hardships and public interest weigh in their favor. For the
reasons that follow, I conclude that a weighing of the factors does not establish that
Plaintiffs are entitled to a preliminary injunction in this instance.
I. Overview of ESA and NEPA
A. ESA
ESA “is a comprehensive scheme with the broad purpose of protecting
endangered and threatened species.” Ctr. for Biological Diversity v. U.S. Bureau of Land
Mgmt., 698 F.3d 1101, 1106 (9th Cir. 2012) (citation and quotes omitted); see also 16
U.S.C. § 1531. A court’s review of an agency’s compliance with the ESA is governed by
the Administrative Procedure Act (“APA”). E.g., Greater Yellowstone Coal., Inc. v.
Servheen, 665 F.3d 1015, 1023 (9th Cir. 2011) (citation omitted). Under the APA, a
reviewing court may set aside an agency action that is “arbitrary, capricious, an abuse of
discretion, or otherwise not in accordance with law.” 5 U.S.C. § 706(2)(A). “A decision
is arbitrary and capricious only if the agency relied on factors Congress did not intend it
to consider, entirely failed to consider an important aspect of the problem, or offered an
explanation that runs counter to the evidence before the agency or is so implausible that it
could not be ascribed to a difference in view or the product of agency expertise.” Lands
5 - OPINION & ORDER
Council v. McNair, 629 F.3d 1070, 1074 (9th Cir. 2010) (citation and internal quotation
marks omitted). On the other hand, “[a]gency action is valid if the agency considered the
relevant factors and articulated a rational connection between the facts found and the
choices made.” Native Ecosystems Council v. Dombeck, 304 F.3d 886, 901 (9th Cir.
2002) (citation and internal quotation marks omitted). “[S]cientific uncertainty generally
calls for deference to agency expertise.” Servheen, 665 F.3d at 1028 (citation omitted).
Substantively, section 7(a)(2) of ESA requires federal agencies such as the FS to
“insure that any action authorized, funded, or carried out by such agency . . . is not likely
to jeopardize the continued existence of any endangered species or threatened species or
result in the destruction or adverse modification of [critical] habitat of such species.” 16
U.S.C. § 1536(a)(2). The ESA defines “critical habitat” for a threatened or endangered
species to mean areas that are “essential to” or “essential for” the species’ conservation.
Conservation Congress v. U.S. Forest Serv., 2013 WL 2631449, No. 12-16452, at *2 (9th
Cir. 2013) (citing 16 U.S.C. §§ 1532(5)(A)(i)-(ii)). Procedurally, ESA requires a
consulting federal agency, such as the FS, to consult with a consulting agency, such as
the FWS, to determine the likely effects of any proposed action on species and their
critical habitat before initiating any action in an area that contains threatened or
endangered species. Natural Res. Def. Council v. Houston, 146 F.3d 1118, 1126 (9th Cir.
1998). Specifically,
[b]efore initiating any agency action in an area that contains threatened or
endangered species or a critical habitat, the agency must (1) make an
independent determination of whether its action “may affect” a protected
species or habitat, or (2) initiate a formal consultation with the agency that
has jurisdiction over the species. If an agency determines that an action
“may affect” critical species or habitats, formal consultation is mandated.
Formal consultation is excused only where (1) an agency determines that
6 - OPINION & ORDER
its action is unlikely to adversely affect the protected species or habitat,
and (2) the relevant Service . . . concurs with that determination.
Id. (citations omitted and emphasis in original).
The ESA and its implementing regulations establish a framework for such interagency consultation. Before beginning any “major construction activities,” an acting
agency–here the FS–must prepare a “biological assessment” which must “evaluate the
potential effects of the action on listed and proposed species and designated and proposed
critical habitat and determine whether any such species or habitat are likely to be
adversely affected by the action . . . .” 50 C.F.R. § 402.12(a). If the answer is yes,
“formal consultation” with the appropriate consulting agency, in this case the FWS, is
required. 50 C.F.R. §§ 402.14(a)-(c). During the formal consultation process, the FWS
must “[f]ormulate its biological opinion as to whether the action, taken together with
cumulative effects, is likely to jeopardize the continued existence of listed species or
result in the destruction or adverse modification of critical habitat.” 3 50 C.F.R. §
402.14(g)(4). If the FWS concludes in its biological opinion that no jeopardy or adverse
modification is likely, but that the project is likely to result only in the “incidental take”
of members of listed species, then the FWS will provide, along with its biological
opinion, an incidental take statement authorizing such takings.4 50 C.F.R. § 402.14(i).
3
The ESA defines the term “cumulative effects” as “those effects of future State or
private activities, not involving Federal activities, that are reasonably certain to occur
within the action area of the Federal action subject to consultation.” Conservation
Congress v. U.S. Forest Serv., 2013 WL 2631449, No. 12-16452, at *4 (9th Cir. 2013)
(citations omitted).
4
“Incidental take refers to takings that result from, but are not the purpose of, carrying
out an otherwise lawful activity conducted by the Federal agency or applicant.” 50
C.F.R. § 402.02.
7 - OPINION & ORDER
An action agency may bypass formal consultation if it determines, and the
consulting agency agrees, that the proposed action “is not likely to adversely affect listed
species or critical habitat”. 50 C.F.R. § 402.13(a). When that occurs, “the consultation
process is terminated, and no further action is necessary.” Id.
B. NEPA
NEPA “declares a broad national commitment to protecting and promoting
environmental quality.” Robertson v. Methow Valley Citizens Council, 490 U.S. 332,
348 (1989). NEPA “is a procedural statute that does not ‘mandate particular results, but
simply provides the necessary process to ensure that federal agencies take a hard look at
the environmental consequences of their actions.’” High Sierra Hikers Ass’n v.
Blackwell, 390 F.3d 630, 639 (9th Cir. 2004) (quoting Neighbors of Cuddy Mountain v.
Alexander, 303 F.3d 1059, 1070 (9th Cir. 2002)). “The goal of NEPA is two-fold: (1) to
ensure the agency will have detailed information on significant environmental impacts
when it makes its decisions; and (2) to guarantee that this information will be available to
a larger audience.” Inland Empire Public Lands Council v. U.S. Forest Serv., 88 F.3d
754, 758 (9th Cir. 1996) (citation omitted). “NEPA and ESA call for different regulatory
review, and [a court] must defer to the procedural mechanisms established by the
implementing agency.” See Conservation Congress, 2013 WL 2631449, No. 12-16452,
at *5 (citation omitted).
To accomplish the “hard look” requirement, NEPA requires all agencies to
prepare an environmental impact statement (“EIS”) for any “major Federal actions
significantly affecting the quality of the human environment.” 42 U.S.C. § 4332(2)(C).
The EIS must include:
8 - OPINION & ORDER
(i) the environmental impact of the proposed action,
(ii) any adverse environmental effects which cannot be avoided should the
proposal be implemented,
(iii) alternatives to the proposed action,
(iv) the relationship between local short-term uses of man’s environment
and the maintenance and enhancement of long-term productivity, and
(v) any irreversible and irretrievable commitments of resources which
would be involved in the proposed action should it be implemented.
Id.
