Court Opinion

ID: 4539486
Source: CourtListenerOpinion
Date Created: 2020-06-05 19:00:26.008289+00
Date Added: 2024-06-11T12:46:32.916356
License: Public Domain

RECOMMENDED FOR PUBLICATION
                                  Pursuant to Sixth Circuit I.O.P. 32.1(b)
                                         File Name: 20a0175p.06

                     UNITED STATES COURT OF APPEALS
                                    FOR THE SIXTH CIRCUIT

 NATIONAL WILDLIFE FEDERATION,                                 ┐
                                      Plaintiff-Appellee,      │
                                                               │
                                                               │
        v.                                                     │
                                                                >        Nos. 19-1609/1610
                                                               │
 SECRETARY OF THE UNITED STATES DEPARTMENT OF                  │
 TRANSPORTATION; ADMINISTRATOR OF THE PIPELINE                 │
 & HAZARDOUS MATERIALS SAFETY ADMINISTRATION,                  │
 in their official capacities (19-1609),                       │
                                   Defendants-Appellants,      │
                                                               │
 ENBRIDGE ENERGY, LIMITED PARTNERSHIP (19-1610),               │
                                                               │
                   Intervening Defendant-Appellant.
                                                               │
                                                               ┘

                           Appeal from the United States District Court
                          for the Eastern District of Michigan at Detroit.
                     No. 2:17-cv-10031—Mark A. Goldsmith, District Judge.

                                       Argued: April 9, 2020

                                 Decided and Filed: June 5, 2020

                  Before: MERRITT, THAPAR, and LARSEN, Circuit Judges.
                                  _________________

                                              COUNSEL

ARGUED: Jeffrey Bossert Clark, UNITED STATES DEPARTMENT OF JUSTICE,
Washington, D.C., for Federal Appellants. David H. Coburn, STEPTOE & JOHNSON LLP,
Washington, D.C., for Appellant Enbridge. Oday Salim, UNIVERSITY OF MICHIGAN LAW
SCHOOL, Ann Arbor, Michigan, for Appellee. ON BRIEF: Jeffrey Bossert Clark, Avi Kupfer,
UNITED STATES DEPARTMENT OF JUSTICE, Washington, D.C., for Federal Appellants.
David H. Coburn, Joshua H. Runyan, STEPTOE & JOHNSON LLP, Washington, D.C., Phillip
J. DeRosier, DICKINSON WRIGHT PLLC, Detroit, Michigan, for Appellant Enbridge. Oday
Salim, UNIVERSITY OF MICHIGAN LAW SCHOOL, Ann Arbor, Michigan, for Appellee.
 Nos. 19-1609/1610                Nat’l Wildlife Federation v. Sec’y of the                    Page 2
                                         U.S. Dep’t Trans., et al.

Kirsten L. Nathanson, CROWELL & MORING LLP, Washington, D.C., Bruce T. Wallace,
HOOPER HATHAWAY, P.C., Ann Arbor, Michigan, Ann Alexander, NATURAL
RESOURCES DEFENSE COUNCIL, San Francisco, California, Lindsay P. Dubin,
DEFENDERS OF WILDLIFE, Washington, D.C., Ross A. Hammersley, OLSON, BZDOK &
HOWARD, P.C., Traverse City, Michigan, for Amici Curiae.

     THAPAR, J., delivered the opinion of the court in which LARSEN, J., joined.
MERRITT, J. (pp. 12–15), delivered a separate dissenting opinion.
                                          _________________

                                               OPINION
                                          _________________

           THAPAR, Circuit Judge. Discretion and judgment are not the same thing. The question
here is whether an agency has discretion to consider environmental criteria not listed in a statute
simply because the agency exercises some degree of judgment when it considers the statutory
criteria. The district court thought that to be so and ordered the agency to comply with the
Endangered Species Act and National Environmental Policy Act. We see things differently and
reverse.

           This case is about an oil pipeline called “Line 5.” For over sixty years, Line 5 has carried
oil across the Great Lakes region. Beginning in northwestern Wisconsin, the pipeline stretches
into the Upper Peninsula of Michigan, takes a right turn at the Straits of Mackinac, and cuts
down through the Lower Peninsula before ending in southwestern Ontario.

