Environmental Defense v. Duke Energy Corp.

Last updated

Environmental Defense v. Duke Energy Corporation
Seal of the United States Supreme Court.svg
Argued November 1, 2006
Decided April 2, 2007
Full case nameEnvironmental Defense, et al., Petitioners v. Duke Energy Corporation, et al.
Docket no. 05-848
Citations549 U.S. 561 ( more )
127 S. Ct. 1423; 167 L. Ed. 2d 295; 2007 U.S. LEXIS 3784; 75 U.S.L.W. 4167; 63 ERC (BNA) 2088; 37 ELR 20076; 20 Fla. L. Weekly Fed. S 123
Case history
PriorOn writ of certiorari to the United States Court of Appeals for the District of Columbia Circuit
Holding
The interpretation of a "modification" in the Clean Air Act, in regards to Prevention of Significant Deterioration and New Source Performance Standard, does not require the same regulatory implementation.
Court membership
Chief Justice
John Roberts
Associate Justices
John P. Stevens  · Antonin Scalia
Anthony Kennedy  · David Souter
Clarence Thomas  · Ruth Bader Ginsburg
Stephen Breyer  · Samuel Alito
Case opinions
MajoritySouter, joined by Roberts, Stevens, Scalia, Kennedy, Ginsburg, Breyer, Alito; Thomas (all but Part III–A)
ConcurrenceThomas (in part)

Environmental Defense v. Duke Energy Corporation, 549 U.S. 561 (2007), is a United States Supreme Court case in which the Court held that while a term may be used more than once in a statute, an agency has the discretion to interpret each use of the term in a different way based on the context. It involved the Environmental Defense Fund and Duke Energy. In a unanimous decision, the court held in favor of the plaintiff's (Environmental Defense) argument.

Contents

This case addressed the Clean Air Act (CAA) and two of its programs, Prevention of Significant Deterioration (PSD) and New Source Performance Standard (NSPS). PSD applies to regulating annual emissions; NSPS pertains to regulating hourly emissions, although the defendants argued that the hourly emissions of their facilities remained unchanged. Each section of the Clean Air Act, that outlines the provisions of the PSD and the NSPS, defines "modification" differently. As a result, the inconsistency of the term "modification" in the CAA becomes the main debate of the case and the main argument for both the plaintiffs and defendants.

Parties

Plaintiffs

The Environmental Defense Fund (EDF) is a nonprofit organization that works to reduce threats to the earth's environment that impact the climate, ocean, and ecosystems. The EDF was founded in 1967, in response to implications from usage of DDT. Today, with more than 2 million members, the EDF uses scientific support, economics, and environmental law to solve environmental problems. Additionally, the EDF develops "unlikely" partnerships to broaden support and expand reach for various issues. [1]

Defendants

Duke Energy Corporation is a large-scale power company and utility in the United States that supplies and delivers electricity to nearly 7.4 million customers, covering a 50,000 square mile service territory. The company's electricity generation portfolio is composed predominantly of natural gas, nuclear, oil, and coal-fired power, as well as some renewable energy. The electrical generating capacity of Duke Energy totals 52,700 megawatts. The company has $133 billion in assets and approximately 28,800 employees. The company's mission is to provide electric services "in a sustainable way – affordable, reliable, clean". [2]

Background

Clean Air Act

The US Clean Air Act was enacted in 1963. It was the federal government's first major step towards air pollution control. Currently the CAA regulates six criteria air contaminants from stationary sources: particulate matter, lead, ozone, nitrogen oxides, carbon monoxide, and sulfur oxides. Amendments have been added to the CAA, in 1970, 1977, and 1990. Objective of the regulation is to "protect human health, welfare and the environment by maintaining and improving the quality of the air through the development of standards". [3]

New Source Performance Standards

The New Source Performance Standards, 42 U.S.C. 7411, was added to the CAA in 1970 and is a required permitting process in an attainment and non-attainment area. The NSPS imposes emission standards for pollutants in new or reconstructed stationary sources that undergo "modification." The controls are technology based, as set by the EPA, but are delegated to the states to implement through their State Implementation Plan (SIP). [4] [5]

