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Nature of Suit Code: 890
Nature of Suit: Other Statutory Actions
Cause of Action: 

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United States Court of Appeals

FOR THE DISTRICT OF COLUMBIA CIRCUIT

Argued October 29, 1999 Decided February 1, 2000

No. 97-5031

Animal Legal Defense Fund, Inc., et al.,

Appellees

v.

Daniel R. Glickman, In his official capacity as Secretary,

United States Department of Agriculture, et al.,

Appellants

National Association for Biomedical Research,

Appellee

Consolidated with

Nos. 97-5009 and 97-5074

Appeals from the United States District Court

for the District of Columbia

(No. 96cv00408)

John S. Koppel, Attorney, U.S. Department of Justice,

argued the cause for appellants in Glickman, et al. in 97-5031.

With him on the briefs were David W. Ogden, Acting AssisUSCA Case #97-5074 Document #493089 Filed: 02/01/2000 Page 1 of 13
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tant Attorney General, Michael Jay Singer, Attorney, and

Wilma A. Lewis, U.S. Attorney.

Harris Weinstein argued the cause for appellant

National Association for Biomedical Research in No.

97-5009. Michael G. Michaelson was with him on the

brief.

Sheldon E. Steinbach, Robert H. Loeffler and Stephen S.

Dunham were on the brief for amici curiae The Association of

American Medical Colleges, The American Council on Education and The Pharmaceutical Research and Manufacturers

Association of America.

Katherine A. Meyer and Valerie J. Stanley filed the briefs

for appellants in No. 97-5074.

Katherine A. Meyer argued the cause for appellees in No.

97-5009. With her on the brief was Valerie J. Stanley.

Harris Weinstein and Michael G. Michaelson were on the

brief for the National Association for Biomedical Research as

appellee in No. 97-5074.

Leslie G. Landau was on the brief for amicus curiae The

Jane Goodall Institute for Wildlife Research, Education and

Conservation.

Before: Williams, Sentelle, Garland, Circuit Judges.

Opinion for the court filed by Circuit Judge Williams.

Williams, Circuit Judge: In Animal Legal Defense Fund,

Inc. v. Glickman, 154 F.3d 426 (D.C. Cir. 1998) (en banc), we

held that plaintiff Marc Jurnove has standing to challenge

regulations promulgated by the Secretary of Agriculture in

1991 that purport to set "minimum requirements ... for a

physical environment adequate to promote the psychological

well-being of primates." 7 U.S.C. s 2143(a)(1)-(2). The en

banc court left untouched the panel's decision that Animal

Legal Defense Fund lacked standing. 154 F.3d at 428-29 n.3.

The court referred the merits--the question whether the

Secretary's regulations satisfy that statutory mandate and the

Administrative Procedure Act--to a future panel. Id. at 429,

445. Finding that the regulations do meet the statutory and

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APA tests, we reverse the district court's decision to the

contrary.

* * *

In 1985 Congress passed the Improved Standards for

Laboratory Animals Act, Pub. L. No. 99-198, 99 Stat. 1645,

amending the Animal Welfare Act of 1966. See 7 U.S.C.

s 2131 et seq. The 1985 amendments directed the Secretary

of Agriculture to promulgate "standards to govern the humane handling, care, treatment, and transportation of animals

by dealers, research facilities, and exhibitors." Id.

s 2143(a)(1). The Act specified that among these must be

"minimum requirements ... for a physical environment adequate to promote the psychological well-being of primates."

Id. s 2143(a)(1)-(2).

There are over 240 species of non-human primates, ranging

from marmosets of South America that are a foot tall and

weigh less than half a pound to gorillas of western Africa

standing six feet tall and weighing up to 500 pounds. It

proved no simple task to design regulations to promote the

psychological well-being of such varied species as they are

kept and handled for exhibition and research. Notice of

intent to issue regulations was first published in the Federal

Register in 1986, 51 Fed. Reg. 7950 (1986), but the Secretary

did not publish proposed regulations until 1989. 54 Fed. Reg.

10897 (1989). After receiving a flood of comments (10,686

timely ones, to be precise), the Secretary reconsidered the

regulations and published new proposed regulations in 1990.

55 Fed. Reg. 33448 (1990). After receiving another 11,392

comments, he adopted final regulations in 1991. 56 Fed. Reg.

6426 (1991); 9 CFR s 3.81.

