Court Opinion

ID: 9929153
Source: CourtListenerOpinion
Date Created: 2024-02-01 21:00:47.844503+00
Date Added: 2024-06-11T10:17:39.444586
License: Public Domain

USCA4 Appeal: 22-2271       Doc: 33        Filed: 01/31/2024     Pg: 1 of 13

                                              PUBLISHED

                               UNITED STATES COURT OF APPEALS
                                   FOR THE FOURTH CIRCUIT

                                               No. 22-2271

        SCOTT SONDA; BRIAN CORWIN,

                             Plaintiffs - Appellees,

                      v.

        THE WEST VIRGINIA OIL AND GAS CONSERVATION COMMISSION;
        RANDALL M. ALBERT, in his official capacity; HAROLD WARD, in his official
        capacity; MICHAEL MCCOWN, in his official capacity; ROBERT S.
        RADABAUGH, in his official capacity; JAMES A. MARTIN, in his official
        capacity,

                             Defendants - Appellants,

                      and

        PATRICK MORRISEY, in his capacity as Attorney General of the State of West
        Virginia,

                             Defendant.

        Appeal from the United States District Court for the Northern District of West Virginia, at
        Wheeling. John Preston Bailey, District Judge. (5:22-cv-00124-JPB)

        Argued: December 7, 2023                                       Decided: January 31, 2024

        Before DIAZ, Chief Judge, NIEMEYER, Circuit Judge, and Rossie D. ALSTON, Jr.,
        United States District Judge for the Eastern District of Virginia, sitting by designation.

        Reversed and remanded with instructions by published opinion. Judge Niemeyer wrote the
        opinion, in which Chief Judge Diaz and Judge Alston joined.
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        ARGUED: Jonathan Zak Ritchie, HISSAM FORMAN DONOVAN RITCHIE PLLC,
        Charleston, West Virginia, for Appellants. James Anthony Edmond Jr., EDMOND &
        BAUM, PLLC, Wheeling, West Virginia, for Appellees. ON BRIEF: Andrew C. Robey,
        HISSAM FORMAN DONOVAN RITCHIE, PLLC, Charleston, West Virginia, for
        Appellants. Michael B. Baum, EDMOND & BAUM, PLLC, Wheeling, West Virginia, for
        Appellees.

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        NIEMEYER, Circuit Judge:

               Scott Sonda and Brian Corwin, who own mineral interests underlying multiple

        parcels of land in West Virginia, commenced this action against the West Virginia Oil and

        Gas Conservation Commission (the “Commission”), challenging West Virginia Senate Bill

        694, which became effective June 7, 2022. The Bill amended the State’s oil and gas

        conservation law, W. Va. Code Ann. §§ 22C-9-1 to 22C-9-16, primarily by adding § 22C-

        9-7a, which authorizes for the first time the “unitization of interests in horizontal well

        drilling units” even as to nonconsenting mineral rights owners.          (Emphasis added).

        Unitization refers to the combining of separately owned mineral tracts in order to form a

        single operating unit overlapping all or part of a common source of oil or gas, W. Va. Code

        Ann. § 22C-9-7a(b)(8), and horizontal drilling is defined to mean drilling where “the

        wellbore is initially vertical but is eventually curved to become horizontal, or nearly

        horizontal, to be in a particular geologic formation,” id. § 22C-9-2(a)(7).

               In their amended complaint, Sonda and Corwin alleged, among other things, that

        the new law (“SB 694”) constitutes a taking of their property and deprives them of property

        without due process of law, in violation of the Fifth and Fourteenth Amendments of the

        U.S. Constitution. The Commission filed a motion to dismiss the amended complaint,

        contending with respect to the plaintiffs’ federal constitutional claims (1) that Sonda and

        Corwin lacked standing, (2) that the Commission was immune under the Eleventh

        Amendment, and (3) that the amended complaint failed to state a claim upon which relief

        could be granted.