           The Clean Water Act, as later amended, requires the operators of oil pipelines to submit
response plans that address the risk of a potential oil spill. 33 U.S.C. § 1321(j)(5)(A)(i); 49
C.F.R. § 194.101(a). These plans must satisfy the following six criteria enumerated in the
statute:

                  (i) be consistent with the requirements of the National Contingency Plan
           and Area Contingency Plans;
                  (ii) identify the qualified individual having full authority to implement
           removal actions, and require immediate communications between that individual
           and the appropriate Federal official and the persons providing personnel and
           equipment pursuant to clause (iii);
 Nos. 19-1609/1610             Nat’l Wildlife Federation v. Sec’y of the                 Page 3
                                      U.S. Dep’t Trans., et al.

              (iii) identify, and ensure by contract or other means approved by the
       President the availability of, private personnel and equipment necessary to
       remove to the maximum extent practicable a worst case discharge (including a
       discharge resulting from fire or explosion), and to mitigate or prevent a
       substantial threat of such a discharge;
              (iv) describe the training, equipment testing, periodic unannounced drills,
       and response actions of persons on the vessel or at the facility, to be carried out
       under the plan to ensure the safety of the vessel or facility and to mitigate or
       prevent the discharge, or the substantial threat of a discharge;
               (v) be updated periodically; and
               (vi) be resubmitted for approval of each significant change.

33 U.S.C. § 1321(j)(5)(D). The Act also provides that the administering agency “shall . . .
approve any plan” that satisfies the enumerated criteria. Id. § 1321(j)(5)(E)(iii).

       Over the past five years, the operator of Line 5 (Enbridge Energy) has submitted two
different response plans as required by the Clean Water Act. The administering agency (here,
the Pipeline and Hazardous Materials Safety Administration) evaluated these plans, determined
each plan met the enumerated criteria, and thus approved them both.

       The National Wildlife Federation then sued, alleging that the agency had violated the
Clean Water Act and various other statutes. As relevant here, the district court found that the
response plans satisfied the enumerated criteria. But the court granted summary judgment to the
Federation on other grounds, holding that the agency had to comply with the Endangered Species
Act and the National Environmental Policy Act before it could approve the plans. We review the
district court’s decision de novo. See Sierra Club v. U.S. Forest Serv., 828 F.3d 402, 407 (6th
Cir. 2016).

       Endangered Species Act. The defendants first challenge the district court’s ruling as to
the Endangered Species Act. That Act requires federal agencies to consult with the appropriate
environmental authorities in order to “insure that any [agency] action . . . is not likely to
jeopardize the continued existence of any endangered species or threatened species.” 16 U.S.C.
§ 1536(a)(2). But importantly, the consultation requirement does not apply to all agency actions;
it applies only to “discretionary” ones. 50 C.F.R. § 402.03; Nat’l Ass’n of Home Builders v.
Defs. of Wildlife, 551 U.S. 644, 652, 669 (2007).
 Nos. 19-1609/1610             Nat’l Wildlife Federation v. Sec’y of the                     Page 4
                                      U.S. Dep’t Trans., et al.

       The Supreme Court explained the meaning of the term “discretionary” in Home Builders.
Like this case, that case involved a provision of the Clean Water Act. And like the provision
here, the provision there provided that an agency “shall” take an action—namely, transfer certain
permitting powers to state authorities—if nine enumerated criteria were met.              33 U.S.C.
§ 1342(b); Home Builders, 551 U.S. at 650–51. The Court found that the action was not
“discretionary” because “the statutory language [was] mandatory and the list exclusive.” Home
Builders, 551 U.S. at 661. The statute did “not just set forth minimum requirements for the
transfer of permitting authority; it affirmatively mandate[d] that the transfer ‘shall’ be approved
if the specified criteria are met.” Id. at 663. And in this way, the criteria “operate[d] as a ceiling
as well as a floor.” Id. In short, the consultation requirement did not apply because the action
was something that the agency was “required by statute” to do “once certain specified triggering
events ha[d] occurred.” Id. at 669.