The CAA defines "modification" under the NSPS as "any physical change in, or change in the method of operation of, a stationary source which increases the amount of any air emitted by such source or which results in the emission of any air pollution not previously emitted." If there is a "modification," a physical change in the source's method of operation would increase the emission rate of pollution expressed in kilograms per hour (kg/h). [6]

Prevention of Significant Deterioration

When a pollutant source is in an attainment area, it becomes subject to the PSD permitting process. The PSD is part of the New Source Review program and was added to the CAA in 1977 with the goal of not allowing the good air to deteriorate, since it is only required for areas of attainment. [7] The PSD is focused on air quality in the region, in regards to health effects, as opposed to the emission technology. While some argue that the PSD is not needed as the public health is protected by National Ambient Air Quality Standards (NAAQS), others may say that the PSD prevents the "flight of industry" from dirty to clean areas that are in attainment, as they would not have to comply with as strict of regulations. [4] Before this program was implemented, there was nothing in place that addressed potential air quality deterioration. [5]

The CAA defines "modification" under the PSD as "net annual emissions increase". This is when the actual emissions from a pollutant source would increase the average for the two prior years; "any physical change in or change in the method of operation of a major stationary source that would result in: a significant emissions increase of a regulated NSR pollutant; and a significant net emissions increase of that pollutant from the major stationary source." [6]

Case

In 1988, Duke Energy Corporation began a series of improvements to its eight power plants in order to modernize its facilities, taking twelve years to complete. [8] The power generation plants were coal-fire powered and utilized "boilers and steam turbines". The improvements incorporated alterations to the boilers as well as portions of "waterwalls, superheaters, and reheaters". The work was costly but would allow Duke's facilities to run with full capability without having various units down. [9]

On December 22, 2000, the EPA filed suit against Duke Energy Corporation in District Court, for the 29 alterations to their power plants that had been performed. The EPA claimed they had lacked the proper PSD permits and in doing so, violated the CAA. Duke argued that their improvements did not fall within the scope of the PSD program because the power plants' hourly emissions rate would not be altered. Shortly thereafter, three other environmental groups, led by Environmental Defense, joined the EPA in the suit. Environmental Defense, on the other hand, believed that by improving the plants, Duke would be able to run for longer hours, causing the "total annual emissions" to increase. This they believed, constituted the need for PSD to apply. [8]

Arguments

Environmental Defense argued that Duke Energy had violated the CAA under PSD by failing to receive permits to conduct modifications to their power plants. The modifications made would increase net emissions per year. [5] The term "modification" in the PSD provision relates to an overall increase of "annual emissions" rather than an increase in "hourly emissions", as Environmental Defense argues. They also contended that the D.C. Circuit was the necessary court to handle this case and not the Fourth Circuit. They believed the Fourth Circuit did not have authority to make a decision on this case because the CAA is "statutorily delegated to the D.C. Circuit". [8]

Duke Energy Corporation argued that its improvements did not need a permit because the changes had not increased their hourly rate of emissions. The NSPS defines "modification" as an increase in emissions per hour and the same definition must be applied to the PSD. The renovations were needed as a result of physical deterioration and age of the plants and modernization was necessary to avoid replacement. [5] Throughout their renovations, the hourly emission rates were kept constant and Duke argued they had not violated the PSD provisions. Concerning whether the Fourth District had authority to rule in this case, Duke believed they did since it was only an issue of interpreting provisions. Exclusive jurisdiction by the D.C. Circuit was according to Congress, only regarding "actions brought to enforce the PSD provisions." Duke argued that if the Fourth Circuit could not interpret regulations in this manner, it would present "serious constitutional questions regarding the availability of judicial review" by keeping courts from carrying out their duty to assert the law. [8]