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               The district court did not, however, address any of the grounds advanced by the

        Commission.      Instead, it decided sua sponte to abstain from ruling on the federal

        constitutional claims, relying on the doctrine established in Railroad Commission of Texas

        v. Pullman Co., 312 U.S. 496 (1941), “so that plaintiffs may present their state law issues

        to state court,” observing that “the West Virginia constitutional provision is not ‘broad and

        sweeping,’ but rather is directly germane to the issues presented in this case.” The court

        did not identify the West Virginia constitutional provision that it had in mind, nor did it

        identify any state law issue on which the Commission’s motion to dismiss the federal

        constitutional claims would turn. The court also ordered that the proceeding on the federal

        constitutional claims be stayed pending the outcome of a state court action that the

        plaintiffs may file.

               The Commission appealed the district court’s abstention order, and, for the reasons

        given herein, we reverse the district court’s order and remand for further proceedings. We

        also direct that the district court address first the Commission’s argument challenging the

        plaintiffs’ Article III standing.

                                                      I

               Prior to the enactment of SB 694, West Virginia law addressed the production of oil

        and gas from vertical wells of sufficient depth. It empowered the West Virginia Oil and

        Gas Conservation Commission to establish drilling units for deep well oil and gas

        production and to pool two or more mineral tracts to create such units. See W. Va. Code

        Ann. § 22C-9-7. The purpose of those procedures was to facilitate the development of

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        particular oil or gas reservoirs and thereby increase the efficiency of oil or gas production

        from such sources. See Ascent Res. – Marcellus, LLC v. Huffman, 851 S.E.2d 782, 785 n.2

        (W. Va. 2020) (explaining the difference between pooling and unitization).

               With the enactment of SB 694, West Virginia added the new § 22C-9-7a provision

        to its oil and gas conservation law to provide new procedures regarding the production of

        oil and gas from horizontal wells. In particular, the new law provides a mechanism for

        compulsory unitization of nonconsenting owners’ mineral tracts, allowing an operator to

        apply to the Commission for an order allowing the development of an oil or gas reservoir

        with a horizontal well unit without the consent of all mineral owners. See W. Va. Code

        Ann. § 22C-9-7a(c). The law also specifies a method for calculating the compensation to

        nonconsenting mineral owners. See id. § 22C-9-7a(f)(6)–(7). In addition, it alters the

        definition of a “just and equitable” compensation as contained in the prior law.

               More particularly, before the enactment of SB 694, West Virginia law provided that

        mineral owners receive a “just and equitable share of production,” which was defined to

        mean “the amount of recoverable oil and gas in that part of a pool underlying the person’s

        tract or tracts.” W. Va. Code Ann. § 22C-9-2(a)(16) (2012). With the enactment of SB

        694, however, “just and equitable production” was redefined to mean “the amount of

        recoverable oil and gas in that part of a pool, unit, or unconventional reservoir in the

        person’s tract or tracts within a unit.” Id. § 22C-9-2(a)(10) (eff. June 7, 2022) (emphasis

        added). This change, according to Sonda and Corwin, dilutes the value of their mineral

        interests without their consent. They commenced this action to challenge SB 694’s

        legality.

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               In their amended complaint, Sonda and Corwin alleged in five counts that the

        provisions of SB 694 violate their Fifth Amendment right against the taking of property

        without just compensation (Count I); their Fourteenth Amendment right against a State’s

        deprivation of property without due process (Count II); their rights under the West Virginia

        Constitution prohibiting the taking of property and the deprivation of property without due

        process (Count III); their rights under both the U.S. Constitution and the West Virginia

        Constitution not to be subject to ex post facto laws (Count IV); and their rights under the

        federal antitrust laws (Count V).      In addition, they alleged at some length facts to

        demonstrate how they had standing to bring their claims. They asserted that they owned

        various oil and gas interests under various properties, some of which are subject to oil and

        gas leases and others of which are not. They alleged that the enactment of SB 694 changes

        the nature of their ownership interests and, as well, subjects them to oil and gas production

        of their interests without their consent and with diluted compensation. They sought

        declaratory and injunctive relief.