The final regulations consist of two separate modes of

regulation, typically known as engineering standards and

performance standards. The former dictate the required

means to achieve a result; the latter state the desired outcomes, leaving to the facility the choice of means. See 56

Fed. Reg. at 6427 (discussing engineering and performance

standards generally). The Secretary identifies five guidelines

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that he considers engineering standards, which in substance

require as follows: (1) restraints are generally prohibited

subject to certain exceptions as determined by the attending

veterinarian or the research proposal, 9 CFR s 3.81(d); (2)

primary enclosures must be "enriched" so that primates may

exhibit their typical behavior, such as swinging or foraging,

id. s 3.81(b); (3) certain types of primates must be given

special attention, including infants, young juveniles, individually housed primates, and great apes over 110 pounds, again

in accord with "the instructions of the attending veterinarian," id. s 3.81(c); (4) facilities must "address the social needs

of nonhuman primates ... in accordance with currently accepted professional standards ... and as directed by the

attending veterinarian," but they may individually house primates under conditions further specified in the regulations,

id. s 3.81(a); and (5) minimum cage sizes are set according to

the typical weight of different species, id. s 3.80(b)(2)(i).

To implement these guidelines and to promote the psychological well-being of the primates, facilities must develop

performance plans:

Dealers, exhibitors, and research facilities must develop,

document, and follow an appropriate plan for environment enhancement adequate to promote the psychological well-being of nonhuman primates. The plan must be

in accordance with the currently accepted professional

standards as cited in appropriate professional journals or

reference guides, and as directed by the attending veterinarian. This plan must be made available to APHIS

[Animal and Plant Health Inspection Service] upon request, and, in the case of research facilities, to officials of

any pertinent funding agency.

Id. s 3.81.

Jurnove primarily maintains that nothing about these regulations establishes "minimum requirements ... for a physical

environment adequate to promote the psychological wellbeing of primates," and that the Secretary's use of performance plans and his apparent deference to on-site veterinariUSCA Case #97-5074 Document #493089 Filed: 02/01/2000 Page 4 of 13
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ans amount to an impermissible delegation of his legal responsibility.

The district court agreed. Animal Legal Defense Fund v.

Glickman ("ALDF"), 943 F. Supp. 44 (D.D.C. 1996). It held

that the regulation "fails to set standards," by which the

district court meant engineering standards, and that "the

regulation completely delegates the establishment of such

standards to the regulated entities" because "[a]t best, the

regulation refers these entities to the direction of their attending veterinarians--who are not under the control of the

agency." Id. at 59. The district court also concluded that

the Secretary had a duty to require social housing of primates

given a finding by the Secretary that "[i]n general, housing in

groups promotes psychological well-being more assuredly

than does individual housing." Id. at 60 (quoting 56 Fed.

Reg. at 6473). As the court read the regulation "the agency

delineates only when social grouping might not be provided,"

and therefore "the regulation does not contain any minimum

requirement on a point recognized by the agency itself as

critical to the psychological well-being of primates." Id.

* * *

Jurnove argues that the plain language of the statute--the

Secretary shall establish "minimum requirements ... for a

physical environment adequate to promote the psychological

well-being of primates"--requires that the Secretary spell out

exactly how primates may and may not be housed and

handled (i.e., engineering standards), or at least spell out the

"minimum requirements" in this manner. The Secretary's

emphatic first response is: we did.

Jurnove consistently reads the regulations, as did the district court, as if the only "requirement" of the facilities is the

production of a performance plan and that, basically, anything

goes--provided the facilities honor what he views as the

empty formality of finding some sort of support from "currently accepted professional standards as cited in appropriate

professional journals or reference guides" and from "the

attending veterinarian." 9 CFR s 3.81. This reading yields

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an obvious parade of horribles. Facilities will find unscrupulous veterinarians to rubber-stamp outrageous practices, and

fringe periodicals will be the coin of the animal realm. This,

argues Jurnove, is not the setting of "standards" or "minimum requirements" that the statute plainly commands.