       All the same holds true here. The Clean Water Act provides that the agency “shall”
approve any response plan that meets the requirements of the Act. 33 U.S.C. § 1321(j)(5)(E)(iii).
Like in Home Builders, “the statutory language is mandatory.” Home Builders, 551 U.S. at 661.
The Act also enumerates six criteria that response plans must satisfy. 33 U.S.C. § 1321(j)(5)(D).
Again, like in Home Builders, the list is “exclusive” and “operates as a ceiling as well as a floor.”
Home Builders, 551 U.S. at 661, 663. Thus, like in Home Builders, the agency is “required by
statute” to approve the response plan once the “triggering events have occurred.” Id. at 669.
Indeed, even the district court and the Federation have recognized as much. R. 78, Pg. ID 2225
(recognizing that the agency cannot “disapprove a response plan that meets the relevant
criteria”); Appellee Br. at 54 (describing the action as “mandatory” once the relevant criteria
have been met). By all appearances, then, the action here isn’t “discretionary.”

       The Federation pushes back on this conclusion in several ways.

       The Federation primarily argues that the agency has “discretion” because it exercises
some degree of “judgment” when it evaluates the enumerated criteria. But Home Builders
squarely forecloses this reasoning. Both the plaintiffs and the dissent in that case tried the same
argument, reasoning that the agency action was “discretionary” because it wasn’t “entirely
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                                     U.S. Dep’t Trans., et al.

mechanical” and involved “some exercise of judgment.” Home Builders, 551 U.S. at 671; see id.
at 691–92 (Stevens, J., dissenting). Yet the majority rejected the “some judgment” theory out of
hand. Id. at 671 (majority opinion).

       To be sure, Home Builders didn’t draw a precise line between “discretion” and
“judgment.” But the basic distinction isn’t all that mysterious. Some examples may help to
show the difference. The clearest case of “discretion” is when an agency doesn’t have to act—
for instance, if a statute says “may” rather than “must” or “shall.” See, e.g., Weyerhaeuser Co. v.
U.S. Fish & Wildlife Serv., 139 S. Ct. 361, 371 (2018) (“The use of the word ‘may’ certainly
confers discretion on the [agency].”). Beyond that, some courts have found even mandatory
actions to be “discretionary” under the Endangered Species Act (and related statutes) when the
statutory criteria are so open-ended that they leave the agency significant flexibility on when or
how to act. See, e.g., Sierra Club v. Fed. Energy Regulatory Comm’n, 867 F.3d 1357, 1373
(D.C. Cir. 2017) (“public convenience and necessity”); Fla. Key Deer v. Paulison, 522 F.3d
1133, 1142 (11th Cir. 2008) (“‘otherwise improve’ land management and use”). But on the other
hand, Home Builders makes clear that agency action need not be “entirely mechanical” for the
agency to still be exercising only “judgment,” not “discretion.” Home Builders, 551 U.S. at 671.

       Or consider some analogous examples from a more familiar context. Just like agencies,
district courts can have “discretion” because permissive language gives it to them. See, e.g.,
Dorris v. Absher, 179 F.3d 420, 429 (6th Cir. 1999) (applying the general rule that the term
“may” gives the district court “discretion” to act). But district courts can also have “discretion”
because the criteria governing their action (even a mandatory action) are simply too open-ended
to be anything but “discretionary.” Take the Federal Rule on discovery: courts “must” limit
discovery to “the scope permitted by Rule 26(b)(1).” Fed. R. Civ. P. 26(b)(2)(C)(iii). That
sounds nondiscretionary until you look at Rule 26(b)(1), which defines the scope of discovery
only in terms of a broad list of open-ended factors courts must “consider[].” It should come as
no surprise then that “the scope of discovery is within the sound discretion of the trial court.”
Pittman v. Experian Info. Sols., Inc., 901 F.3d 619, 642 (6th Cir. 2018) (cleaned up). Yet this
does not mean that any amount of open-endedness makes a decision “discretionary.” District
courts make tough calls on a daily basis. Most motions to dismiss or for summary judgment, for
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                                     U.S. Dep’t Trans., et al.

example, call on district courts to exercise their judgment and expertise. Cf. Ashcroft v. Iqbal,
556 U.S. 662, 679 (2009) (noting that “whether a complaint states a plausible claim for relief”
calls for “judicial experience and common sense”). But of course, we don’t consider all these
decisions “discretionary.”