The EIS serves two important purposes: “[i]t ensures that the agency, in reaching
its decision, will have available, and will carefully consider, detailed information
concerning significant environmental impacts,” and it “guarantees that the relevant
information will be made available to the larger [public] audience.” Robertson, 490 U.S.
at 349. An agency takes the requisite “hard look” at environmental consequences when
its EIS contains all the items listed in 42 U.S.C. § 4332(2)(C) and includes “a full and fair
discussion of environmental impacts.” McNair, 537 F.3d at 1001. An EIS must
“[r]igorously explore and objectively evaluate all reasonable alternatives” to the proposed
action, including “reasonable alternatives not within the jurisdiction of the lead agency.”
40 C.F.R. § 1502.14. This analysis of the comparative environmental impacts of
alternative courses of action “is the heart of the environmental impact statement.” Id. An
agency need not, however, “consider an infinite range of alternatives, only reasonable or
feasible ones.” City of Carmel-By-The-Sea v. U.S. Dep’t of Transp., 123 F.3d 1142,
1155 (9th Cir. 1997). Nor need it consider “alternatives which are not significantly
distinguishable from alternatives actually considered, or which have substantially similar
consequences.” Headwaters, Inc. v. Bureau of Land Mgmt., 914 F.2d 1174, 1181 (9th
Cir. 1990). The agency does not need to consider remote or speculative alternatives or
alternatives not reasonably related to the project’s purpose. Id. at 1180 (agency need not
9 - OPINION & ORDER
“consider alternatives which are infeasible, ineffective, or inconsistent with the basic
policy objectives for the management of the area”). There is no minimum number of
alternatives that must be considered, as long as the EIS “discusses in detail all the
alternatives that were feasible and briefly discusses the reasons others were eliminated.”
Laguna Greenbelt, Inc. v. U.S. Dep’t. of Transp., 42 F.3d 517, 524 (9th Cir. 1994).
After the agency has taken this “hard look,” it is free to decide that other values
outweigh any environmental costs it has identified. See Robertson, 490 U.S. at 350-51
(“NEPA merely prohibits uninformed–rather than unwise–agency action.”). Courts will
not “substitute [their] judgment for that of the agency concerning the wisdom or prudence
of a proposed action.” City of Carmel-by-the-Sea, 123 F.3d at 1150 (quotation omitted).
A court reviews a federal agency’s compliance with NEPA under the APA’s arbitrary
and capricious standard. McNair, 537 F.3d at 987.
II. Likelihood of Irreparable Harm
Plaintiffs contend that there is a likelihood of irreparable harm because thousands
of large trees, including those over 21 inches diameter at breast height (“dbh”), would be
logged. They argue that this harm outweighs the economic and forest health issues
presented by Defendants. Plaintiffs also argue that violations of the ESA and the balance
of hardships always tip in favor of the threatened species. At oral argument on July 8,
2013, Defendants did not contest that there is a likelihood of irreparable harm caused by
the cutting of trees as planned under the Project.
The Supreme Court has recognized that “[e]nvironmental injury, by its nature, can
seldom be adequately remedied by money damages, and is often permanent or at least of
long duration, i.e., irreparable.” Amoco Prod. Co. v. Village of Gambell, 480 U.S. 531,
10 - OPINION & ORDER
545 (1987). The Ninth Circuit, however, has “decline[d] to adopt a rule that any potential
environmental injury automatically merits an injunction, particularly where . . . the
plaintiffs are not likely to succeed on the merits of their claim.” Lands Council, 537 F.3d
at 1005 (emphasis in original). Even assuming that Plaintiffs could show a likelihood of
irreparable harm, as discussed below, Plaintiffs fail to establish a likelihood of success on
the merits and that the balance of harms and public interest weigh in their favor.
Accordingly, this factor alone is insufficient to tip the scales in favor of a preliminary
injunction.
III. Likelihood of Success on the Merits
A. ESA
1. The Biological Assessment
Plaintiffs argue that the FS’s biological assessment (“BA”) dated December 8,
2011, violates ESA because Defendants failed to use the best available science when
analyzing the Project’s effects on bull trout. Plaintiffs assert that the BA ignored contrary
scientific information when analyzing the Project’s effects on bull trout and did not
provide a rational explanation for its conclusion that bull trout are not present in the
Eagle Creek watershed. Plaintiffs contend that the FWS’s Letter of Concurrence
(“LOC”) dated January 11, 2012, agreeing with the BA’s findings that the Project “may
affect, but is not likely to adversely affect, designated critical habitat for bull trout” failed
to disclose that the status of bull trout in the Eagle Creek watershed remains unknown as
determined in a the Oregon Department of Fish and Wildlife (“ODFW”) 1997 report
(“Buchanan Report”) and 2005 Native Fish Report.
11 - OPINION & ORDER
Defendants respond that Plaintiffs are unlikely to succeed on their ESA claims
because the BA is not reviewable and that even if the BA is reviewable, its contents are
discretionary. Defendants also argue that Federal Defendants used the best available
science when preparing the BA and properly considered the impacts on bull trout in the
final environmental impact statement (“FEIS”).5
2. Reviewability
A biological assessment must “evaluate the potential effects of the action on listed
and proposed species and designated and proposed critical habitat and determine whether
any such species or habitat are likely to be adversely affected by the action and is used in
determining whether formal consultation or a conference is necessary.” 50 C.F.R. §
402.12(a). The contents of a biological assessment are at the “discretion “of the federal
agency and “depend on the nature of the Federal action”. 50 C.F.R. § 402.12(f). A
biological assessment may include on-site inspections of the affected area, experts views,
literature reviews, and analysis of alternative actions, as well as “consideration of
cumulative effects, and the results of any related studies.” Id.
Defendants argue that the Court may not review the BA because it does not
constitute a final agency action subject to review, citing Oregon Natural Desert
Association v. Tidwell, 716 F. Supp. 2d 982, 995 (D. Or. 2010). Defendants also argue
that even if the BA were reviewable, its contents are discretionary. Plaintiffs concede
that a BA is not reviewable because it is not a final agency action under the ESA. They,
5
Under NEPA, “federal agencies must specifically discuss at appropriate points in the
final [EIS] any responsible opposing view which was not adequately addressed in the
draft [EIS] and . . . indicate the [agencies]’s response to the issues raised.” WildWest
Inst. v. Bull, 547 F.3d 1162, 1171 (9th Cir. 2008) (citations and quotation marks
omitted).
12 - OPINION & ORDER
however, contend that the BA is reviewable because it was expressly adopted and relied
upon by the LOC. I conclude that the BA here is subject to review.
Although both parties concede that biological assessments are generally not
subject to review by a court, the LOC expressly relied on the BA when determining that
bull trout did not exist in the Eagle Creek watershed. AR 9277. Here, the FWS
concluded in the LOC that “[b]ased on information provided in the [BA], . . . [the FWS] .
. . concur[red] that the proposed project may affect, but [was] not likely to adversely
affect, designated critical habitat for bull trout.” Id. (emphasis in original). I am aware
that in Tidwell, 716 F. Supp. 2d at 995, Judge Haggerty concluded that the biological
assessments there did not constitute final agency actions within the meaning of the APA.
