Court Opinion

ID: 4672910
Source: CourtListenerOpinion
Date Created: 2021-03-30 19:00:30.541869+00
Date Added: 2024-06-11T08:03:09.922261
License: Public Domain

PUBLISHED

                       UNITED STATES COURT OF APPEALS
                           FOR THE FOURTH CIRCUIT

                                      No. 19-2194

SOUTHERN APPALACHIAN MOUNTAIN STEWARDS; APPALACHIAN
VOICES; SIERRA CLUB,

                    Plaintiffs - Appellants,

             v.

RED RIVER COAL COMPANY, INCORPORATED,

                    Defendant - Appellee.

Appeal from the United States District Court for the Western District of Virginia, at Big
Stone Gap. James P. Jones, District Judge. (2:17-cv-00028-JPJ-PMS)

Argued: December 8, 2020                                       Decided: March 30, 2020

Before GREGORY, Chief Judge, and NIEMEYER and RICHARDSON, Circuit Judges.

Affirmed by published opinion. Judge Richardson wrote the opinion, in which Chief Judge
Gregory and Judge Niemeyer concurred.

ARGUED: John Michael Becher, APPALACHIAN MOUNTAIN ADVOCATES,
Lewisburg, West Virginia, for Appellants. Dabney J. Carr, TROUTMAN PEPPER
HAMILTON SANDERS LLP, Richmond, Virginia, for Appellee. ON BRIEF: Peter
Morgan, SIERRA CLUB, Denver, Colorado, for Appellants. Brooks M. Smith,
TROUTMAN SANDERS LLP, Richmond, Virginia, for Appellee.
RICHARDSON, Circuit Judge:

       Virginia has promulgated water-quality standards by regulation under the federal

Surface Mining Control and Reclamation Act (“Surface Mining Act”) that are effectively

the same as the water-quality standards under the federal Clean Water Act. Under the

Clean Water Act, an operator’s compliance with its issued permit shields it from liability

for certain violations of those standards. The Surface Mining Act does not include its own

permit liability shield. This raises the question we must answer: When an operator’s

conduct is shielded from liability under the Clean Water Act, can the operator still be held

liable under the equivalent Surface Mining Act standards?

       How we answer this question depends on the Surface Mining Act’s saving clause,

which bars construing the Act in any way that would supersede, amend, modify, or repeal

the Clean Water Act and other laws. See 30 U.S.C. § 1292(a)(3). Because here the Surface

Mining Act’s lack of a permit shield supersedes, amends, or modifies the Clean Water

Act’s permit shield, we hold that the saving clause prevents liability under the Surface

Mining Act for conduct that is otherwise shielded from liability under the Clean Water Act.

So we affirm the district court’s grant of summary judgment for Red River Coal Company

on the Surface Mining Act claim.

I.     Background

       A.     The regulatory scheme

       The Clean Water Act, the colloquial name of the amended Federal Water Pollution

Control Act, regulates the issuance of pollutants from “point sources,” generally defined

as any “discernible, confined and discrete conveyance” such as a pipe, into United States

                                             2
waters. 33 U.S.C. § 1362(14); see also § 1251 et seq. The core of the Act prohibits “the

discharge of any pollutant by any person.” Piney Run Pres. Ass’n v. Cnty. Comm’rs of

Carroll Cnty., 268 F.3d 255, 265 (4th Cir. 2001); see § 1311(a). But compliance with a

Clean Water Act permit issued under the National Pollutant Discharge Elimination System

serves as an exception to this liability. § 1342(k); Piney Run, 268 F.3d at 265. 1 Once

granted, a permit allows its holder to discharge a limited amount of pollutants. §§ 1311(a),

1342(a), (c). Compliance with that permit “shall be deemed compliance” with the Clean

Water Act’s standards (namely, the effluent—wastewater—limitations, § 1311, water-

quality-related effluent limitations, § 1312, national standards of performance, § 1316,

toxic and pretreatment effluent standards, § 1317, and ocean discharge criteria, § 1343).