District Court opinion

Knowing that analysis of the pertinent Clean Air Act amendments was difficult, the District Court allowed flexibility to the EPA in interpreting these amendments as well as their own regulations and should be given "controlling weight unless it is plainly erroneous or inconsistent with the regulation." The court also acknowledged that this flexibility does not allow the EPA "unbridled discretion" to interpret the Clean Air Act amendments freely. The court is still responsible for deciphering if the EPA's analysis agrees with Congress's objective. [6]

On August 26, 2003 the District Court composed a "three-faceted holding" based on whether:

1.) the "modification" completed was a "routine maintenance, repair and replacement"; 2.) a "net emissions increase" occurs only when the "hourly rate of emission increases"; 3.) Duke's failure to obtain a PSD permit before performing its modifications represented an ongoing violation for statute of limitations purposes.

The major finding at this court level was that in regards to the PSD regulation, a "net increase" of emissions can only occur when there is an increase in the hourly rate of emission. Although Duke had increased their hours of operation, they had not altered the hourly emission rate at its plants. Because of this, the District Court held that there had been no net increase of emission and Duke had not violated the PSD regulation and so, had not needed to acquire a permit for a major modification. [6]

Fourth Circuit opinion

Environmental Defense appealed to the United States Court of Appeals for the Fourth Circuit, which affirmed the District Court's ruling. The Fourth Circuit stated that different meanings of the word "modification" are not possible because Congress made clear that the legislative definition of "modification" were the same in both the PSD and NSPS regulations. [6] And thus the EPA could not interpret "modification" differently in either regulation but must interpret the term "consistently and uniformly for the purposes of both sets of regulations". [6] [8] The Fourth Circuit decision depended on precedent set by the Rowan case. After the 4th Circuit decision, the plaintiff and intervenor environmental groups filed a petition for certiorari with the Supreme Court. Both Duke Energy and the United States objected this action, however, the Supreme Court granted the petition on May 15, 2006. [6]

Rowan Companies Inc. v. United States is a related case in that it also concerns interpreting the same single term in two different regulations. In this case, the word "wages" was interpreted differently in two tax provisions by the Internal Revenue Service (IRS). The Supreme Court stated that the differing interpretations were impermissible because the IRS lacked the ability to interpret "wages" differently within the framework of this case. In this instance, the judgment affirms the general belief that "the same words, when repeated, carry the same meaning." [10]

Supreme Court decision

The judgment of the Court of Appeals was vacated and remanded. Justice Souter delivered the opinion of the Court.

It was found that the EPA did not have to interpret "modification" in PSD regulations the same way the term is interpreted in New Source Performance Standard regulations. The Court's opinion recognized that two uses of the same term, with the same definition, usually would mean the same thing. Yet in this instance, the term "modification" and its definition differ broadly. The Court concluded that "EPA's construction need do no more than fall within the limits of what is reasonable, as set by the Act's common definition." [9]

Justice Thomas wrote separately to note that although he agrees with the substantive ruling on the matter, he did not agree with the dicta in Part III-A of the Court's opinion. [11] Thomas believed that the EPA could not have different regulatory definitions of "modification" under PSD and NSPS. He also states that the Court should still apply its "usual presumption that the same words repeated in different parts of the same statute have the same meaning" and does not believe the Court's opinion overcame this presumption. [11]

Significance

The Supreme Court's decision demonstrates how discretion is given to the agency in interpreting regulations and definitions. Utilizing the Chevron test ( Chevron U.S.A., Inc. v. Natural Resources Defense Council, Inc. )), the agency can determine whether the statutory language is vague. For future implications, agencies may be able to alter regulatory requirements to make compliance more complex or costly. Conversely, the precedent set in this case could allow a more thorough Congress to limit this type of agency discretion in the future. [12]