The biological assessments in that case, however, “were followed by . . . [a biological
opinion] and [incidental take statement]”, which Judge Haggerty concluded were subject
to the court’s review. In contrast to Tidwel, the LOC here expressly relied on the
information provided in the BA when determining that bull trout were not present in the
Eagle Creek watershed and that no formal consultation on bull trout was needed. AR
09277; FWS 82. Suffice it to say, no biological opinion or incidental take statement were
drafted in this case. Accordingly, Tidwell is not persuasive. In short, the BA is subject
to review because the LOC expressly relied on the BA when determining that bull trout
did not exist in the Eagle Creek watershed and that no formal consultation was needed.
3. Effects on Bull Trout
Plaintiffs argue that Federal Defendants only considered the Project’s impacts on
bull trout habitat and not on bull trout themselves as required under ESA. They contend
that Federal Defendants did not use the best available science and ignored contrary
13 - OPINION & ORDER
scientific information when analyzing the Project’s effects on bull trout, including the
conclusions in the 1995 ODFW report, the Buchanan Report, and the 2005 ODFW
Native Fish Report, which concluded that the status of bull trout remains unknown.
Plaintiffs’ arguments are unavailing.
a. The 1995 ODFW Report, the Buchanan Report, and 2005
ODFW Native Fish Report
Under the ESA, agency action must be based on “the best scientific and
commercial data available.” 16 U.S.C. § 1536(a)(2). The purpose of the best science
requirement “is to ensure that the ESA not be implemented haphazardly, on the basis of
speculation or surmise.” Bennett v. Spear, 520 U.S. 154, 176 (1997). When there are
differing views as to the impact of an agency action on a protected species, however, an
agency has “discretion to rely on the reasonable opinions of its own qualified experts
even if, as an original matter, a court might find contrary views more persuasive.”
McNair, 537 F.3d at 1000 (overruled on other grounds). An agency is not obliged to
conduct independent studies to improve upon the best available science or to resolve
inconclusive aspects of scientific information. Sw. Ctr. for Biological Diversity v.
Babbitt, 215 F.3d 58, 61 (D.C. Cir. 2000) (stating it is improper for the district court to
impose an obligation upon the government to find better data).
Here, Federal Defendants relied on the 1995 ODFW report when concluding that
“[e]xtensive snorkeling surveys conducted between 1991 and 1994 failed to find bull
trout in Eagle Creek”. AR 9174. Although the 1995 ODFW report recognized that the
1991 and 1994 surveys found no bull trout, it also concluded that despite “extensive
sampling over the last five years, the status of bull trout in Eagle Creek remains a
14 - OPINION & ORDER
question mark”. AR 2772. An analysis by the FS of the Eagle Creek watershed in April
1997 recognized a “[d]ata [g]ap” with regard to bull trout in the Eagle Creek watershed
and the need to “confirm[] . . . bull trout presence/absence”. AR 3135, 3216. Similarly, a
report by the ODFW in October 1997 concluded that despite “[e]xtensive snorkeling
surveys conducted between 1991 and 1994”, the “status of Eagle Creek bull trout
remain[ed] a question mark” and that if bull trout were present, “their distribution and
number [were] extremely limited.” FWS 268. Like the above reports, the ODFW’s 2005
Oregon Native Fish and Status Report –Volume II concluded that “[d]ata [was] not
available to adequately assess the current abundance of adult bull trout in each
population” and stated that the “only quantitative population estimate in the Pine Creek
basin was conducted 11 years ago in [the 1994 snorkeling surveys]”, which it determined
“may not capture current conditions.” AR 15445. The LOC even recognized the
existence of “angler reports of bull trout” in the 1990s. FWS 92.
Federal Defendants relied on the best available science when concluding that bull
trout do not exist in the Eagle Creek watershed. Although the 1991 and 1994 snorkeling
surveys were approximately fifteen years old at the time the determination was made that
bull trout did not exist in the area–Federal Defendants were not obligated to conduct new
surveys or studies. See Babbitt, 215 F.3d at 61. Indeed, at oral argument on July 8,
2013, Plaintiffs conceded that Federal Defendants were not obligated to do so. Federal
Defendants were simply required to use the best available science, which at that time
were the 1991 and 1994 snorkeling surveys–not the other reports on which Plaintiffs rely,
including the 1990s angler reports. Indeed, many of the reports that Plaintiffs cite relied
on the same 1991 and 1994 snorkeling surveys. Where the opinions of specialists
15 - OPINION & ORDER
conflict with regard to the interpretation of the same data, Federal Defendants may
properly rely on the opinions of its own specialists as they did here. See N. Plains Res.
Council, Inc. v. Surface Transp. Bd., 668 F.3d 1067, 1075 (9th Cir. 2011) (“[w]hen
specialists express conflicting views, an agency must have discretion to rely on the
reasonable opinions of its own qualified experts even if, as an original matter, a court
might find contrary views more persuasive”) (citation omitted); McNair, 537 F.3d at
1000 (the FS does not act arbitrarily and capriciously “in relying on its own data and
discounting the alternative evidence offered”) (citation omitted). Despite any uncertainty
regarding the status of bull trout in the area, it is clear that by the time Federal Defendants
had issued their decisions, they were certain that bull trout did not exist in the area and
had properly relied on the conclusion of their own specialists when making that
determination. AR 9171; FWS 82, 92.
Federal Defendants properly determined that bull trout did not exist in the Eagle
Creek watershed in the first instance. The FS and FWS considered the best available
science, including the 1991 and 1994 snorkeling surveys finding no bull trout in the
Eagle Creek watershed, and properly relied on the opinions of their own experts for the
conclusion that bull trout did not exist in the area. As discussed in the following sections,
Federal Defendants also properly assessed bull trout habitat to conclude that bull trout do
not and cannot exist in the Eagle Creek watershed.
b. Effects on Bull Trout Habitat
Federal Defendants properly considered the effects on bull trout by analyzing bull
trout habitat. Under the ESA, a “biological assessment” must “evaluate the potential
effects of the action on listed and proposed species and designated and proposed critical
16 - OPINION & ORDER
habitat and determine whether any such species or habitat are likely to be adversely
affected by the action . . . .” 50 C.F.R. § 402.12(a). “The only relevant requirement is
that a biological assessment determine whether any [endangered] species or [critical]
habitat are likely to be adversely affected by the action.” Conservation Congress, 2013
WL 2631449, No. 12-16452, at *6 (citing 50 C.F.R. § 402.12(a)). “The contents of a
biological assessment are at the discretion of the federal agency, depend on the nature of
the Federal action, and may include on-site inspections of the affected area, experts
views, literature reviews, and analysis of alternate actions, as well as consideration of
cumulative effects, and the results of any related studies.” Id. (citing 50 C.F.R. §
402.12(f), Medina Cnty. Envtl. Action Ass’n, 602 F.3d at 699-700, and City of Sausalito
v. O’Neill, 386 F.3d 1186, 1216 (9th Cir. 2004)).
Here, the BA designated “bull trout critical habitat” as that including
“approximately 5730.8 miles of streams for the Mid-Columbia River Recovery Unit
including Eagle Creek and Little Eagle Creek in the Snow Basin project area.” AR 9171.