§ 1342(k); see also E.I. du Pont de Nemours & Co. v. Train, 430 U.S. 112, 138 n.28 (1977)

(such permits provide “finality”). 2 This liability shield not only covers discharges listed

       1
         Given lawyers’—particularly environmental ones—affinity for acronyms, it is no
surprise that everyone calls these permits “NPDES permits.” Cf. N. Cheyenne Tribe v.
Norton, 503 F.3d 836, 839 n.1 (9th Cir. 2007). While deviations from acronyms can cause
confusion, we do our best to speak in plain English so that those lacking subject-matter
expertise might understand. Cf. D.C. Circuit Handbook of Practice and Internal Procedures
43 (2020). So we will refer to these “NPDES permits” as Clean Water Act permits, though
we bow to expediency in using the widely recognized “EPA” to refer to the Environmental
Protection Agency.
       2
         Plaintiffs note that the Clean Water Act permit-shield provision does not protect
permit holders from non-compliance with water-quality standards promulgated by states.
See § 1313 (mandating states to set water-quality standards for each body of water within
a state). But “water quality standards are not themselves directly enforced by the EPA.”
Scott v. City of Hammond, 741 F.2d 992, 995 (7th Cir. 1984). Those water-quality
standards are only enforceable by the EPA if they are affirmatively incorporated within the
permit. See 33 U.S.C. §§ 1342(k), 1319(a)(3). The same holds for citizen suits, which can
only be brought to enforce a state-promulgated water-quality standard under § 1313 if the
(Continued)
                                             3
on this permit but also other discharges “adequately disclosed to the permitting authority.”

Piney Run, 268 F.3d at 269. Thus, an operator in compliance with its Clean Water Act

permit is shielded from liability in EPA and citizen-suit enforcement actions. §§ 1319,

1365.

        These permits may be issued by the EPA or the states to which the EPA has

delegated its authority.     § 1342(c)(1).     The EPA delegated its authority to the

Commonwealth of Virginia in 1975. 57 Fed. Reg. 43,734 (Sept. 22, 1992); see also J.A.

43 (approving a sub-delegation to the Virginia Department of Mines, Minerals and Energy,

Division of Mined Land Reclamation).

        Five years after passing the Clean Water Act, Congress passed the Surface Mining

Act. The Surface Mining Act, among other things, “establish[es] a nationwide program to

protect society and the environment from the adverse effects of surface coal mining

operations.” 30 U.S.C. § 1202(a); see also Consolidation Coal Co. v. Costle, 604 F.2d

239, 251 (4th Cir. 1979), rev’d on other grounds sub nom. E.P.A. v. Nat’l Crushed Stone

Ass’n, 449 U.S. 64 (1980). It does so by allowing states to exclusively regulate surface

coal mining operations within their borders if they satisfy certain conditions. § 1253(a).

Virginia satisfied these conditions. 46 Fed. Reg. 61,088 (Dec. 15, 1981). With this

standard is incorporated within the permit. 33 U.S.C. § 1365(a)(1) (citizen suits may be
brought against any person alleged to have violated “an effluent standard or limitation
under this chapter”); id. § 1365(f)(7) (defining “effluent standard or limitation under this
chapter”). And “[i]t is clear . . . that if a permit holder discharges pollutants precisely in
accordance with the terms of its permit, the permit will ‘shield’ its holder from [Clean
Water Act] liability.” Piney Run, 268 F.3d at 266; see also § 1342(k). So Plaintiffs’
argument on this point does not hold water.
                                              4
regulatory authority, Virginia needed to, and did, create a permit system for surface coal

mining and reclamation operations that, at a minimum, incorporated the Surface Mining

Act’s anti-pollution performance standards. § 1253(a)(4); see Va. Code Ann. § 45.1-

242(B). Like the Clean Water Act, the Surface Mining Act requires an operator wishing

to “engage in or carry out on lands within a State any surface coal mining operations” to

“first obtain[] a permit issued by such State.” § 1256(a). But, unlike a Clean Water Act

permit, compliance with a Surface Mining Act permit does not itself shield its holder from

liability under the Surface Mining Act.

