City of Arlington v. FCC: Did the Supreme Court Just Expand the Scope of Chevron Deference? No.

On Monday, in City of Arlington v. FCC, the Supreme Court made clear that agency interpretations of ambiguous statutes are entitled to deference even where they involve questions relating to the scope of an agency’s authority or jurisdiction.  Greenwire seems to think that this is a big deal and even speculated today that City of Arlington may have altered the decision in a case challenging EPA’s determination that it does not have authority under TSCA to regulate lead ammunition.

I’m skeptical.  The decision seems plainly right to me.  As both Justice Scalia’s majority opinion and Justice Breyer’s concurring opinion make clear, this is not a pathbreaking decision and the Court, without explicitly recognizing the issue previously, has issued numerous Chevron opinions in which the statutory provision at issue went to the scope of the agency’s authority.

The bottom line is that where an agency interprets a provision of a statute it has authority to implement, Chevron requires courts to first interpret the plain language of the statute and second to defer to a reasonable agency interpretation if the statute is ambiguous.  This is not new.  It is not shocking.  And it is not rocket science.

Monday’s Greenwire story quotes Patrick Parenteau of Vermont Law School as expressing concern about the decision.  He notes, correctly, but obviously, that whether we like deference to agencies depends on whether we like what agencies do.  Yup.  He then suggests that, had this case been decided before Massachusetts v. EPA, the Supreme Court might have deferred to EPA’s interpretation of the Clean Air Act.  I don’t think so.  The majority decision  in Massachusetts v. EPA makes clear that the Clean Air Act was unambiguous.  Thus, EPA got no Chevron deference and would have gotten no deference under City of Arlington.

Finally, I note that Justice Roberts’s concern, as expressed in his dissent, is not really about Chevron and agency deference.  He simply does not like the modern administrative state.  I think he’s got the wrong argument here.  What he wants really to do is to revive the non-delegation doctrine, a view pretty much foreclosed by American Trucking Association v. Whitman.

Not a Good Week for Private Climate Change Litigation: The Supreme Court Denies Review in Kivalina

It has not been a good run for plaintiffs in private climate change litigation.  As we noted last week, the 5th Circuit Court of Appeals affirmed dismissal in Comer v. Murphy Oil.  Now, on Monday, the Supreme Court denied certiorari in Native Village of Kivalina v. Exxon MobilKivalina ended more with a whimper than a bang, since the simple denial of cert. carries no opinion or precedential weight.

Given the increasing number of expensive disasters, as well as the costs imposed by long-term sea level rise, I actually expect more and more private claims to be filed, in any jurisdiction or under any set of facts where the claims are not clearly precluded by a prior case.  Nonetheless, the near-term outlook for these cases is not bright.

It’s going to take a sea change – as it were – before plaintiffs win one of these cases.

Do Liability Policies, Particularly Pollution Liability Insurance Policies, Exclude Coverage for All Injunctions? The Fifth Circuit Says No.

The Fifth Circuit handed down an important decision last week, Louisiana Generating LLC v. Illinois Union Insurance Company, clarifying the scope of coverage under a Premises Pollution Liability Insurance Policy.  The policyholder sought coverage for a Clean Air Act suit by the United States alleging unpermitted major modifications that resulted in increased emissions of  sulfur dioxide and nitrogen oxide.  The insurer disputed coverage on the ground that the government under the Clean Air Act was seeking not remediation costs or compensatory damages but an injunction to repair emission control equipment to comply with regulatory standards.  According to the insurer, injunctions were excluded from coverage under the Fines and Penalties exclusion to the policy.

Applying New York law, consistent with the insurance policy’s choice of law provision, the Fifth Circuit affirmed the District Court’s summary judgment decision requiring the insurer to provide a duty to defend.  The Fifth Circuit noted that the complaint by the United States was not limited to an injunction requiring repairs to the emissions control equipment but also sought remedial costs to address the release into the atmosphere of unpermitted levels of certain pollutants.

While the possibility of remediation costs was sufficient to trigger the insurer’s duty to defend, the Fifth Circuit went on in perhaps its most significant holding to reject the insurer’s argument (which had been adopted by the lower court) that the policy excluded all injunctive relief  in its Fines and Penalties exclusion which precluded coverage for ”Payment of criminal fines, criminal penalties, punitive, exemplary or injunctive relief.”   The Fifth Circuit construed that exclusion narrowly limiting it only to injunctions that were part of a criminal or punitive fine or penalty.  As the Fifth Circuit explained, many environmental laws, like the Clean Air Act, are structured to obtain compliance through  either voluntary remediation work or court ordered injunctions, and it would make little sense if a Premises Pollution Liability Insurance Policy provided coverage for voluntary remediation work but did not cover the same work when done under a court order:

If the Fines and Penalties exclusion is a complete bar for coverage of costs associated with injunctive relief, the exception would potentially swallow the coverage afforded by the policy.  The policy would not cover claims under major federal environmental statues, such as the CAA and the Clean Water Act, when they are enforced by the EPA or state agencies seeking injunctive relief to mitigate and remediate past pollution.

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Why Trial Courts Are Reluctant To Exclude Scientific Evidence in Toxic Tort Cases

Environmental litigation, particularly toxic tort litigation, inevitably turns on scientific evidence about causation.  Beginning with the Supreme Court’s Daubert decision in 1993, trial courts have repeatedly been admonished to take seriously their role as gatekeepers who are required to keep from juries and other fact-finders ”junk science” and other expert evidence that is not sufficiently reliable to be considered.