Federal Defendants analyzed the “potential direct and indirect effects on bull trout and
their designated critical habitat[,]” as well as the Projects cumulative effects on bull trout
critical habitat, including their spawning and rearing, migrations, and hybridization with
other fish. AR 9174, 9209, 9225-27; FWS 10, 47, 91-92, 461-62. The BA even assessed
the effects on the primary constituent elements (“PCE”) of bull trout, which the FS had
determined are elements “essential for the conservation of bull trout”. AR 9210. Federal
Defendants also considered the Project’s effects on the quality, quantity, and temperature
of bull trout habitat; bull trout migration habits; their food base; and their predators. AR
9206, 9210-13; FWS 42, 47. Also considered were the Project’s indirect effects on bull
17 - OPINION & ORDER
trout habitat, including those caused by sediment, timber harvests, transportation systems,
chemicals, and migration. AR 9213-25. Federal Defendants ultimately concluded that
the Project “May Affect, but [was] NOT Likely to Adversely Affect bull trout
designated critical habitat.” AR 9226 (emphasis in original); FWS 92 (emphasis in
original). Based on the record before me, I conclude that Federal Defendants thoroughly
analyzed the effects on bull trout by assessing the Project’s effects on bull trout habitat.
In sum, Federal Defendants adequately analyzed the Project’s effects on bull trout
and bull trout habitat. The conclusions by the FS and FWS regarding bull trout were not
arbitrary and capricious and did not violate the ESA.
B. NEPA
Plaintiffs argue that the FEIS violates NEPA by inadequately considering the
effects of the Project on bull trout. They also contend that the FS failed to prepare a
supplemental EIS (“SEIS”) after withdrawing its Travel Management Plan (“TMP”) from
the Project. Plaintiffs’ arguments lack merit.
1. Bull Trout
The parties make essentially the same arguments concerning Plaintiffs’ ESA
claims as they do for Plaintiffs’ NEPA claims insofar as they relate to bull trout.
Plaintiffs argue that they are likely to succeed on their NEPA claims because the FEIS
failed to take a hard look at the effects the Project would have on bull trout. They argue
that like the BA and LOC, the FEIS quotes only selective portions of the Buchanan
Report, namely the findings of the 1991 and 1994 snorkeling surveys finding no bull
trout, while selectively excluding the report’s conclusion that the status of bull trout
remains a question mark. Plaintiffs also argue that the FEIS fails to discuss the 2005
18 - OPINION & ORDER
Native Fish Report. Finally, Plaintiffs argue that the FEIS violates NEPA because it did
not ensure that relevant information would be made available to the public as required
under NEPA.
For the same reasons explained in the ESA section above, the FEIS did not violate
NEPA. The FS properly relied on the 1991 and 1994 snorkeling surveys and its own
experts’ opinions that bull trout did not exist in the Eagle Creek watershed. Additionally,
the FEIS properly considered the Project’s impacts on the “habitat necessary to sustain
the essential bull trout life-history functions” by assessing the PCE “essential for the
conservation of bull trout”. AR 12315. With regard to fine sediment, the FS determined
that the Project would “result in a reduction in fine sediment generated by roads”. AR
12312. The FS also found that the Project would not affect “water quality and quantity”
with regard to bull trout because it would create a “[b]uffer width . . . 100 feet around the
perimeter of springs and seep” and because the Project was “primarily a thinning
project.” AR 12315, 12317. The FS analyzed bull trout migration habits, finding that
because “[b]arriers to migration [would] not occur as result of the [Project’s] proposed
activities”, the Project would not affect the migration habits of bull trout. AR 12315.
The FS further found that the Project would “not affect the potential food base for bull
trout”. AR 12316. The FS stated that the Project would not affect “pool habitat and
stream banks” because Project activities would “not occur within 200 feet of fish bearing
streams.” Id. In addition, the FS concluded that “increases in stream temperatures”
would not affect existing stream shading because “thinning activities” would be restricted
to the outer edges of the riparian habitat conservation and proposed burning activities
under the Project would be limited to “[u]nderstory trees” that do not typically provide
19 - OPINION & ORDER
significant levels of stream shading. Id. The FS also found that although “bull trout
populations are present in the Wallowa Mountains”, their “spawning areas” were
generally located in the upper watersheds of stream systems outside of the Project area.
AR 12317.
In addition to the above, the FS also analyzed the effects of the Project on bull
trout under various alternatives. Under Alternative 1, the “no action” alternative, the FS
concluded that “[c]urrent habitat conditions and the presence of an established population
of brook trout are unlikely to create conditions conducive to the reintroduction of CR bull
trout.” AR 12318. Under the activities proposed in Alternatives 2, 3, 4, the FS
concluded that effects to bull trout PCE in the short-term would result in “immeasurable
increases in fine sediment and water temperature”, but that a “decrease in erosion from
road surfaces [would] likely occur as result of the proposed road improvements” and
would result in a “mid to long-term decrease in fine sediment in Eagle Creek and Little
Eagle Creek in the analysis area.” Id. Finally, the FS concluded that fine sediment from
“ongoing road maintenance activities” in the long-term would be lowered “by reducing
overall erosion rates from the road system” and that fine sediment caused by “grazing
activities” would be “minimized by meeting INFISH Standards and Guidelines for
grazing activities and WWNF PACFISHINFISH utilization levels.” Id.
It is clear that the FS gave a hard look at the Project’s effects on bull trout and
bull trout habitat as required under NEPA.
2. Cumulative Effects
Plaintiffs assert that the FEIS violates NEPA by inadequately considering the
Project’s cumulative impacts from logging, grazing, and road activities. Environmental
20 - OPINION & ORDER
impact statements must discuss cumulative impacts. See 40 C.F.R. §§ 1502.16, 1508.8,
1508.25; City of Carmel-by-the-Sea, 123 F.3d at 1160. A cumulative impact “is the
impact on the environment which results from the incremental impact of the [proposed]
action when added to other past, present, and reasonably foreseeable future actions
regardless of what agency (Federal or non-Federal) or person undertakes such other
actions.” 40 C.F.R. § 1508.7. A merely perfunctory cumulative impacts analysis is
insufficient. Klamath-Siskiyou Wildlands Ctr. v. Bureau of Land Mgmt., 387 F.3d 989,
994 (9th Cir. 2004). An analysis falls short if it only considers the impacts of the
proposed action or only the beneficial impacts of cumulative actions. See Te-Moak Tribe
of W. Shoshone v. U.S. Dep’t. of the Interior, 608 F.3d 592, 603-04 (9th Cir. 2010);
Klamath-Siskiyou Wildlands Ctr., 387 F.3d at 994-96. “General statements about
‘possible’ effects and ‘some risk’ do not constitute a ‘hard look’ absent a justification
regarding why more definitive information could not be provided.” Neighbors of Cuddy
Mountain, 137 F.3d at 1380. In particular, “some quantified or detailed information is
required. Without such information, neither the courts nor the public, in reviewing the
Forest Service’s decisions, can be assured that the Forest Service provided the hard look
that it is required to provide.” Id. at 1379.