This ruling was also significant because it provided a precedent that favored stronger regulation of stationary pollution sources. Even though the rate of emissions per hour would not have increased, the net emission per year would have due to increased hours of operation. As a result, the air quality was considered to be adversely impacted. [13] The Duke decision may signify that the Court will take environmental policy into consideration more in the future. The decision shows that the Supreme Court is more likely to interpret environmental laws in line with the legislation's objective rather than following the order of constricted rules of "statutory construction". [10]

Related Research Articles

The National Emission Standards for Hazardous Air Pollutants (NESHAP) are air pollution standards issued by the United States Environmental Protection Agency (EPA). The standards, authorized by the Clean Air Act, are for pollutants not covered by the National Ambient Air Quality Standards (NAAQS) that may cause an increase in fatalities or in serious, irreversible, or incapacitating illness.

<span class="mw-page-title-main">Concentrated animal feeding operation</span> Type of American intensive animal farming

In animal husbandry, a concentrated animal feeding operation (CAFO), as defined by the United States Department of Agriculture (USDA), is an intensive animal feeding operation (AFO) in which over 1,000 animal units are confined for over 45 days a year. An animal unit is the equivalent of 1,000 pounds of "live" animal weight. A thousand animal units equates to 700 dairy cows, 1,000 meat cows, 2,500 pigs weighing more than 55 pounds (25 kg), 10,000 pigs weighing under 55 pounds, 10,000 sheep, 55,000 turkeys, 125,000 chickens, or 82,000 egg laying hens or pullets.

A State Implementation Plan (SIP) is a United States state plan for complying with the federal Clean Air Act, administered by the Environmental Protection Agency (EPA). The SIP, developed by a state agency and approved by EPA, consists of narrative, rules, technical documentation, and agreements that an individual state will use to control and clean up polluted areas.

New Source Performance Standards (NSPS) are pollution control standards issued by the United States Environmental Protection Agency (EPA). The term is used in the Clean Air Act Extension of 1970 (CAA) to refer to air pollution emission standards, and in the Clean Water Act (CWA) referring to standards for water pollution discharges of industrial wastewater to surface waters.

Chevron U.S.A., Inc. v. Natural Resources Defense Council, Inc., 467 U.S. 837 (1984), was a landmark decision of the United States Supreme Court that set forth the legal test for when U.S. federal courts must defer to a government agency's interpretation of a law or statute. The decision articulated a doctrine known as "Chevron deference". Chevron deference consists of a two-part test that is deferential to government agencies: first, whether Congress has spoken directly to the precise issue at question, and second, "whether the agency's answer is based on a permissible construction of the statute."

Massachusetts v. Environmental Protection Agency, 549 U.S. 497 (2007), is a 5–4 U.S. Supreme Court case in which Massachusetts, along with eleven other states and several cities of the United States, represented by James Milkey, brought suit against the Environmental Protection Agency (EPA) represented by Gregory G. Garre to force the federal agency to regulate the emissions of carbon dioxide and other greenhouse gases (GHGs) that pollute the environment and contribute to climate change.

United States vehicle emission standards are set through a combination of legislative mandates enacted by Congress through Clean Air Act (CAA) amendments from 1970 onwards, and executive regulations managed nationally by the Environmental Protection Agency (EPA), and more recently along with the National Highway Traffic Safety Administration (NHTSA). These standard cover common motor vehicle air pollution, including carbon monoxide, nitrogen oxides, and particulate emissions, and newer versions have incorporated fuel economy standards.

A New Source Review (NSR) is a permitting process created by the US Congress in 1977 as part of a series of amendments to the Clean Air Act. The NSR process requires industry to undergo an Environmental Protection Agency pre-construction review for environmental controls if they propose either building new facilities or any modifications to existing facilities that would create a "significant increase" of a regulated pollutant. The legislation allowed "routine scheduled maintenance" to not be covered in the NSR process. Since the terms "significant increase" and "routine scheduled maintenance" were never precisely defined in legislation, they have become a source of contention in many lawsuits filed by the EPA, public interest groups, and utilities.