We need not decide when performance standards alone

could satisfy a congressional mandate for minimum requirements, or whether the sort of agency deference depicted by

Jurnove could ever do so. The regulations here include

specific engineering standards. The most obvious example is

the regulation of cage sizes, id. s 3.80, which even Jurnove

grants is an engineering standard. Jurnove attempts to

discount the "primary enclosure" requirements because they

appear in a different section of the regulations, and the

Animal Welfare Act had previously mandated standards for

"housing." But the Secretary stated that the cage requirements were set as part of the standards for promoting

psychological well-being, 56 Fed. Reg. at 6468, and it is

perfectly permissible to implement congressional commands

through complementary regulations, some of which serve

multiple goals. See Public Citizen, Inc. v. FAA, 988 F.2d

186, 192-93 (D.C. Cir. 1993).

The Secretary's requirement bases cage size on the weight

of the primate, with special provisions for great apes, whereas

the previous regulations merely required "sufficient space to

allow each nonhuman primate to make normal postural adjustments with adequate freedom of movement." 56 Fed.

Reg. at 6469. By hiking the requirements, the Secretary

addressed an issue that Congress considered one of the

central elements of a primate's psychological well-being. The

statutory language speaks of minimum requirements for the

"physical environment" of the primate, 7 U.S.C.

s 2143(a)(2)(B), and the Conference Committee noted that

"[t]he intent of standards with regard to promoting the

psychological well-being of primates is to provide adequate

space equipped with devices for exercise consistent with the

primate's natural instincts and habits." H.R. Conf. Rep. No.

99-447, at 594 (1985) (emphasis added).

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Similarly, the regulations on environmental enrichment,

special consideration of certain primates (infants, juveniles,

etc.), and restraint devices all plainly provide engineering

standards. 9 CFR s 3.81(b)-(d). The facilities "must" provide environmental enrichment and special consideration for

certain primates, id. s 3.81(b), (c), and they "must not"

maintain primates in restraint devices "unless required for

health reasons as determined by the attending veterinarian or

by a research proposal approved by the Committee at research facilities," id. s 3.81(d). The regulation on restraints

then makes clear that even where a veterinarian approves of

restraints, there are still limits:

Maintenance under such restraint must be for the shortest period possible. In instances where long-term (more

than 12 hours) restraint is required, the nonhuman primate must be provided the opportunity daily for unrestrained activity for at least one continuous hour during

the period of restraint, unless continuous restraint is

required by the research proposal approved by the Committee at research facilities.

Id. Although research facilities may be allowed to restrain

primates continuously, this limited exception is not offered to

non-research handlers and is in keeping with the statute's bar

on the Secretary from interfering with research. See 7

U.S.C. s 2143(a)(6)(A)(i)-(iii).

These "requirements" may be minimal but they are clearly

mandatory. Jurnove argued, and the district court agreed,

that this case begins and ends with the fact that the Secretary provided no engineering standards. ALDF, 943

F. Supp. at 59. But in fact he did.1

__________

1 Having found that the Secretary "ha[s] not yet issued standards," the district court went on to hold that he had "unlawfully

withheld and unreasonably delayed" action in violation of the APA;

it ordered the Secretary to "commence appropriate rulemaking

procedures" and promulgate standards. 943 F. Supp. at 59-60.

Our holding here moots this theory and accordingly we vacate that

portion of the order.

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It of course remains possible that the engineering and

performance standards chosen by the Secretary are not

enough to meet the mandate of "minimum requirements."

We assess this issue under the familiar doctrine that if

Congress has spoken to the precise question at issue, we

must "give effect to the unambiguously expressed intent of

Congress," but if Congress has not, we defer to a permissible

agency construction of the statute. Chevron U.S.A. Inc. v.

NRDC, 467 U.S. 837, 842-43 (1984).

Here Jurnove's Exhibit A (and indeed his only serious

example) is the Secretary's handling of primates' "social

grouping." In 1989 the Secretary proposed to include a

requirement of group housing for primates, saying that he

intended to emphasize that

nonhuman primates must be grouped in a primary enclosure with compatible members of their species or with

other nonhuman primate species, either in pairs, family

groups, or other compatible social groupings, whenever

possible and consistent with providing for the nonhuman

primates' health, safety, and well-being, unless social

grouping is prohibited by an animal care and use procedure and approved by the facility's Committee.

54 Fed. Reg. 10822, 10917 (1989). This proposal was based

on evidence that "nonhuman primates are social beings in

nature and require contact with other nonhuman primates for

their psychological well-being," and that "[s]ocial deprivation

is regarded by the scientific community as psychologically

debilitating to social animals." Id.