The court reviews the agency’s cumulative effects analysis under the APA’s
arbitrary and capricious standard, and it must be particularly deferential “to an agency’s
determination in an area involving a high level of technical expertise.” McNair, 537 F.3d
at 987, 993. Given this deference, “the Forest Service is free to consider cumulative
effects in the aggregate or to use any other procedure it deems appropriate. It is not for
[a] court to tell the Forest Service what specific evidence to include, nor how specifically
21 - OPINION & ORDER
to present it.” League of Wilderness Defenders v. U.S. Forest Serv., 549 F.3d 1211, 1218
(9th Cir. 2008).
a. Cumulative Impacts on Thermally-Stressed Fish
Plaintiffs argue that the FEIS failed to address the cumulative impacts that
sediment caused from logging, grazing, and road activities would have on bull trout and
redband trout that are already thermally stressed from living in high temperature waters.
A “cumulative effects analysis must be more than perfunctory; it must provide a useful
analysis of the cumulative impacts of past, present, and future projects.” Or. Natural Res.
Council Fund v. Brong, 492 F.3d 1120, 1133 (9th Cir. 2007) (citations and quotation
marks omitted). As discussed above, the FS properly analyzed the Project’s effects on
bull trout by looking at bull trout habitat and thoroughly considered, among other things,
the effects of fine sediment and water temperature on bull trout. With respect to redband
trout, the FS properly considered the cumulative effects that sediment would have on
redband trout living in relatively high-temperature waters. The FS recognized that “Little
Eagle Creek does not meet the ODEQ standard for redband trout” and that “redband trout
likely experience thermal stress as result of the high water temperatures.” AR 12292.
The FS considered that sediment caused by ongoing road and grazing activities could
“result in increases in fine sediment in aquatic habitat” and that “[i]ncreases in fine
sediment can reduce spawning success and overall fitness of redband trout.” AR 12318.
The FS, however, concluded that with regard to “ongoing road maintenance activities,
short-term effects from road maintenance activities” would be “minimized by following
INFISH standards and guidelines and, road maintenance [best management practices
(“BMPs”)].” AR 12320. The FS also concluded that in the long-term, road maintenance
22 - OPINION & ORDER
activities would “reduce adverse effects to aquatic habitat by reducing overall erosion
rates from the road system.” Id. With respect to grazing activities, the FS concluded that
the potential cumulative effects would be “minimized by meeting INFISH Standards and
Guidelines for grazing activities and WWNF PACFISHINFISH utilization levels.” Id.
The FS gave the requisite hard look at the cumulative effects the Project would
have on bull trout and redband trout. The FS considered the temperature of the water in
which bull trout and redband trout live and even recognized that fish in the area may be
thermally stressed from high-water temperatures. The FS also considered the effects of
fine sediment on bull trout and redband trout living in such high-temperature waters. The
FS, however, concluded that the cumulative effects to such fish would be minimized by
meeting INFISH Standards and Guidelines and WWNF PACFISH/INFISH utilization
levels. AR 12315-18.
The FS gave the Project the requisite “hard look” at the cumulative effects the
Project would have on bull trout and redband trout and their critical habitats.
Accordingly, the FS’s determination was not arbitrary and capricious.
b. Cumulative Impacts Related to Increased Cattle Grazing
Plaintiff argues the FEIS violates NEPA because it fails to consider the
cumulative impacts of grazing. Plaintiffs contend that grazing reduces the density and
vigor of native grasses and forbs which otherwise create a dense sod and outcompete tree
seedlings. Plaintiffs assert that this results in less of the desired grasses and forbs, and
more of the undesirable tree seedlings and saplings. Plaintiffs assert that without the fine
23 - OPINION & ORDER
fuels6 to spread the frequent low intensity surface fires, severe fires were more likely to
occur, citing a white paper by David C. Powell entitled “Active Management of Dry
Forests in the Blue Mountains: Silvicultural Considerations” (“2011 Powell Report”).
Plaintiffs’ arguments are unpersuasive. The record shows that the FS took a hard
look at the cumulative effects of grazing. The FS recognized “[wi]ldfire [a]s the most
likely cumulative effect for rangeland resources that has potential for negative impacts”
and stated that the Project “would reduce the risk [of] . . . large scale uncontrolled
wildfire.” AR 12451. The FS further stated that much of the lands in the Project area are
presently “unsuitable for livestock use due to available forage or dense canopy cover.”
AR 12450. To remedy this shortfall, the FS stated the Project would “convert unsuitable
rangelands (those currently not available for forage utilization due to dense canopy cover
or lack of understory vegetation) to suitable by reducing the overstory canopy cover.”
AR 12450-51. According to the FS, the “reduction in canopy cover” would result in
increases in “herbage production available forage and overall desired ecological range
condition.” AR 12450. The FS further stated that in the short term (approximately 1 to 3
years), “natural fuels prescribed fire . . . would reduce forage availability”, but that in the
long term (4 to 20 years), the “reintroduction of fire disturbance and thinning the
overstory [would] create general shift in . . . plant . . . stage” resulting “in an increase in
herbage production . . . and available forage”. AR 12451. The FS provided that this
would “enhance[e] overall desired ecological range condition through improved livestock
distribution.” Id. The FS even provided a plan on how it would continue to evaluate the
“short-term risk of reduced forage availability” post-burn “to determine the size of the
6
Fine fuels include grass and forbs, as well as forest litter (i.e., pine needles). Fed. Defs.’
Resp., p. 23.
24 - OPINION & ORDER
treated area”, fire intensity, and any modifications to annual permittee grazing
instructions. Id. When analyzing the cumulative effects of grazing, the FS recognized
that the Project would have “negative a effect on annual grazing management”, but that
to counter this effect, it would monitor Project activities, including prescribed burning,
and would be ready to alter “annual operations” if needed. AR 12452. Based on the
above, the FS determined that there would “be no additional cumulative effects from
project activities or wildfire” because the Project would increase livestock distribution
and forage availability by reducing “over story cover” and shifting plant seral stages. Id.
The FS’s cumulative effects analysis with regard to cattle grazing was not
arbitrary and capricious. The FS addressed the cumulative effects of cattle grazing.
Plaintiffs’ disagreement and reliance on extra-record evidence, which according to
Plaintiffs show that cattle grazing would reduce grasses and forbes and increase tree
seedling and sapling densities is insufficient. Defendants are afforded deference, as here,
in choosing the scientific method for modeling data and may rely on the reasonable
opinions of its own qualified experts. See Lands Council, 537 F.3d at 988 (explaining
that the court is not to impose its own scientific judgment on the agency). As shown
above, the FS addressed the cumulative effects cattle grazing would have on plant seral
stages and story cover in the short and long term and analyzed how the cumulative effects
of cattle grazing would affect, among other things, wildfire and prescribed burn fuels and
livestock distributions. In fact, the FEIS even addressed how the FS would monitor
prescribed burns after the Project was implemented.
In short, the FS adequately considered the cumulative effects of cattle grazing and
took the requisite “hard look” at the cumulative impacts of cattle grazing.
25 - OPINION & ORDER
c. Cumulative Effects of Carbon Stores
Plaintiffs argue the FEIS violated NEPA by failing to discuss the impacts of
logging on carbon storage. The FS, however, adequately addressed the issue in the draft
EIS (“DEIS”).