<span class="mw-page-title-main">Clean Air Act (United States)</span> 1963 United States federal law to control air pollution

The Clean Air Act (CAA) is the United States' primary federal air quality law, intended to reduce and control air pollution nationwide. Initially enacted in 1963 and amended many times since, it is one of the United States' first and most influential modern environmental laws.

<span class="mw-page-title-main">Air quality law</span> Type of law

Air quality laws govern the emission of air pollutants into the atmosphere. A specialized subset of air quality laws regulate the quality of air inside buildings. Air quality laws are often designed specifically to protect human health by limiting or eliminating airborne pollutant concentrations. Other initiatives are designed to address broader ecological problems, such as limitations on chemicals that affect the ozone layer, and emissions trading programs to address acid rain or climate change. Regulatory efforts include identifying and categorising air pollutants, setting limits on acceptable emissions levels, and dictating necessary or appropriate mitigation technologies.

<i>American Electric Power Co. v. Connecticut</i> 2011 United States Supreme Court case

American Electric Power Company v. Connecticut, 564 U.S. 410 (2011), was a United States Supreme Court case in which the Court, in an 8–0 decision, held that corporations cannot be sued for greenhouse gas emissions (GHGs) under federal common law, primarily because the Clean Air Act (CAA) delegates the management of carbon dioxide and other GHG emissions to the Environmental Protection Agency (EPA). Brought to court in July 2004 in the Southern District of New York, this was the first global warming case based on a public nuisance claim.

The United States Environmental Protection Agency (EPA) began regulating greenhouse gases (GHGs) under the Clean Air Act from mobile and stationary sources of air pollution for the first time on January 2, 2011. Standards for mobile sources have been established pursuant to Section 202 of the CAA, and GHGs from stationary sources are currently controlled under the authority of Part C of Title I of the Act. The basis for regulations was upheld in the United States Court of Appeals for the District of Columbia in June 2012.

Entergy Corp. v. Riverkeeper, Inc., 556 U.S. 208 (2009), is a decision by the United States Supreme Court that reviewed the Environmental Protection Agency's (EPA) interpretation of the Clean Water Act regulations with regard to cooling water intakes for power plants. Existing facilities are mandated to use the "Best Technology Available" to "minimize the adverse environmental impact." The issue was whether the agency may use a cost–benefit analysis (CBA) in choosing the Best Available Technology or (BAT) to meet the National Performance Standards (NPS).

<span class="mw-page-title-main">Mobile source air pollution</span> Air pollution emitted by motor vehicles, airplanes, locomotives, and other engines

Mobile source air pollution includes any air pollution emitted by motor vehicles, airplanes, locomotives, and other engines and equipment that can be moved from one location to another. Many of these pollutants contribute to environmental degradation and have negative effects on human health. To prevent unnecessary damage to human health and the environment, environmental regulatory agencies such as the U.S. Environmental Protection Agency have established policies to minimize air pollution from mobile sources. Similar agencies exist at the state level. Due to the large number of mobile sources of air pollution, and their ability to move from one location to another, mobile sources are regulated differently from stationary sources, such as power plants. Instead of monitoring individual emitters, such as an individual vehicle, mobile sources are often regulated more broadly through design and fuel standards. Examples of this include corporate average fuel economy standards and laws that ban leaded gasoline in the United States. The increase in the number of motor vehicles driven in the U.S. has made efforts to limit mobile source pollution challenging. As a result, there have been a number of different regulatory instruments implemented to reach the desired emissions goals.

There are benefits to leaving environmental regulation both to the federal government to the states.For example, wildlife conservation is much more of a concern for Alaska than for New York. New York, however, has much bigger air and light pollution issues than Alaska.

<span class="mw-page-title-main">Energy Tax Prevention Act</span> Proposed US legislation

Energy Tax Prevention Act, also known as H.R. 910, was a 2011 bill in the United States House of Representatives to prohibit the United States Environmental Protection Agency (EPA) from regulating greenhouse gases to address climate change. On April 7, 2011, the bill passed the House by a vote of 255 to 172. The bill died in January 2013 with the ending of the Congressional session.