       B.     The proceedings below

       In August 2017, Plaintiffs Southern Appalachian Mountain Stewards, Appalachian

Voices, and the Sierra Club sued Red River Coal Company, Inc. They alleged that Red

River had violated the Clean Water Act, the Surface Mining Act, and, in the alternative,

the Resource Conservation and Recovery Act, 42 U.S.C. § 6901 et seq. (1976). Plaintiffs’

claims stemmed from alleged discharges of pollutants from point sources at Red River’s

now-inactive North Fox Gap Surface Mine in Virginia. Red River’s activities at the mine

were governed by a combined Clean Water Act and Surface Mining Act permit issued by

Virginia. 3

       3
         Virginia first granted Red River a combined Clean Water Act and Surface Mining
Act permit in 1992. J.A. 162. This combined permit was renewed in 1997, J.A. 203, 2002,
J.A. 209, and 2006, J.A. 225. In 2015, Virginia issued a draft renewal permit, S.
Appalachian Mountain Stewards v. Red River Coal Co., Inc., 420 F. Supp. 3d 481, 487–88
(W.D. Va. 2019), but the EPA lodged an objection, J.A. 797. And federal regulations bar
a state from issuing a permit over the EPA’s objection. 40 C.F.R. § 122.4(c). The EPA
never withdrew its objection, but after several months, Virginia renewed the permit
(Continued)
                                            5
       Red River moved for summary judgment on all claims. And the district court

granted the motion. S. Appalachian Mountain Stewards, 420 F. Supp. 3d at 498.

       The district court found the Surface Mining Act claim was barred by that Act’s

saving clause. S. Appalachian Mountain Stewards, 420 F. Supp. 3d at 498. That clause

limits the effect of the Act: Nothing in the Surface Mining Act “shall be construed as

superseding, amending, modifying, or repealing . . . [the Clean Water Act and] the State

laws enacted pursuant thereto.” 30 U.S.C. § 1292(a)(3). 4 The district court held that where

a Clean Water Act permit precludes liability under the Clean Water Act for certain

activities, the Surface Mining Act’s saving clause bars imposing Surface Mining Act

liability for the same actions. S. Appalachian Mountain Stewards, 420 F. Supp. 3d at 498

(“[F]inding that Red River complied with the [Clean Water Act] but has violated [the

anyway. J.A. 233. Regardless of the effect of Virginia’s 2015 renewal, Red River’s 1992
combined permit remains in force. A state-issued permit may continue past its expiration
date until the renewed permit’s effective date “if State law allows.” 40 C.F.R.
§ 122.6(d)(1). And Virginia state law allows that continuation under conditions that both
parties agree Red River has satisfied. See 9 VA. ADMIN. CODE § 25-31-70(A). This
continued combined permit is “fully effective and enforceable.” Id. § 25-31-70(B).
       4
           30 U.S.C. § 1292(a)(3) states:

       Nothing in this chapter shall be construed as superseding, amending,
       modifying, or repealing the Mining and Minerals Policy Act of 1970 (30
       U.S.C. 21a), the National Environmental Policy Act of 1969 (42 U.S.C.
       4321-47), or any of the following Acts or with any rule or regulation
       promulgated thereunder, including, but not limited to—
       ...
       (3) The Federal Water Pollution Control Act (79 Stat. 903), as amended, the
       State laws enacted pursuant thereto, or other Federal laws relating to
       preservation of water quality.

                                             6
Surface Mining Act] based on the same discharges would allow [the Surface Mining Act]

to override the [Clean Water Act’s] permit shield and would thus violate [the saving

clause].”).

       Plaintiffs timely appealed only the district court’s grant of summary judgment to

Red River on the Surface Mining Act claim. We have jurisdiction, 28 U.S.C. § 1291, and

review the grant of summary judgment de novo, Calloway v. Lokey, 948 F.3d 194, 201 (4th

Cir. 2020).

II.    Discussion

       Red River’s combined permit requires it to comply with both the Clean Water Act’s

standards and the water-quality standards Virginia promulgated under the Surface Mining

Act. See J.A. 27 (citing Va. Code Ann. § 45.1-242(B) and 4 Va. Admin. Code § 25-130-

773.17(c)). As they apply here, those standards appear to be effectively the same. And

there is no dispute on appeal that Red River cannot be held liable for any violations of the

Clean Water Act standards because of its compliance with its Clean Water Act permit. But

Plaintiffs contend that Red River’s activities at the mine have violated the Surface Mining

Act’s standards and are not covered by the Clean Water Act permit shield.