       As with most legal issues, there may be close cases in which it isn’t entirely clear
whether an action involves “discretion” or only “judgment.” But fortunately, this case isn’t one
of them.   In the Clean Water Act, Congress gave the agency specific “instructions” (the
enumerated criteria) and told the agency “to follow the instructions” (“shall . . . approve”).
33 U.S.C. § 1321(j)(5)(D), (E)(iii); WildEarth Guardians v. U.S. Army Corps of Eng’rs, 947
F.3d 635, 640 (10th Cir. 2020). The criteria here are akin to those at issue in Home Builders,
which also required the agency to use some expertise and judgment, but yet did not trigger the
consultation requirement. See Home Builders, 551 U.S. at 671. And Home Builders flatly tells
us that in such cases an agency action isn’t “discretionary” because it’s something the agency is
“required by statute to [do] once certain specified triggering events have occurred.” Id. at 669.
No different here

       The Federation next tries to find discretion in various provisions of the Clean Water Act.
For instance, it points to a provision that directs the agency to “require amendments to any plan
that does not meet the requirements of this paragraph.” 33 U.S.C. § 1321(j)(5)(E)(ii). But the
power to “amend” is the power “to put right” or “correct.” The Random House Dictionary of the
English Language 66 (2d ed. 1987); Webster’s Third New International Dictionary 68 (1993).
And the Clean Water Act already provides a clear standard by which to evaluate the
“correctness” of the plans: the criteria enumerated in the statute. So this provision gives the
agency no more discretion than the enumerated criteria themselves. That is to say, none at all.

       Nor does it matter that the agency must issue regulations requiring response plans to
address the risk of oil spills “to the maximum extent practicable.” 33 U.S.C. § 1321(j)(5)(A)(i).
The Clean Water Act clearly specifies the information that plans must include.            See id.
§ 1321(j)(5)(D). And even the Federation does not argue that the Act’s grant of rulemaking
authority empowers the agency to “engraft[]” additional criteria onto that list. Home Builders,
 Nos. 19-1609/1610             Nat’l Wildlife Federation v. Sec’y of the                    Page 7
                                      U.S. Dep’t Trans., et al.

551 U.S. at 663. After all, rulemaking authority “is not the power to make law” (at least in the
full sense of that term) but only “the power to adopt regulations to carry into effect the will of
Congress as expressed by the statute.” Manhattan Gen. Equip. Co. v. Comm’r, 297 U.S. 129,
134 (1936) (emphasis added). So again, this provision gives the agency no more discretion than
the enumerated criteria themselves.

       The Federation also seeks meaning in two of the enumerated criteria, arguing that they
incorporate environmental concerns that trigger the consultation requirement. But the Supreme
Court considered (and rejected) a nearly identical argument in Home Builders, reasoning that
none of the criteria made the protection of endangered species “an end in itself.” Home Builders,
551 U.S. at 671. The argument fails for the same reason here.

        The Federation points to a criterion that requires response plans to ensure the availability
of “private personnel and equipment necessary to remove to the maximum extent practicable”
certain oil spills. 33 U.S.C. § 1321(j)(5)(D)(iii). The Clean Water Act further defines “remove”
and “removal” as the various actions that “may be necessary to prevent, minimize, or mitigate
damage to the public health or welfare, including, but not limited to, fish, shellfish, wildlife, and
public and private property, shorelines, and beaches.” Id. § 1321(a)(8). The Federation seizes
upon the words “fish,” “shellfish,” and “wildlife” and insists that they show that the requirement
implicates environmental concerns. But those words are just a few examples given to show what
the phrase “the public health or welfare” means in the “removal” context. More relevant here,
the “removal” definition simply modifies the type of “personnel” and “equipment” that the
pipeline operator must have. The key provision thus asks whether the operator has the type of
resources necessary to address certain oil spills “to the maximum extent practicable”—a
question of technical and practical limits. See 49 C.F.R. §§ 194.5, 194.115(a). Given all this,
it’s hard to see how the provision treats the protection of endangered species as “an end in itself.”
Home Builders, 551 U.S. at 671.

       The Federation also points to a criterion that requires response plans to be “consistent
with the requirements of the National Contingency Plan and Area Contingency Plans.”
33 U.S.C. § 1321(j)(5)(D)(i). These contingency plans—as explained elsewhere in the Clean
 Nos. 19-1609/1610            Nat’l Wildlife Federation v. Sec’y of the                     Page 8
                                     U.S. Dep’t Trans., et al.

Water Act—are prepared by government officials and describe how public and private entities
should work together to prevent and remedy oil spills. See id. § 1321(d), (j)(4). The Federation
reasons that, because the response plans must be “consistent with” the contingency plans and
because the contingency plans allegedly incorporate environmental concerns, then the response
plans must incorporate such concerns as well. But this extended chain of reasoning doesn’t hold
up.