Although no one would disagree that one key responsibility of any judge is to protect against the admission of unreliable evidence,  a recent unpublished decision by the Ninth Circuit in Whitlock v. Pepsi Americas suggests the dilemma of trial courts in attempting to execute that responsibility in environmental cases.  There, the trial judge had granted summary judgment dismissing a toxic tort action which was based on what the judge found to be unreliable scientific evidence of causation.  For example, one of the plaintiffs’ experts relied upon occupational studies to buttress his causation opinion even though the exposure levels examined in the studies were considerably higher  than the ones to which plaintiffs had been exposed.  The Ninth Circuit, however, reversed, quoting an earlier 2010 decision by that court that held that “Shaky but admissible evidence is to be attacked by cross examination, contrary evidence, and attention to the burden of proof, not exclusion.”

The difference between “shaky but admissible” and unreliable and inadmissible evidence would seem to be entirely in the eye of the beholder.   As long as appellate courts, like the Ninth Circuit in Whitlock, are willing to second-guess Daubert decisions in close cases, we should not be surprised if trial courts do not want to take the risk that they will be reversed if they exclude scientific evidence.

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A Nice, Straightforward Administrative Law Decision: HHS’s Decision to List Styrene as Reasonably Anticipated to Cause Cancer is Affirmed

Last week, in Styrene Information and Research Center v. Sebelius, Judge Reggie Walton of the District Court for the District of Columbia rejected challenges to the decision by HHS Secretary Kathleen Sebelius to list styrene as “reasonably anticipated” to be a carcinogen.  The case does not really break any new ground, but is a solidly written summary of several recurring issues in administrative law relating to review of agency decisions.

One important issue addressed by Judge Walton was how focused a comment on an agency decision must be to avoid arguments by the agency that the comment was waived by not being presented with sufficient particularity.  Here, the plaintiffs challenged in court the so-called “Listing Criteria” used to determine whether substances are known or reasonably anticipated to cause cancer.  However, while plaintiffs had commented on HHS’s application of the Listing Criteria, the Court concluded that they had not clearly commented on the Listing Criteria themselves.  Thus, the argument was waived.

The Court also reviewed the basic rules for determining whether agency action is arbitrary and capricious.  In this context, it’s worth noting that Judge Walton is not one to kow-tow to agency decision-making.  This makes him somewhat unusual in today’s polarized judiciary, in which all too often it seems that liberal judges interpret deference as abdication, while conservative judges simply honor the notion of deference in the breach, overturning agency actions which due deference would cause to be affirmed.

Judge Walton first noted that the standard is “highly deferential” and that the Court “must presume the validity of agency action.”  He then stated that

where, as here, a court is reviewing an agency’s evaluation of “‘scientific data within its technical expertise,’” the arbitrary and capricious standard of review is “‘extreme[ly] deferential.’” This is because courts “review scientific judgments of the agency ‘not as the chemist, biologist, or statistician that we are qualified neither by training nor experience to be, but as a reviewing court exercising our narrowly defined duty of holding agencies to certain minimal standards of rationality.’”

Reviewing HHS’s stated reasons for listing styrene, Judge Walton concluded that the evidence relied upon by HHS justified the listing on two, independent grounds: “’limited evidence’ of carcinogenicity in humans, and ‘sufficient evidence’ of carcinogenicity in animals.”  Case dismissed.

Jarndyce v. Jarndyce Has Nothing On Comer v. Murphy Oil: The Fifth Circuit Court of Appeals Affirms Dismissal

Readers of this blog will recall the bizarre history of Comer v. Murphy Oil.  In 2005, Plaintiffs brought tort claims against major GHG emitters, claiming that those emissions, by causing global warming, led to plaintiffs’ damages from Hurricane Katrina.  The District Court dismissed, ruling both that plaintiffs had no standing and that the claims were really non-justiciable political questions.  The Fifth Circuit Court of Appeals reversed and remanded.  However, before the mandate issued, six of the court’s nine active, unrecused judges voted to hear the case en banc.  That vote also vacated the panel decision, leaving the District Court judgment in place until the full en banc panel could hear the case.

This is when Comer took a left turn.  Before the en banc panel could hear the case, an additional judge was recused, leaving the court without a quorum to hear the case.  In a truly Dickensian move, the court concluded that, while it had no quorum to hear the case, it did not need a quorum to dismiss the appeal, leaving the plaintiffs with only a right to petition the Supreme Court to issue a writ of mandamus, an uphill battle if ever there were one.  The Supreme Court denied the writ in 2011, thus leaving the plaintiffs with no opportunity to have their appeal heard.  Sounds like a due process issue to me.  I do believe that most lawyers – and most non-lawyers – would have said that there is an automatic right to an appeal from the district courts of the United States.  Silly us.

Plaintiffs weren’t quite done, however.  They basically just refiled the same case, in 2011.  The District Court again dismissed, this time on res judicata grounds.  After all, as a result of the odd happenings before the 5th Circuit Court of Appeals, the original final judgment from the District Court was never disturbed.

On Tuesday, the 5th Circuit affirmed.  The critical issue was the third element of the res judicata demonstration:  that “the prior action was concluded by a final judgment on the merits.”  The Court concluded that it had been.  As a purely legal matter, the Court was probably correct, as the Supreme Court, in United States v. Munsingwear, Inc., had previously declined “to create an exception to res judicata for ‘those who have been prevented from obtaining the review to which they are entitled.’”

The bottom line, though, is that the Comer plaintiffs’ claims now have a second stake through their heart.  The claims are gone, with no opportunity for appellate review (notwithstanding that they actually had appellate review for a brief shining moment, and had prevailed).  If that’s what the law says, then, to borrow from a different Dickens work, the law is an ass.

As a footnote, literally, to this case, the Court noted that its local rule has been changed to provide that, in the future, if the full court loses its quorum after taking a case en banc, the panel decision will be reinstated.  Cold comfort to the plaintiffs here.

law is an ass