Under NEPA’s implementing regulations, a federal agency must prepare a draft
EIS when analyzing a proposed action and must consider the direct, indirect, and
cumulative environmental impacts of a project under reasonable alternatives. 40 C.F.R. §
1502.14. The agency must circulate the draft EIS for public review and comment. 40
C.F.R. §§ 1502.19, 1503.1. The agency reviews and responds to any comments, makes
any appropriate changes to the EIS, and then circulates the final EIS. 40 C.F.R. § 1503.4.
In the final EIS, the agency must address “any responsible opposing view which was not
adequately discussed in the draft statement and shall indicate the agency’s response to the
issues raised.” 40 C.F.R. § 1502.9(b). The “disclosure requirement obligates the agency
to make available to the public high quality information, including accurate scientific
analysis, expert agency comments and public scrutiny, before decisions are made and
actions are taken.” Ctr. for Biological Diversity v. U.S. Forest Serv., 349 F.3d 1157,
1167 (9th Cir. 2003) (citing 40 C.F.R. § 1500.1(b)). Finally, the agency must select an
alternative and issue a decision. 40 C.F.R. § 1505.2.
Under NEPA, the FS is only required to focus on the issues “that are truly
significant to the action in question.” 40 C.F.R. § 1500.1(b). Although the Chief of the
FS has recognized “climate change as one of the most urgent tasks facing the Forest
Service”, it has also recognized that it “is not presently possible to conduct quantitative
analysis of actual climate change effects based on individual or multiple projects”. AR
26 - OPINION & ORDER
5461, 5465. The FS Chief further recognizes that “it is not possible to determine the
cumulative impact on global climate from emissions” and that “such disclosure would
[not] provide practical or meaningful effects analysis for project decisions.” AR 546567. The FS Chief has provided that the FS may appropriately respond to comments
regarding climate change by explaining “why the comments do not warrant further
agency response” and by “citing the sources authorities or reasons which support the
Agency’s position and, if appropriate, indicate those circumstances that would trigger
agency reappraisal or further response.” AR 5468.
Here, the FS adequately responded to Plaintiffs’ comments concerning carbon
storage and global climate change in the DEIS. Plaintiffs’ comments expressed concerns
that the thinning and logging of 12,000 of acres of trees under the Project would release
significant amounts of carbon and would impact the global climate. AR 12791-92. In
response, the FS concluded that the Project would “create forests” and “improve forest
conditions and capacity to grow trees” and therefore, the Project would positively affect
carbon sequestration. AR 12792. The FS also explained that the Intergovernmental
Panel on Climate Change (“IPCC”) lists “the top three anthropogenic human-caused
contributors to greenhouse gas emissions from (1970-2004) a[s]: fossil fuel combustion
(56.6% of global total), deforestation (17.3%), and agriculture/waste/energy (14.3%).”
Id. The FS further explained that the IPCC “subdivides the deforestation category into
land use conversions and large scale deforestation” and defines the term “deforestation”
as the “removal of all trees, most notably the conversion of forest and grassland into
agricultural land or developed landscapes”. Id. The FS articulated that because the
“[f]orested land [under the Project] will not be converted into developed or agricultural
27 - OPINION & ORDER
condition” and “are being retained and thinned to maintain vigorous forested condition”,
the Project would “continue to support trees and sequester carbon long-term.” Id. The
FS also determined that the Project is “consistent with IPCC recommendations for land
use to help mitigate climate change” because consistent with the IPCC’s recommendation
that “forest management . . . improve tree species and increase biomass”, the Project
would “increase forest resilience to disturbances that result in an even greater loss of
sequestered carbon.” Id.
The FS adequately addressed the Project’s impacts on carbon sequestration and
climate change in the DEIS. The FS provided sufficient qualitative analysis supporting
its determination that the Project would positively affect carbon sequestration and that
carbon sequestration was insignificant because the Project would retain and thin trees
rather than clear-cut treas. Considering such qualitative factors was proper. See Hapner
v. Tidwell, 621 F.3d 1239, 1245 (9th Cir. 2010) (concluding the environmental
assessment appropriately considered the project’s impact on global warming in
proportion to its significance where the project involved 30,000 acres of pine stands and
would thin rather than clear-cut trees). In sum, the FS adequately addressed the issue of
carbon sequestration and global climate change in the DEIS.
d. 130 Acre Area
Plaintiffs argue that the FEIS violates 40 C.F.R. 1508.7 because its cumulative
impacts analysis did not include the analysis of a second project involving a 130-acre
group selection treatment area. They contend that although the DEIS originally included
28 - OPINION & ORDER
a 170-acre “regeneration harvest”7, a Correction Notice by the FS dated July 18, 2012,
eliminated this component of the Project from the FEIS and replaced it with a 130-acre
group selection treatment project. Plaintiffs maintain that by withdrawing an area of
logging, only to reintroduce it as a separate project after the appeal period, the FS
unlawfully avoided consideration of the cumulative effects of the 130-acre group
selection project in the FEIS.
Defendants contend that the FEIS did not need to analyze the 130-acre project in
the FEIS because it did not amount to a “proposal” requiring consideration under NEPA.
They argue that to this day, the FS still has not set forth a proposal for the 130-acre group
selection treatment project. Defendants argue that the FS will analyze the environmental
impacts of the 130-acre group selection treatment project at the appropriate time in the
future when it constitutes a proposal within the meaning of NEPA, and at that time, the
FS will assess the cumulative effects of the treatment project on the environment.
Although Plaintiffs rely heavily on 40 C.F.R. § 1508.7 in support of their position,
that implementing regulation simply defines the term “cumulative impact”. Suffice it to
say, it does not define the term “proposal”, let alone help me to determine whether the FS
was required to analyze the cumulative effects of the 130-acre group selection treatment
in the FEIS. More important, 40 C.F.R. § 1502.4(a) establishes that agencies such as the
FS are responsible for properly defining a proposal and determining whether to perform
an environmental impact statement for that proposal. 40 C.F.R. § 1502.4(a) provides:
Agencies shall make sure the proposal which is the subject of an
environmental impact statement is properly defined. Agencies shall use
the criteria for scope (§ 1508.25) to determine which proposal(s) shall be
7
A “regeneration harvest” establishes a new tree crop on previously harvested land. AR
12574.
29 - OPINION & ORDER
the subject of a particular statement. Proposals or parts of proposals
which are related to each other closely enough to be, in effect, a single
course of action shall be evaluated in a single impact statement.
Plaintiffs’ mere disagreement with the FS’s determination that the 130-acre group
selection treatment does not fall within the meaning of the term “proposal” under NEPA,
by itself, is insufficient to support the conclusion that the FS erred in this instance. As
stated above, the determination of whether a project constitutes a “proposal” lies with the
FS, not Plaintiffs. See Id. Under the circumstances here, I conclude that the FS did not
err when determining that the 130-acre group selection treatment was not a “proposal”
and did not need to be analyzed in the FEIS.
e. Withdrawal of the TMP
Plaintiffs argue the FS erred by not preparing a supplemental environmental
impact statement (“SEIS”) addressing the Project’s impacts after it withdrew the TMP.
Defendants respond that the FS was not required to prepare a SEIS after withdrawing the
TMP from the Project because the FEIS considered the effects of the TMP separately.