       For one thing, the phrase “consistent with” cannot bear the weight that the Federation
places on it. Response plans are “consistent” with the contingency plans if they “show[] no
noteworthy opposing, conflicting, inharmonious, or contradictory qualities”—in other words, if
the documents put together are “not self-contradictory.” The Random House Dictionary of the
English Language 434; Webster’s Third New International Dictionary 484. Consistency does
not mean exact, point-by-point correspondence. See, e.g., Envtl. Def. Fund, Inc. v. EPA, 82 F.3d
451, 457 (D.C. Cir. 1996) (per curiam); NL Indus., Inc. v. Kaplan, 792 F.2d 896, 898–99 (9th
Cir. 1986). So this provision doesn’t require response plans to incorporate every single feature
of the contingency plans—a conclusion that the agency has also reached.             See 49 C.F.R.
§ 194.107(b).

       In any event, the Federation overstates the relevance of the provision. The organization
points to a single regulation that requires Area Contingency Plans to include an “annex” and says
that the annex should “[d]efine the requirements for evaluating the compatibility between this
annex and non-federal response plans . . . on issues affecting fish and wildlife, their habitat, and
sensitive environments.” 40 C.F.R. § 300.210(c)(4)(i), (ii)(I). And the relevant annex provides
that pipeline operators “must determine the maximum distance at which a worst case oil spill
from their facility could cause injury to fish and wildlife and sensitive environments and develop
a plan for mitigating that discharge’s potential adverse effects.” Fish & Wildlife Annex Region
5, pt. I, § 10.0 (2008). Again, it’s hard to see how a single sentence in an annex based on a
regulation associated with a statutory provision means that the provision, on its own terms, treats
the protection of endangered species “as an end in itself.” Home Builders, 551 U.S. at 671. But
just as importantly, this argument runs up against the principle that Congress doesn’t hide
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                                     U.S. Dep’t Trans., et al.

regulatory elephants (like the consultation requirement) in mouseholes.         Whitman v. Am.
Trucking Ass’ns, 531 U.S. 457, 468 (2001). And mouseholes don’t get much smaller than this.

       As a last resort, the Federation cites the Clean Water Act’s purpose as well as some
snippets of legislative history. But courts don’t consider this type of “extra-textual evidence”
when the statutory text is clear—as it is here. NLRB v. SW Gen., Inc., 137 S. Ct. 929, 942
(2017). So this argument fares no better than the rest.

       In sum, the agency did not need to comply with the consultation requirement.

       National Environmental Policy Act. The defendants also challenge the district court’s
ruling as to the National Environmental Policy Act. That Act requires federal agencies to
prepare an environmental impact statement for major federal actions that will affect the
environment. 42 U.S.C. § 4332(C). But like the consultation requirement, the impact-statement
requirement does not apply to all major agency actions; it applies only to discretionary ones. See
Dep’t of Transp. v. Pub. Citizen, 541 U.S. 752, 770 (2004); Pac. Legal Found. v. Andrus, 657
F.2d 829, 835–40 (6th Cir. 1981).

       Consider the Supreme Court’s decision in Public Citizen. There, the Court held that an
agency need not prepare an impact statement for an action that it “lacks discretion to prevent.”
Pub. Citizen, 541 U.S. at 756. That holding followed from two simple points. First, the National
Environmental Policy Act contains an inherent “rule of reason.” Id. at 767. And “no rule of
reason worthy of that title,” the Court observed, would require an agency to prepare an impact
statement to address “the environmental impact of an action it could not refuse to perform.” Id.
at 767, 769. Second, the Act requires “a reasonably close causal relationship” between the
environmental impact and the agency action—something akin to proximate causation. Id. at 767.
And when an agency lacks discretion, “the legally relevant cause” of the environmental impact,
the Court explained, is not the agency’s action but rather Congress’s decision to limit the
agency’s discretion in the first place. Id. at 769. To sum up, the impact-statement requirement
did not apply because the agency had “no discretion” to act otherwise. Id. at 770; see also Home
Builders, 551 U.S. at 667–68 (describing the “basic principle” of Public Citizen as being “that an
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                                      U.S. Dep’t Trans., et al.

agency cannot be considered the legal ‘cause’ of an action that it has no statutory
discretion not to take”).