The final rule, of course, refrained from imposing such a

general group housing requirement. Jurnove (stating his

case in the best light) would tie the agency to its 1989

proposal on two theories: He argues first under Chevron that

because of this finding any interpretation of the statute not

recognizing social grouping as one of the "minimum requirements" could not be a reasonable interpretation of the statute. And second he claims that the Secretary's decision was

arbitrary and capricious because he failed to explain it adequately, in violation of the Administrative Procedure Act and

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the principles set out in Motor Vehicle Mfrs. Ass'n v. State

Farm Mutual Auto. Ins. Co., 463 U.S. 29, 43 (1983). We

have distinguished between Chevron review and State Farm

arbitrary and capricious review, see Arent v. Shalala, 70 F.3d

610, 615-16 (D.C. Cir. 1995), but the two issues "overlap at

the margins," id. at 615, 616 n.6; Independent Petroleum

Assn. v. Babbitt, 92 F.3d 1248, 1258 (D.C. Cir. 1996), and our

review here exemplifies such overlap. See also Kenneth Culp

Davis & Richard J. Pierce, Jr., Administrative Law Treatise,

s 7.4, p. 214-15 (Supp. 1998) ("[T]here is complete overlap

between Chevron step two and State Farm ... a rule that

adopts an 'unreasonable' interpretation of a statute within the

meaning of Chevron step two is 'arbitrary and capricious'

within the meaning of State Farm.").

The Secretary's 1989 proposal was at odds with comments

already in the record. For example, comments of the American Psychological Association had noted the wide disparities

in social behavior among primates, with some forming large

troops of 50 to 100 or more, others living in small groups of

10 to 20, and still others spending their lives in almost

solitary isolation or as pairs in the wild. The 1989 proposal

itself then generated new opposing comments, most notably

from the University of Chicago, which pointed out that group

housing "can significantly increase the incidence of trauma,

the spread of upper respiratory and gastrointestinal diseases

and more recently has been responsible for the outbreak of

Simian Acquired Immune Deficiency Syndrome." Moreover,

according to these comments, an image of nonhuman primates blissfully coexisting in groups is a substantially incomplete depiction of species-typical behavior. Again, as the

University of Chicago informed the Secretary: "Even in

compatible groups in no specific distress, species typical

activities include threatening, chasing, fighting, wounding,

hair-pulling, food competition, dominance challenges and reversals, and displacement of subordinate animals from food,

water and shelter. Such activity can threaten the animals'

health and well-being."

The Secretary took account of such comments, just as the

designers of "notice and comment" rulemaking intended. He

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pointed to expressions of concern that "social grouping would

endanger the animal's [sic] welfare by increasing noise and

fighting," 55 Fed. Reg. at 33491, and to contentions that

differences among species (there are, recall, over 240) required "discretion be used in deciding whether to employ

group housing," id. Although it is true (as the district court

noted and Jurnove here argues) that even in the final rulemaking the Secretary observed that "[i]n general, housing in

groups promotes psychological well-being more assuredly

than does individual housing," 943 F. Supp. at 60 (quoting 56

Fed. Reg. at 6472-73), that generality was obviously qualified

by the remarks just quoted.

Thus the Secretary proposed a new regulation on social

grouping:

The environment enhancement plan must include specific

provisions to address the social needs of nonhuman primates of species known to exist in social groups in

nature. Such specific provisions must be in accordance

with currently accepted professional standards, as cited

in appropriate professional journals or reference guides,

and as directed by the attending veterinarian.

55 Fed. Reg. at 33525; 9 CFR s 3.81(a) (final rule same).

The regulation then offers "exceptions" to the social needs

provision if the primate is vicious or debilitated, if it carries

contagious diseases, or if its potential companions are not

compatible. Id. s 3.81(a)(1)-(3). Even though social grouping is no longer formally mandated (facilities must only

produce a "specific" plan for action that addresses "social

needs"), the Secretary rightly argues that the enumeration of

the "exceptions" makes social grouping the "norm."

Contrary to the view of the district court, the statute did

not force the Secretary to require social grouping and then

specify exceptions. See 943 F. Supp. at 60. To the contrary,

we accord agencies broad deference in choosing the level of

generality at which to articulate rules. See American Trucking Ass'ns v. Department of Transp., 166 F.3d 374, 380 (D.C.