               The Commission filed a motion to dismiss all counts, contending that Sonda and

        Corwin lacked standing to bring the action; that the Commission was subject to Eleventh

        Amendment immunity; and that the amended complaint failed to state claims upon which

        relief could be granted.

               By order dated December 1, 2022, the district court granted the Commission’s

        motion to dismiss Counts III, IV, and V.          It did not, however, address any of the

        Commission’s arguments made in support of its motion to dismiss Counts I and II,

        including the Commission’s lack-of-standing argument. Instead, the court, sua sponte,

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        decided with respect to those counts to abstain from deciding the motion to dismiss, relying

        on the Pullman abstention doctrine. It stated:

               The above [dismissal of Counts III, IV, and V] leaves Counts I and II. It
               appears to this Court, however, that this might be an appropriate case for this
               Court to abstain. . . . The facts and law of this case satisfy the criteria initially
               set forth in Railroad Comm’n of Texas v. Pullman Co., 312 U.S. 496 (1941).

        After reviewing decisional law applying Pullman, the court then explained its decision to

        abstain as to Counts I and II, stating, in total:

               In the present case, the West Virginia constitutional provision is not “broad
               and sweeping,” but rather is directly germane to the issues presented in this
               case.

               For the reasons stated above, this Court will abstain from ruling on the issues
               presented by this case. This action will be stayed so that plaintiffs may
               present their state law issues to state court. In the event that the state courts
               do not resolve this case under state law, plaintiffs will be permitted to seek a
               ruling on the federal issues in this Court.

               From the district court’s order dismissing the amended complaint in part and

        abstaining in part, the Commission filed this appeal.

                                                        II

               While the district court’s December 1, 2022 order dismissed three counts of the

        amended complaint, it abstained from ruling on the remaining two counts, purportedly

        leaving the case open, subject to the contingencies of its abstention order. In view of these

        circumstances, Sonda and Corwin contend as an initial matter that we lack jurisdiction to

        hear the Commission’s appeal because the “District Court’s order to stay [does not]

        constitute[] a final order under 28 U.S.C. § 1291 as it does not put Appellants effectively

        out of court.” They contend further that the district court’s order is also not appealable as

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        a “collateral order.” See Quackenbush v. Allstate Ins. Co., 517 U.S. 706, 713 (1996). The

        Commission contends otherwise as to both grounds.

               Section 1291 confers jurisdiction on courts of appeals over “appeals from all final

        decisions of the district courts of the United States,” 28 U.S.C. § 1291, and the “usual rule”

        is that a stay order “is not ordinarily a final decision for purposes of § 1291,” Moses H.

        Cone Mem’l Hosp. v. Mercury Constr. Corp., 460 U.S. 1, 10 n.11 (1983). The Supreme

        Court has, however, recognized a limited exception “where (under . . . abstention[] or a

        closely similar doctrine) the object of the stay is to require all or an essential part of the

        federal suit to be litigated in a state forum.” Id.; see also Idlewild Bon Voyage Liquor Corp.

        v. Epstein, 370 U.S. 713, 715 n.2 (1962) (per curiam). The Court explained that in such

        cases, an abstention stay order effectively puts the parties out of court — i.e., “effectively

        out of federal court.” Moses H. Cone, 460 U.S. at 9 n.8. Thus, a party who objects to such

        a stay may “appeal . . . [the district court’s] refusal to exercise federal jurisdiction.” Id. In

        addition, the Court has explained that it does not matter whether the stay order anticipated

        an ultimate return to federal court or the possibility that the state-court ruling would have

        preclusive effect on any subsequent post-stay federal proceeding. See id. at 10. For either

        circumstance, the Court explained that a Pullman abstention order can be a “final decision”

        for the purposes of § 1291 because such “a stay order is final when the sole purpose and

        effect of the stay is precisely to surrender jurisdiction of a federal suit to a state court.” Id.

        at 10 n.11.