       Again, the same holds true here. The Clean Water Act doesn’t allow the agency to reject
a response plan for “any reason under the sun.” Ctr. for Biological Diversity v. U.S. Army Corps
of Eng’rs, 941 F.3d 1288, 1298 (11th Cir. 2019). Rather, the Act requires the agency to approve
any plan that satisfies the enumerated criteria. Like in Public Citizen, it makes little sense to
compel the agency to prepare an impact statement for “an action it [cannot] refuse to perform.”
Pub. Citizen, 541 U.S. at 769. And, like in Public Citizen, “the legally relevant cause” of any
environmental impact isn’t the agency’s approval of the response plan but rather Congress’s
decision to limit the agency’s discretion in the first place. Id. Thus, like in Public Citizen, the
impact-statement requirement does not apply because the agency had “no discretion” to act
otherwise. Id. at 770; see also Andrus, 657 F.2d at 835–36, 838–39 (holding that the impact-
statement requirement did not apply because the statute required the agency to consider five
enumerated factors and the action was “mandatory” rather than “discretionary”).

       Nor do the enumerated criteria allow the agency to make free-form environmental
decisions. That certain criteria might have environmental effects doesn’t mean that they allow
the agency to consider the environment as “an end in itself.” Cf. Home Builders, 551 U.S. at
671. And if parties have a problem with the review of a response plan, our court has made clear
that the solution is a challenge to the review decision itself, not a “collateral attack to require an
impact statement.” Andrus, 657 F.2d at 836–37. In fact, the Federation brought such a challenge
in this case, arguing that the response plans didn’t satisfy the enumerated criteria and that the
agency failed to adequately explain its decision. The district court rejected the first argument
and accepted the second.      But neither party has appealed those rulings, and the National
Environmental Policy Act doesn’t create a backdoor to litigate the same issues all over again.

       The Federation repeats many of the same arguments about the agency’s supposed
“discretion.” But the arguments fail with respect to the National Environmental Policy Act for
the same reasons they fail as to the Endangered Species Act. See Sierra Club v. Babbitt, 65 F.3d
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                                     U.S. Dep’t Trans., et al.

1502, 1512 (9th Cir. 1995); see also Home Builders, 551 U.S. at 667–68 (analogizing discretion
under the two statutes). The Federation hasn’t given us any reason to think otherwise.

       In sum, the agency did not need to prepare an impact statement.

       One last point. The only other circuit to address these two issues reached the same result
but through different reasoning. See Alaska Wilderness League v. Jewell, 788 F.3d 1212 (9th
Cir. 2015). That court likewise held that an agency need not comply with the Endangered
Species Act or the National Environmental Policy Act before it approves a response plan. But
the court did so only after it found the Clean Water Act ambiguous and the agency’s
interpretation reasonable. See id. at 1219–26 (citing Chevron, U.S.A., Inc. v. Nat. Res. Def.
Council, Inc., 467 U.S. 837 (1984)).

       As an initial matter, it seems doubtful that the Chevron framework applies here at all.
Agency interpretations warrant Chevron deference only when they are issued through an action
carrying the “force of law”—such as a regulation or formal adjudication. United States v. Mead
Corp., 533 U.S. 218, 227 (2001); Carter v. Welles-Bowen Realty, Inc., 736 F.3d 722, 727 (6th
Cir. 2013). And the parties haven’t pointed us to any such interpretation. But in any event,
courts don’t defer when the statutory text is clear. See Arangure v. Whitaker, 911 F.3d 333, 337–
38 (6th Cir. 2018). So deference is beside the point.

                                               ***

       We reverse the district court’s judgment as to the claims under the Endangered Species
Act and the National Environmental Policy Act and remand for further proceedings consistent
with this opinion.
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                                           U.S. Dep’t Trans., et al.

                                            _________________

                                                  DISSENT
                                            _________________

       MERRITT, Circuit Judge, dissenting. The record reflects that from 1999 to 2016 there
were at least 269 oil spills or leaks from the defendant, Enbridge Energy, resulting in over three
million gallons spilled. Given the potential for environmental damage that each spill creates, the
question before us, based upon the language of the statutes to be interpreted, is whether we
should take a narrow or broad view of the wildlife and other environmental resources that should
be protected. My colleagues take an extremely narrow view. The district court took a broader
view with which I agree.