       We first discuss how the Clean Water Act’s permit shield interacts with the Surface

Mining Act’s saving clause before addressing Plaintiffs’ counterarguments.

       A.     The Surface Mining Act’s saving clause

       We agree with the district court—and thus the Sixth Circuit in Sierra Club v. ICG

Hazard, LLC, 781 F.3d 281, 291–92 (6th Cir. 2015)—that liability may not be imposed

under the Surface Mining Act for a specific discharge when the Clean Water Act’s permit

                                             7
shield bars liability under the Clean Water Act for that same discharge. See S. Appalachian

Mountain Stewards, 420 F. Supp. 3d at 498. We conclude that although the Clean Water

Act   and     the   Surface   Mining     Act   substantive    water-quality     standards   are

“not . . . inconsistent,” id., the saving clause does more than prohibit rules or regulations

that are “inconsistent” with the Clean Water Act: it prohibits those that more broadly

“supersed[e], amend[], modify[], or repeal[]” the Clean Water Act, 30 U.S.C. § 1292(a).

And even if the saving clause only prohibited inconsistencies between the two statutory

regimes, in this case, there is an inconsistency. Even though the substantive standards may

not be inconsistent, the scope of liability for violating those standards is.

         The ordinary meaning of the terms in the saving clause makes clear that the clause

does more than prevent inconsistent rules and regulations. See In re Surface Mining Regul.

Litig., 627 F.2d 1346, 1366 (D.C. Cir. 1980) (reading the saving clause to broadly prohibit

the “altering in any fashion” of the Clean Water Act). The term “supersede” means

“obliterate, set aside, annul, replace, make void, inefficacious or useless, repeal. To set

aside, render unnecessary, suspend, or stay.” Supersede, Black’s Law Dictionary (6th ed.

1979).     “[Black’s Law Dictionary, Merriam Webster’s Collegiate Dictionary, and

Webster’s New Twentieth Century Dictionary of the English Language] indicate that the

word ‘supersedes’ involves replacing one thing with another, rather than causing

something to be cancelled or invalidated without replacement.” Bodine v. Cook’s Pest

Control Inc., 830 F.3d 1320, 1326–27 (11th Cir. 2016). Likewise, the word “modify”

means “[t]o alter; to change in incidental or subordinate features; enlarge, extend; amend;

limit, reduce.” Modify, Black’s Law Dictionary (6th ed. 1979). The term “amend” has a

                                               8
similar definition. See Amend, Black’s Law Dictionary (6th ed. 1979) (“[t]o change,

correct, revise”). 5

       Perhaps the Surface Mining Act standards could “replace,” “render unnecessary,”

“limit,” “change, correct [or] revise” the Clean Water Act’s permit-shield provision

without being inconsistent with it. For example, if the Surface Mining Act imposed more

stringent requirements than the Clean Water Act’s corresponding standards, we would not

say that the Surface Mining Act standards conflict with the Clean Water Act’s standards,

as it would be impossible for an operator to comply with the Surface Mining Act but not

the Clean Water Act. But in that situation the Surface Mining Act standards would

effectively “replace” or “change” the Clean Water Act standards by setting forth the actual

standard of performance operators must meet. So inconsistency is sufficient, but not

necessary, for the saving clause to operate. That Virginia’s Surface Mining Act substantive

standards are consistent with the Clean Water Act does not, by itself, signify that the saving

clause does not apply. 6

       5
         The term “repeal” requires inconsistency but is only one of four verbs in the statute.
See Repeal, BLACK’S LAW DICTIONARY (6th ed. 1979) (“abrogation or annulling of a
previously existing law by the enactment of a subsequent statute which declares that the
former law shall be revoked and abrogated . . . or which contains provisions so contrary to
or irreconcilable with those of the earlier law that only one of the two statutes can stand in
force” as distinguished from “amendment,” which means “alteration in the law already
existing”).
       6
         Plaintiffs contend that 33 U.S.C. §§ 1311(b)(1)(C) and 1370 support their
argument. But reliance on those statutes is misplaced. “Section 1311(b)(1)(C) allows the
EPA to issue ‘any more stringent limitation[s]’ if technology-based effluent limitations
cannot ‘meet water quality standards, treatment standards, or schedules of compliance.’”
Nat. Ass’n of Mfrs. v. Dep’t of Defense, 138 S. Ct. 617, 629 (2018). But these more
(Continued)
                                              9
       But even if the saving clause only applies when there is some inconsistency between

statutes, there is one here, even if not in the substantive provisions. In arguing there is not,