Cir. 1999); New Mexico v. EPA, 114 F.3d 290, 293 (D.C. Cir.

1997). Nothing in the statutory mandate required greater

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specificity. See New Mexico, 114 F.3d at 293 (statutory

mandate to set "criteria" for waste plant certification "says

nothing to suggest that the criteria must be detailed or

quantitative"); Public Citizen v. FAA, 988 F.2d 186, 191-92

(D.C. Cir. 1993) (statutory mandate to set "minimum staffing

levels" did not require specification of precise numbers of

personnel). Much as in New Mexico, because the Secretary

was reasonably concerned that more precise specification

might cause harm, it was entirely reasonable under the

statute for him to choose a relatively flexible standard. See

55 Fed. Reg. at 33491; New Mexico, 114 F.3d at 293.2

The explanation that renders the Secretary's interpretation

of the statute reasonable also serves to establish that the final

rule was not arbitrary and capricious. Compare Arent, 70

F.3d at 616-17. Where "Congress delegates power to an

agency to regulate on the borders of the unknown, courts

cannot interfere with reasonable interpretations of equivocal

evidence"; courts are most deferential of agency readings of

scientific evidence. See New York v. EPA, 852 F.2d 574, 580

(D.C. Cir. 1988) (quoting Public Citizen Health Research

Group v. Tyson, 796 F.2d 1479, 1505 (D.C. Cir. 1986)). There

is little question that the Secretary was forced to regulate "on

the borders of the unknown" in setting the baseline of rights

to "psychological well-being" for nonhuman primates, or at

least how to "promote" their psychological well-being. In

changing the design of the regulations, the Secretary pointed

to substantial conflicting evidence on whether a stringent

social grouping requirement was a good idea, 55 Fed. Reg. at

33491, and thus his final policy judgment on social grouping

was reasonable.

Jurnove may well be correct that some of the Secretary's

regulations may prove difficult to enforce, or even difficult to

augment through subsequent "interpretation." Cf. Hoctor v.

__________

2 It is difficult to discern what difference use of the district

court's preferred method (a requirement subject to exceptions)

would make. Given the Secretary's amply supported findings, the

exceptions would necessarily have been at a rather broad level of

generality.

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USDA, 82 F.3d 165 (7th Cir. 1996). But the requirements

such as the ones on cage size and restraints are eminently

enforceable, and the Secretary has begun to offer interpretations likely to assist both regulatees and enforcers. See

Draft Policy on Environment Enhancement for Nonhuman

Primates, 64 Fed. Reg. 38145 (1999).

* * *

Two final issues. ALDF now asserts standing in its own

right on the basis of an "informational injury": the proposed

rules required that facilities submit performance plans to the

agency (potentially making them subject to the Freedom of

Information Act), but the final rule required only that the

plans "be made available to APHIS upon request." 9 CFR

s 3.81. ALDF's alleged "informational injury" is the lack of

sufficient notice of this rule change. The argument is foreclosed, however, by ALDF's failure to raise the "informational injury" theory before the first panel to hear this appeal.

See Animal Legal Defense Fund, Inc. v. Glickman, 130 F.3d

464, 470 (D.C. Cir. 1997) ("ALDF specifically disclaims any

informational injury resulting from a violation of the Animal

Welfare Act."). This leaves only ALDF's procedural claim

that the change was not a "logical outgrowth" of the earlier

proposal and thus a violation of "notice and comment" requirements. But standing to raise a procedural injury requires that the procedural norm be one "designed to protect

some threatened concrete interest" of the plaintiff, see Lujan

v. Defenders of Wildlife, 504 U.S. 555, 573 n.8 (1992), and the

prior panel found that ALDF had advanced no such concrete

interest. 130 F.3d at 470-71.

The second issue concerns intervention by the National

Association for Biomedical Research, which argued for upholding the Secretary's regulations. Plaintiff (presumably

Jurnove) challenges the Association's intervention on several

grounds. Since we uphold the Secretary's regulations, the

issues surrounding the intervention are at present moot. If

the Association seeks participation in any future proceedings,

the issue of intervention can be determined at that time,

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dependent upon its showing of the inadequacy of government

representation of its interests then in prospect. See Solid

Waste Agency v. United States Army Corps of Eng'rs, 101

F.3d 503, 508-09 (7th Cir. 1996).

* * *

The decision of the district court is

Reversed.

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