               In this case, the district court’s abstention order is just the type of order that Moses

        H. Cone and Idlewild held appealable. The district court stated that it was abstaining from

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        ruling on the federal issues presented and staying the action “so that plaintiffs [could]

        present their state law issues to state court.” That order thus “require[d] all or an essential

        part of the federal suit to be litigated in a state forum,” potentially with preclusive effects,

        thereby effectively putting the parties out of federal court. Moses H. Cone, 460 U.S. at 10

        n.11. Accordingly, we conclude that the order was “final” and that therefore we have

        jurisdiction to review it at this point in the litigation.

               We note, moreover, that the Moses H. Cone Court instructed that such abstention

        orders of the kind entered by the district court in this case are also appealable under the

        collateral order doctrine. See 460 U.S. at 11 (citing Cohen v. Beneficial Loan Corp.,

        337 U.S. 541 (1949)). Accordingly, we also reject Sonda and Corwin’s argument grounded

        on that reason.

               This appeal does present an unusual twist in that the plaintiffs below would usually

        be the ones aggrieved by a Pullman abstention order, asserting on appeal that the order

        obstructed their path to judicial relief and therefore gave them standing to appeal. See

        Deposit Guar. Nat’l Bank, Jackson, Miss. v. Roper, 445 U.S. 326, 333 (1980) (noting that

        “only a party aggrieved by a judgment or order of a district court may exercise the statutory

        right to appeal therefrom”). Yet, in this case, the Commission is the party challenging the

        order. Nonetheless, we conclude that the Commission too has a sufficient interest in this

        appeal because the district court’s stay order also obstructed its path to resolving the

        constitutional challenge to SB 694 in federal court, where the Commission would prefer

        to raise its defenses to federal constitutional claims.

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                                                       III

                 For its substantive challenge to the district court’s abstention order, the Commission

        contends that the court abused its discretion in abstaining and indefinitely staying this case,

        arguing that the order did not satisfy the requirements for a Pullman abstention order. The

        Commission argues:

                 [T]he District Court’s brief explanation for sua sponte abstaining under
                 Pullman does not satisfy the rigorous factors necessary to refuse to exercise
                 federal jurisdiction. There has been no unclear issue of state law identified
                 below, much less one the resolution of which would be potentially
                 dispositive of the remaining claims. The District Court should therefore have
                 . . . adjudicated Appellants’ federal defenses.

        We agree.

                 The generally applicable rule is that a federal court, whose jurisdiction has been

        invoked, must exercise that jurisdiction and address the matter before it. The Supreme

        Court, as well as this court, has repeatedly instructed that this is the federal court’s “strict

        duty.” Martin v. Stewart, 499 F.3d 360, 363 (4th Cir. 2007) (quoting Quackenbush, 517

        U.S. at 716). Indeed, the Supreme Court has emphasized that this duty is a “virtually

        unflagging obligation.” Deakins v. Monaghan, 484 U.S. 193, 203 (1988) (quoting Colo.

        River Water Conservation Dist. v. United States, 424 U.S. 800, 813 (1976)). And federal

        courts have “no more right to decline the exercise of jurisdiction which is given, than to

        usurp that which is not given.” Cohens v. Virginia, 19 U.S. 264, 404 (1821) (Marshall,

        C.J.).

                 There is, however, “an extraordinary and narrow exception” to this duty when

        abstention is justified by the relevant circumstances, as for example, under the abstention

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        doctrine articulated in Pullman. Quackenbush, 517 U.S. at 728 (cleaned up). The Pullman

        exception may be applied when “there is (1) an unclear issue of state law presented for

        decision (2) the resolution of which may moot or present in a different posture the federal

        constitutional issue such that the state law issue is potentially dispositive.” Wise v.