Plaintiffs focus on the wrong statutory provisions. Although Virginia’s Surface Mining

Act water-quality standards are not “inconsistent” with the Clean Water Act, see S.

Appalachian Mountain Stewards, 420 F. Supp. 3d at 498, the relevant “inconsistency”

between the statutes is not the substantive water-quality standards but the existence—or

lack thereof—of a liability-shielding permit regime. The Clean Water Act provides an

exemption from liability for discharges if the discharger has a Clean Water Act permit.

That exemption “conflicts” with the Surface Mining Act’s failure to provide a liability

shield for the same discharges. That the Surface Mining Act does not have a mechanism

to protect operators from liability for activities that are otherwise shielded from Clean

stringent limitations “established pursuant to any State law or regulations” must have been
promulgated “not later than July 1, 1977.” § 1311(b)(1)(C); see Longview Fibre Co. v.
Rasmussen, 980 F.2d 1307, 1312 (9th Cir. 1992) (holding that a total maximum daily load
established in 1991 cannot fall under § 1311(b) because the section “reference[d] is in the
context of establishing a ‘Timetable for achievement of objectives’” and “requires
achievement of the described limitations ‘not later than July 1, 1977’”). The Virginia state-
law standards Plaintiffs reference went into effect after that date. See 4 VA. ADMIN. CODE
25-130-816.41, .42 (effective date Dec. 15, 1981). So § 1311 does not apply to them.
        Reliance on these statutes is unavailing for another reason. Section 1311 permits
more stringent limitations to be enacted by state law or regulations “under authority
preserved by section 1370.” § 1311(b)(1)(C). And § 1370 provides that “[e]xcept as
expressly provided in this chapter, nothing in this chapter shall [] preclude or deny the right
of any State . . . to adopt or enforce [] any standard or limitation respecting discharges of
pollutants, or [] any requirement respecting control or abatement of pollution,” unless the
state standards are less stringent than the federal standards. But to the extent that the
Surface Mining Act’s saving clause “precludes” Virginia’s right to “adopt or enforce” its
Surface-Mining-Act-promulgated water-quality standards, the saving clause is not “in
th[at] chapter” so § 1370’s general rule does not apply.
                                              10
Water Act liability by a permit effectively “supersede[s],” “modif[ies],” or “amend[s]” the

permitting regime set forth in the Clean Water Act.

       The Supreme Court cases that Plaintiffs cite, Morton v. Mancari, 417 U.S. 535

(1974), and Freightliner Corp. v. Myrick, 514 U.S. 280 (1995), do not dictate a different

conclusion. Morton states that “absent a clearly expressed congressional intention to the

contrary,” statutes capable of co-existing should be read to do so. 417 U.S. at 551.

Plaintiffs argue that Red River could comply with both the Surface Mining Act and the

Clean Water Act and should be required to do so. But the existence of the saving clause is

“a clearly expressed congressional intention” that Red River’s permit should protect it from

liability when it complies with the provisions of that permit. Id. And Myrick considers the

scope of implied conflict preemption, which implicates federalism concerns not present in

a case addressing the interaction between two federal regulatory schemes. 514 U.S. at

287–90.

       Plaintiffs cite several statements from the federal Office of Surface Mining

Reclamation and Enforcement that it claims anticipate enforcement of the Surface Mining

Act’s performance standards independent of the Clean Water Act’s regulatory regime. But

those cited statements do not contemplate the issue we face: the effect of the Surface

Mining Act’s saving clause on operators’ actions that violate the same substantive

standards promulgated under both the Clean Water Act and the Surface Mining Act, where

those actions are allowed by virtue of their Clean Water Act permit.