I conclude that the FEIS considered both the effects of the Project without the
TMP and the effects of the Project with the TMP. Accordingly, the withdrawal of the
TMP did not require a SEIS because the FEIS had already considered the effects of the
Project without the TMP.
The record shows that the TMP record of decision was signed on February 21,
2012, and would have resulted in a net reduction of approximately 12 miles of road in the
Project area. AR 12358. The TMP, however, was withdrawn on April 17, 2012, after the
TMP record of decision was signed. AR 12527, 14704. Because the FS withdrew the
30 - OPINION & ORDER
TMP record decision while administrative appeals of the TMP record of decision were
pending, no final agency decision on the TMP record of decision was reached.8
A careful review of the FEIS shows that the FS analyzed the effects of the Project
without the TMP. For example, with respect to the gray wolf, the FS determined that the
“only activity with potential cumulative impacts to wolves is implementation of the
[TMP].” AR 12354. With respect to the Columbia Spotted Frog, the FS recognized that
there was a “possibility that direct mortality of spotted frogs may occur particularly
during periods of adult dispersal as result of log haul traffic . . .[,]” but determined that
“[w]ildlife connective corridors [would] mitigate these impacts by maintaining higher
cover thus facilitating overland dispersal of frogs.” AR 12360. The FS recognized “there
may be cumulative impact on direct mortality of dispersing individuals with improved
road maintenance and subsequent increased speed and traffic” and provided that the TMP
“may mitigate some of these effects by reducing the overall density of roads in the
project area.” Id. The FS, however, also recognized that “[r]oad maintenance is an
ongoing activity throughout the project area” and that short-term effects from road
maintenance would be “minimized by INFISH standards and guides and road
maintenance [best management practices]” and in the long-term, road maintenance would
reduce “adverse effects to aquatic habitat by reducing overall erosions rates.” AR 12361.
The FS ultimately concluded that “none of the proposed activities in any of the action
alternatives [would] degrade or impact potential habitat for [the Columbia Spotted Frog]”
and although “the action alternatives may impact individual frogs[, they] . . . would not
likely lead to a downward trend in the population or trend toward federal listing.” Id.
8
According to Defendants, the TMP record of decision is currently on hold. Sciarrino
Decl., Ex. 1, pp. 2, 20, 35.
31 - OPINION & ORDER
The FS properly considered the effects of the Project without the TMP with respect to the
gray wolf and Columbia Spotted Frog and properly concluded that the Project would not
likely result in reducing the frog’s population.
The FEIS also considered the Project’s effects without the TMP with respect to
the Inland Tailed Frog. The FS concluded that sediment levels and “direct mortality of
tailed frogs may occur . . . as a result of log haul traffic and increased speed and traffic on
roads” and “reductions in ground”, but determined that “[w]ildlife connective corridors
[would] mitigate these impacts by maintaining higher cover thus facilitating overland
dispersal of frogs.” Id. The FS also recognized “[r]oad maintenance” as an “ongoing
activity throughout the project area”, but determined that short-term effects from road
maintenance would be minimized by INFISH standards and guides and road maintenance
best management practices. Id. The FS also concluded that in the long-term, road
maintenance would reduce “adverse effects to aquatic habitat by reducing overall
erosions rates.” Id. The FS ultimately concluded that “[a]ny of the action alternatives
may impact individual frogs[,] . . . but would not likely lead to downward trend in the
population or trend toward federal listing.” AR 12363. Although the FS concluded that
there may be cumulative impacts on direct mortality of dispersing individuals with
improved road maintenance and subsequent increased speed and traffic and that the TMP
may mitigate some of these effects by reducing the overall density of roads in the project
area, it is clear that such analysis was performed separately.
The FS also analyzed the Project’s effects on the American Martin without the
TMP. The FS concluded that because the Project “impacts less than 0.003 percent of
suitable habitat across the Forest, the overall direct indirect and cumulative effects
32 - OPINION & ORDER
[would] result in small negative effect to marten habitat.” AR 12378. Although the FS
included an analysis of the TMP’s impacts on the American Martin, it recognized the
TMP as an “upcoming” plan that would further benefit the American Martin by
“provid[ing] additional habitat . . . free from disturbance from motor vehicles”. Id. In
short, the FS considered the effects of the Project on the American Martin both without
the TMP and with the TMP.
With regard to Rocky Mountain Elk, the FS stated that the “increase in elk
security habitat that [would] result from the TMP could not be quantified at the time . . .
because the final decision for the TMP had not been made.” AR 12405. Although the FS
considered the effects of the TMP on elk, stating that “the TMP [was] a reasonably
foreseeable future project” that was expected to “bring [the Project] area in line with road
density standard[,]” the FS also stated that because the TMP had not been “finalized
during the FEIS analysis”, it was “not possible” to calculate the elk habitat effectiveness
index (“HEI”). AR 12521, 12471. Moreover, the FS assessed the Project’s effects on elk
without the TMP. For example, when assessing the disturbance to elk caused by
motorized access, the FS expressly disclaimed that the analysis on elk did not “reflect the
pending [TMP] that would have an estimated net reduction in roads of 12 miles and
eliminate unregulated cross country travel in the Snow Basin project area.” AR 12402.
The FS also determined that the Project would “contribute to security habitat for big
game” by decommissioning approximately 5.83 miles of road. AR 12416. The FS
recognized that although the “[d]ecommissioning of 5.83 miles of road [would] have
minor positive effect to elk . . .[,] . . . [it would result in a] . . . small increase in available
forage for big game . . . .” Id.
33 - OPINION & ORDER
In sum, the FS adequately considered the effects of the Project both with and
without the TMP. The FS was not required to provide a SEIS after withdrawing the TMP
because the FEIS had already considered the effects of the Project without the TMP.
Based on the reasons above, Plaintiffs are not likely to succeed on the merits of
their claims. This factor therefore, tips heavily in favor of Defendants.9
IV. Balance of Harms and Public Interest
When balancing the harms, a court must weigh the potential environmental
injuries asserted by plaintiffs against the risks from enjoining the timber sale. Lands
Council, 537 F.3d at 1004. Plaintiffs assert that the logging under the Project would
irreparably harm their recreational and spiritual opportunities. Defendants respond that a
preliminary injunction would forestall their ability to improve the resiliency and
sustainability of the forest and their ability to provide jobs and other economic benefits to
the public. With regard to public interest, Plaintiffs assert the public’s interest in
preserving the environment. Defendants assert the public’s interest in selling timber and
improving forest health and public safety. Under the circumstances here, I conclude that
9
Plaintiffs argue that Defendants failed to provide sufficient analyses and information in
the FEIS to inform the public. A FEIS under NEPA must “provide full and fair
discussion of significant environmental impacts and shall inform decisionmakers and the
public of the reasonable alternatives which would avoid or minimize adverse impacts or
enhance the quality of the human environment.” Or. Natural Desert Ass’n v. Bureau of
Land Mgmt., 625 F.3d 1092, 1100 (9th Cir. 2010) (citations omitted). “The touchstone
for courts reviewing challenges to an EIS under NEPA is whether an EIS’s selection and
discussion of alternatives fosters informed decision-making and informed public
participation.” Id. “An EIS cannot be found wanting simply because the agency failed to
include every alternative device thought conceivable by the mind of man.” Id. Here, the
FEIS adequately discussed the Project’s environmental impacts and adequately provided
a full and fair discussion of the Project’s environmental impacts and the reasonable
alternatives it considered to foster informed public participation.