        Circosta, 978 F.3d 93, 101 (4th Cir. 2020) (en banc) (quoting Educ. Servs., Inc. v. Md.

        State Bd. for Higher Educ., 710 F.2d 170, 174 (4th Cir. 1983)).

                 The district court, however, applied the Pullman abstention doctrine without

        adhering to these important limitations. The court summarily concluded that “the West

        Virginia constitutional provision is not ‘broad and sweeping’ but rather is directly germane

        to the issues presented in this case.” And after this oblique reference to the West Virginia

        Constitution, the court then stated simply that it would stay the case so that the plaintiffs

        “may present their state law issues to state court.” The Court did not, however, identify

        the unclear issue of state law relevant to the dismissal of Counts I and II, which presented

        claims under the U.S. Constitution. And it did not explain how state law implicated the

        resolution of the plaintiffs’ federal claims in those counts, neither of which were based on

        the West Virginia Constitution. The parties were left with no guidance as to which state

        constitutional provision the court had in mind or why abstention would help in the

        resolution of the federal constitutional issues.

                 Because the district court legally erred in applying the requirements for Pullman

        abstention, we conclude that it abused its discretion in entering its Pullman abstention

        order.

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               In addition, the district court erred by entering a Pullman abstention order without

        first addressing whether it had subject-matter jurisdiction.        Not only did it have an

        independent obligation to satisfy itself of its jurisdiction, but the Commission also raised

        the issue in its motion to dismiss, alleging that plaintiffs’ lacked Article III standing, as we

        discuss in Part IV.

               Accordingly, we reverse the district court’s order abstaining from ruling on Counts

        I and II of the amended complaint.

                                                      IV

               In its motion to dismiss the plaintiffs’ amended complaint, the Commission argued

        that the plaintiffs failed to allege sufficient facts to demonstrate that they had Article III

        standing to bring their action.     It contended, “Absent allegations of a concrete and

        particularized injury — or, at a minimum, allegations of an impending injury or substantial

        risk of harm — Plaintiffs’ claims must be dismissed for lack of Article III standing.”

               In responding to the Commission’s motion, the plaintiffs highlighted several

        circumstances that they contended showed how the enactment of SB 694 had adversely

        affected them so as to give them standing. They pointed to the facts that they owned

               [o]il and [g]as interest[s] in Units including, but not limited to, the Sam Jones
               South Unit, Larry Ball North Unit, and Thelma Hays North Unit. As stated
               in lines 59 and 60 of Plaintiffs’ Complaint, the former law allowed Plaintiffs
               a remedy to not receiving their just and equitable share of production “as to
               each person, an amount of oil or gas or both substantially equal to the amount
               of recoverable oil and gas in that part of a pool underlying the person’s tract
               or tracts” [emphasis added]. SB 694 changes pertinent language from just
               and equitable share of production based on the pool alone to “. . . part of a
               pool, unit, or unconventional reservoir.”

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        And they argued that, after SB 694 had gone into effect, it caused their “payments for oil

        and gas to be artificially diluted without proper recourse as the former law allowed.” They

        also argued that “SB 694 changed the definition of what an individual is to receive. . . .

        This change results in the unlawful taking of property as described in the Plaintiffs’

        Amended Complaint.”

               The district court never addressed the standing issue argued by the parties. Yet, it

        should have done so in the first instance because standing goes to the jurisdiction of the

        court, and resolving the court’s power is a prerequisite to any other ruling. See Steel Co.

        v. Citizens for a Better Env’t, 523 U.S. 83, 94 (1998); Spokeo, Inc. v. Robins, 578 U.S. 330,

        337–38 (2016).

               Accordingly, on remand, we direct the district court to address the Commission’s

        standing argument before addressing any other issue before it. We express no opinion

        about the merits of that issue or any others before the court.

                                       REVERSED AND REMANDED WITH INSTRUCTIONS

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