                                            11
          One statement, however, is worth considering in greater detail. In 1979, the Office

of Surface Mining promulgated rules to implement the federal Surface Mining Act program

and addressed its understanding of the saving clause:

          Congress intended that compliance with the [Surface Mining Act] would not
          relieve an operator from compliance with other environmental statutes.
          Congress did not intend that compliance with other environmental statutes
          should relieve operators from compliance with the Surface Mining Act.

          The language of Section 702(a) of the [Surface Mining Act], which provides
          that nothing in the Act can be construed as ‘superseding, amending,
          modifying, or repealing’ the Clean Air Act and Clean Water Act, preserves
          this balance between the statutes. Nowhere in the legislative history is there
          language which indicates that Congress intended this language to reduce the
          performance standards of the Act to meet the requirements of other statutes.

44 Fed. Reg. 14,902, 15,051 (Mar. 13, 1979). The last sentence of this statement makes

clear the context it addresses: the interaction between substantive performance standards

promulgated under the various environmental statutes. In that context, complying with

Regulation A promulgated under the Clean Water Act does not exempt an operator from

also complying with a substantively different Regulation B under the Surface Mining Act.

See id. at 15,050 (noting that the saving clause does not prohibit regulations that fill in a

“regulatory gap” (quoting In re Surface Mining Regul. Litig., 456 F. Supp. 1301 (D.D.C.

1978))). But that commentary does not address the interaction between the enforcement

provisions of two environmental statutes when the substantive standards under both are the

same. 7

        Even if the Office of Surface Mining’s interpretation of the saving clause answered
          7

the question presented, we would not afford it either Chevron or Skidmore deference. The
language of the saving clause is unambiguous, even if its application is not straightforward
(Continued)
                                               12
       And so we agree with the Sixth Circuit that allowing liability to be imposed under

the Surface Mining Act for discharges that are exempted by permit from Clean Water Act

liability would “modify” or “supersede” the Clean Water Act’s permit shield in

contravention of the saving clause. See ICG Hazards, 781 F.3d at 291–92. Plaintiffs may

disagree with the way Virginia chose to enforce the substantive Clean Water Act and

Surface Mining Act water-quality standards, but that disagreement does not allow us to

find liability under the Surface Mining Act for conduct that is shielded by the Clean Water

Act’s permit shield.

       B.     Interaction between the Surface Mining Act’s saving clause and
              substantive provisions

       Plaintiffs argue that even if the saving clause applies, Supreme Court precedent

dictates that it cannot be used to override substantive provisions of the Surface Mining Act.

In doing so, Plaintiffs read United States v. Locke, 529 U.S. 89 (2000), and Geier v.

American Honda Motor Co., Inc., 529 U.S. 861 (2000), as establishing both that courts

should “decline to give broad effect to saving clauses where doing so would upset the

careful regulatory scheme established by federal law,” Locke, 529 U.S. at 106–07, and that

courts should reject interpretations of saving clauses that “permit[] the law to defeat its

own objectives” or “destroy itself,” Geier, 529 U.S. at 872 (quoting Am. Tel. & Tel. Co. v.

Cent. Off. Tel., Inc., 524 U.S. 214, 228 (1998)). But this argument misconstrues those

precedents and over-dramatizes the consequences of adopting Red River’s position.

here, and no one has argued otherwise. See Chevron v. Nat. Res. Def. Council, 467 U.S.
837, 842–43 (1984); Skidmore v. Swift & Co., 323 U.S. 134, 140 (1944).
                                             13
       Both Geier and Locke addressed saving provisions in the context of federal

preemption, which involves complex questions of federalism not present when discussing

the interplay between two federal regulatory regimes. In the federalism context, it makes

sense to interpret saving clauses narrowly, because the consequence of a broad

interpretation is more federal interference in matters that the states may validly regulate.

Plaintiffs do not persuasively explain why these cases are relevant in this context despite

their federalism focus.

       But even if those cases espouse principles relevant in this context, both holdings

were statute-specific and thus are not broadly generalizable. The Locke Court relied on

principles of statutory interpretation to determine that a federal saving clause located within

the same chapter as the liability rules for oil spills did not apply to preempt state regulations

governing a different topic—the operation and design of oil tankers. 529 U.S. at 105–06.