34 - OPINION & ORDER
the balance of harms and public interest asserted by the parties are equal and do not tip in
either of the parties’ favor.
When considering all the factors, I conclude that the scale does not decidedly tip
in favor of a preliminary injunction. As discussed above, Plaintiffs fail to establish a
likelihood of success on the merits. The alleged harm to the environment are simply
insufficient to justify a temporary injunction where Plaintiffs fail to establish that they are
likely to succeed on their ESA and NEPA claims and where the balancing of harms and
pubic interest are equal. The Court therefore denies Plaintiff’s motion for preliminary
injunction. Plaintiff’s request that the Court waive the bond requirement under Rule
65(c) is moot.
V. Motions to Strike
Review of Plaintiffs’ claims is generally limited to the administrative record and
usually includes only the evidence that was before the agency when it made its decision.
Lands Council v. Powell, 395 F.3d 1019, 1029 (9th Cir. 2004). There are, however, four
“narrow exceptions” to this general rule. Id. at 1030. In limited circumstances, district
courts are permitted to admit extra-record evidence:
(1) if admission is necessary to determine whether the agency has
considered all relevant factors and has explained its decision, (2) if the
agency has relied on documents not in the record, (3) when supplementing
the record is necessary to explain technical terms or complex subject
matter, or (4) when plaintiffs make a showing of agency bad faith.
Id. (citations and internal quotation marks omitted).
The four “limited exceptions operate to identify and plug holes in the
administrative record.” Id. “[I]n NEPA cases, the court may extend its review beyond
the administrative record and permit the introduction of new evidence where the plaintiff
35 - OPINION & ORDER
alleges that an environmental impact statement has neglected to mention a serious
environmental consequence, failed adequately to discuss some reasonable alternative, or
otherwise swept ‘stubborn problems or serious criticism ... under the rug.” Or. Natural
Res. Council v. Lowe, 109 F.3d 521, 526-27 (9th Cir. 1997) (citation and internal
quotation marks omitted).
I address each of the parties’ motions to strike in turn.
A. Defendants’ Motion to Strike
1. Exhibits to Tom Buchele Declaration
Defendants seek to strike all seven exhibits attached to the Buchele Declaration
(dkt. #35). Plaintiffs respond that the exhibits show the FS neglected to mention a
serious environmental consequence concerning bull trout or otherwise swept stubborn
problems or serious criticism about bull trout under the rug. I disagree.
Exhibit 1 is 60-day notice of intent to sue under the ESA served on the FS in July
2012 as required under 16 U.S.C. §1540(g)(2)(A)(i). Exhibit 2 is the FS’s response to the
60-Day Notice on September 11, 2012, which requests additional information regarding
the status of bull trout in Eagle Creek. Exhibit 3 is Plaintiffs’ October 19, 2012, response
to the FS’s September 11, 2012, 60-Day Notice. Exhibits 4 through 7 are documents
from ODFW scientists that Plaintiffs attached to their October 19, 2012, response.
None of the exhibits demonstrate that the FS neglected to mention a serious
environmental consequence or otherwise swept stubborn problems or serious criticism
under the rug. Defendants’ motion to strike the exhibits to the Buchele declaration is
granted.
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36 - OPINION & ORDER
2. Exhibits B, C, E to Jennifer Schemm Declaration
Defendants seek to strike Exhibits B, C, and E attached to the Schemm
Declaration. Exhibit B is a page of a website showing how much wood goes into a
house. Schemm Decl., Ex. B, p. 1. Plaintiffs argue that Exhibit B is necessary to
illustrate how much timber may be at stake here and requests, without any reasoning, that
the Court take judicial notice of Exhibit B. Exhibit C to the Schemm Declaration is an
article co-authored by Malcolm P. North (“2011 North Article”), a FS employee The
article is entitled, “High severity wildfire effects on carbon stocks and emissions in fuels
treated and untreated forest.” Id., Ex. C, p. 1. Exhibit E is an excerpt from a white paper
by David C. Powell about the Umatilla National Forest titled “Active Management of
Dry Forests in the Blue Mountains: Silvicultural Considerations” (“2011 Powell
Report”). Id., Ex. E, p. 1. Plaintiffs contend that Exhibits C and E show the FEIS
neglected to mention a serious environmental consequence or otherwise swept stubborn
problems or serious criticism under the rug.
A court “may judicially notice a fact that is not subject to reasonable dispute
because it: (1) is generally known within the trial court’s territorial jurisdiction; or (2) can
be accurately and readily determined from sources whose accuracy cannot reasonably be
questioned.” Fed. R. Evid. 201(b). Plaintiffs fail to establish that Exhibit B meets the
requirements of FRE 201. Defendants’ motion to strike this evidence is granted.
Exhibits C and E do not fit into any of the four limited exceptions allowing the
admissibility of extra-record evidence. Accordingly, Defendants’ motion to strike this
evidence is also granted.
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37 - OPINION & ORDER
3. Paragraphs 13-22 of the David Mildrexler Declaration
Defendants seek to strike paragraphs 13-22 of the Mildrexler Declaration.
Paragraphs 13-22 provide the potential effects of the Project on the forest’s carbon stores
and are proffered to show that the issue of the forest’s carbon stores and its ability to
mitigate climate change are important factors warranting discussion in the FEIS. This
evidence does not fit into any of the four limited exceptions allowing the admissibility of
extra-record evidence. Defendants’ motion to strike this evidence is granted.
B. Plaintiffs’ Motion to Strike
Plaintiffs move to strike the Declaration of Robyn L. Darbyshire, the Declaration
of Joshua P. White, and paragraphs 10-15 of the Declaration of Steven B. Hawkins on the
basis that the evidence does not fit any exception to the rule limiting judicial review to
the administrative record and amounts to improper post hoc rationalizations by the FS.
Defendants argue that they submit this extra-record evidence for the sole purpose of
rebutting Plaintiffs’ extra-record evidence. As discussed above, I do not consider any of
Plaintiffs’ extra-record evidence. Moreover, I do not consider any of Defendants’ extrarecord evidence. Plaintiffs’ motion to strike is therefore moot.
C. Plaintiffs’ Second Motion to Strike
Plaintiffs’ second motion to strike challenges the second declaration of Joe
Sciarrino, which rebuts extra-record evidence submitted by Plaintiffs. I did not consider
the second declaration of Joe Sciarrino when addressing Plaintiffs’ motion for
preliminary injunction. Accordingly, Plaintiffs’ motion to strike is moot.
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38 - OPINION & ORDER
CONCLUSION
For the reasons stated above, Plaintiffs’ motion for preliminary injunction (dkt.
#32) is denied, Plaintiffs’ motion to strike (dkt. #59) and second motion to strike (dkt.
#74) are moot, and Defendants’ motion to strike (dkt. #43) is granted.
IT IS SO ORDERED.
Dated this
day of ____________, 2013.
MARCO A. HERNANDEZ
United States District Judge
39 - OPINION & ORDER
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