Utility Air Regulatory Group v. Environmental Protection Agency, 573 U.S. 302 (2014), was a US Supreme Court case regarding the Environmental Protection Agency's regulation of air pollution under the Clean Air Act.

Michigan v. Environmental Protection Agency, 576 U.S. 743 (2015), is a landmark United States Supreme Court case in which the Court analyzed whether the Environmental Protection Agency must consider costs when deciding to regulate, rather than later in the process of issuing the regulation.

<span class="mw-page-title-main">Clean Power Plan</span> United States energy plan from President Obama

The Clean Power Plan was an Obama administration policy aimed at combating anthropogenic climate change that was first proposed by the Environmental Protection Agency (EPA) in June 2014. The final version of the plan was unveiled by President Barack Obama on August 3, 2015. Each state was assigned an individual goal for reducing carbon emissions, which could be accomplished how they saw fit, but with the possibility of the EPA stepping in if the state refused to submit a plan. If every state met its target, the plan was projected to reduce carbon emissions from electricity generation 32% by 2030, relative to 2005 levels, as well as achieving various health benefits due to reduced air pollution.

West Virginia v. Environmental Protection Agency, 597 U.S. ___ (2022), is a landmark decision of the U.S. Supreme Court relating to the Clean Air Act, and the extent to which the Environmental Protection Agency (EPA) can regulate carbon dioxide emissions related to climate change.

References

  1. Environmental Defense Fund. "About Us". Environmental Defense Fund. Retrieved May 7, 2012.
  2. Duke Energy Corporation. "About Us". Duke Energy Corporation. Retrieved May 7, 2012.
  3. U.S. Environmental Protection Agency. "History of the Clean Air Act". U.S. EPA. Archived from the original on May 2, 2012. Retrieved May 7, 2012.
  4. 1 2 Salzman, James, Thompson Jr., Barton H. (2010). Environmental Law and Policy . New York, NY: Foundation Press. ISBN   978-1-59941-771-4.{{cite book}}: CS1 maint: multiple names: authors list (link)
  5. 1 2 3 4 American Bar Association. "Environmental Defense v. Duke Energy Corporation" (PDF). Retrieved May 7, 2012.
  6. 1 2 3 4 5 6 7 Terwilliger, Phillip (2008). "Environmental Defense V. Duke Energy Corp.: Why Pollution Is Still Pollution During Non-Business Hours". Great Plains Natural Resources Journal. 12 (2): 171–184.
  7. National Research Council of the National Academies (2006). New Source Review of Stationary Sources of Air Pollution. The National Academies Press. doi:10.17226/11701. ISBN   978-0-309-10277-3 . Retrieved May 8, 2012.
  8. 1 2 3 4 5 Rowles, Molly. "ENVIRONMENTAL DEFENSE V. DUKE ENERGY CORP" . Retrieved May 7, 2012.
  9. 1 2 Eisele, Shawn (2008). "Environmental Defense V. Duke Energy Corp.: Paving The Way For Cap And Trade?". Ecology Law Quarterly. 35 (3): 363–384.
  10. 1 2 Edwards, Benjamin (March 21, 2009). "Environmental Defense v. Duke Energy Corporation" (PDF). Columbia Journal of Environmental Law. 37 (1): 197–213. Retrieved May 9, 2012.[ permanent dead link ]
  11. 1 2 Legal Information Institute. "Supreme Court of the United States". Cornell University Law School. Retrieved May 8, 2012.
  12. Patrizia, Chuck. "U.S. Supreme Court Upholds EPA's Interpretation of Emissions Increase Under the New Source Review Program" (PDF). Paul Hastings. Retrieved May 9, 2012.[ permanent dead link ]
  13. Lee, Ruth Jackson (2007). "Recent Developments: The Changing Tide of Land Use and Environmental Law". Journal of Land Use. 23 (1): 111–133.