Likewise, Geier addressed whether traditional principles of conflict preemption continued

to apply despite a saving clause. In doing so, the Court determined that an interpretation

of the saving clause there that allowed a conflict not permitted by federal conflict-

preemption principles would allow the federal law “to defeat its own objectives” or

“destroy itself.” 529 U.S. at 872 (quoting Am. Tel. & Tel. Co., 524 U.S. at 228). Neither

case can reasonably be read to hold that a substantive provision of a statute always

supersedes a saving clause when the two conflict, and neither suggests that result here. 8

       8
        Both parties also try to marshal Shaw v. Delta Air Lines, Inc., 463 U.S. 85 (1983),
to support their arguments. Shaw discussed the scope of the Employee Retirement Income
Security Act’s saving clause, which states that its substantive provisions “shall not ‘be
(Continued)
                                               14
       Plaintiffs narrow this argument in their reply brief. There, they contend that saving

clauses “should be interpreted narrowly to avoid doing damage to the substantive

provisions of the act.” Plaintiffs-Appellants’ Reply Br. 13. They argue that adopting Red

River’s interpretation of the saving clause would “fundamentally alter[] two substantive

provisions of the [Surface Mining Act]: the requirement that all mine operators comply

with the performance standards (30 U.S.C. § 1265) and the right of citizens to enforce that

requirement against any operator (30 U.S.C. § 1270).” Id. at 24.

       This argument is also flawed. Red River’s interpretation of the saving clause would

not “defeat” the “objectives” of, “destroy,” or fundamentally alter the Surface Mining Act

for it does not solely regulate water pollution. Rather, it was enacted to more broadly

“protect society and the environment from the adverse effects of surface coal mining

operations.” 30 U.S.C. § 1202(a). To implement that broad mandate, the Surface Mining

Act authorizes the regulation of all aspects of surface coal mining, including resource

maximization, land restoration, erosion prevention, vegetation protection, waste disposal,

land stability, and water-pollution prevention. § 1265(b). So the Surface Mining Act’s

non-hydrologic performance standards continue to apply when they do not supersede,

amend, modify, or repeal any other statutes listed in the saving clause. This problem only

construed to alter, amend, modify, invalidate, impair, or supersede any law of the United
States.’” Id. at 100–01. The Court considered whether that clause could save a New York
state law from preemption. Id. In doing so, it determined that “the combination of
Congress’ enactment of an all-inclusive pre-emption provision and its enumeration of
narrow, specific exceptions to that provision ma[d]e [them] reluctant to expand § 514(d)
into a more general saving clause.” Id. at 104. This unique combination of preemption
and statute-specific concerns makes it difficult for this case to neatly fit within either
party’s argument.
                                            15
arises for the Surface Mining Act regulations that govern the same areas as the Clean Water

Act.

       Even if the Surface Mining Act was enacted because “Congress recognized that the

[Clean Water Act] is inadequate to eliminate pollution from inactive mines,” Consolidation

Coal Co., 604 F.2d at 251, reading the saving clause to prevent Surface Mining Act liability

for pollutant discharges shielded from Clean Water Act liability by a permit leaves the

Surface Mining Act with plenty of room to regulate surface coal mining operations without

being subject to the saving clause. Citizens can still enforce the Surface Mining Act’s rules

and regulations, and mine operators must still meet the Surface Mining Act’s standards in

the many other contexts the Act regulates. Plaintiffs’ argument to the contrary is an

exaggerated parade-of-horribles that strays from the rest of the Surface Mining Act’s

statutory scheme.

                               *             *              *

       We are not unsympathetic to concerns about the purity of the water that Virginians

rely on every day. But we must follow the text of the statute that was democratically passed

by Congress. Permitting liability under the Surface Mining Act for pollutant discharges

that are otherwise exempted from liability under a Clean Water Act permit would

contravene the text of the saving clause by allowing the Surface Mining Act to “supersede,”

“modify,” or “amend” the Clean Water Act’s permitting regime. See ICG Hazards, 781

F.3d at 291. For that reason, the district court’s grant of summary judgment to Red River

on the Surface Mining Act claim is

                                                                               AFFIRMED.

                                             16