       This case deals with a set of complicated regulations asking an administrative agency to
take into account and weigh and balance a long list of considerations named in 33 U.S.C.
§ 1321(j)(5)(D) and the definition section. It is unrealistic to think that it can perform its role
without the kind of flexible judgement or guided discretion that we as judges must often use in
weighing similar kinds of issues.

       The Endangered Species Act requires federal agencies to consult with environmental
authorities to insure that any agency action “is not likely to jeopardize the continued existence of
any endangered species or threatened species” or destroy or adversely modify the habitat of such
species. 16 U.S.C. § 1536(a)(2). This consultation requirement applies only to “discretionary”
agency actions. 50 C.F.R. § 402.03. When we read the six criteria recited in 33 U.S.C.
§ 1321(j)(5)(D),1 together with the definition section found in § 1321(a), it seems clear that

       1The   response plan must:
                 (i)     be consistent with the requirements of the National Contingency Plan
                         and Area Contingency Plans;
                 (ii)    identify the qualified individual having full authority to implement
                         removal actions, and require immediate communications between that
                         individual and the appropriate Federal official and the persons
                         providing personnel and equipment pursuant to clause (iii);
                 (iii)   identify, and ensure by contract or other means approved by the
                         President the availability of, private personnel and equipment necessary
                         to remove to the maximum extent practicable a worst case discharge
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                                         U.S. Dep’t Trans., et al.

Congress intended to give the administrative agency that rules on response plans (here, the
Pipeline and Hazardous Material Safety Administration) significant discretion or latitude in
considering and applying the criteria. Perhaps the most obvious criteria that calls for a broad
view is § 1321(j)(5)(D)(iii):

       identify, and ensure by contract or other means approved by the President the
       availability of, private personnel and equipment necessary to remove to the
       maximum extent practicable a worst case discharge (including a discharge
       resulting from fire or explosion), and to mitigate or prevent a substantial threat of
       such a discharge.

Id. (emphasis added). The definition section gives the word “remove” a broad definition that
extends the administrative agency’s discretion to include not only the “public health or welfare”
but also “wildlife” and damage to the “public and private property.” This definition section
reads as follows:

       “[R]emove” or “removal” refers to containment and removal of the oil or
       hazardous substances from the water and shorelines or the taking of such other
       action as may be necessary to prevent, minimize, or mitigate damage to the public
       health or welfare, including, but not limited to, fish, shellfish, wildlife, and public
       and private property, shorelines and beaches[.]

§ 1321(a)(8).       In addition, “maximum extent practicable” means “the limits of available
technology and the practical and technical limits on a pipeline operator[.]” 49 C.F.R. § 194.5.

       The agency here must therefore decide if response plans provide the means necessary to,
within the confines of available technology and other limitations, “prevent, minimize, or mitigate
damage to the public health or welfare,” which includes environmental concerns. This decision-

                         (including a discharge resulting from fire or explosion), and to mitigate
                         or prevent a substantial threat of such a discharge;
                (iv)     describe the training, equipment testing, periodic unannounced drills,
                         and response actions of persons on the vessel or at the facility, to be
                         carried out under the plan to ensure the safety of the vessel or facility
                         and to mitigate or prevent the discharge, or the substantial threat of a
                         discharge;
                (v)      be updated periodically; and
                (vi)     be resubmitted for approval of each significant change.
       § 1321(D)(i)‒(vi).
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                                          U.S. Dep’t Trans., et al.

making involves expertise, discretion, and judgment. The agency does not simply check the box
for a “triggering event” like the agency in Home Builders.

       In Home Builders, the Court did not require consultation under the Endangered Species
Act in part because doing so would implicitly repeal the Clean Water Act. Nat’l Ass’n of Home
Builders v. Defs. of Wildlife, 551 U.S. 644, 661‒64 (2007). We do not have that problem here, as
Congress enacted the Oil Pollution Act of 1990 after the Endangered Species Act. See Alaska
Wilderness League v. Jewell, 811 F.3d 1111, 1116 (9th Cir. 2015) (explaining that “33 U.S.C.
§ 1321(j)(5) postdates the ESA by seventeen years”) (Gould, J., dissenting). Additionally, the
criteria in Home Builders were specific and finite and operated “as a ceiling as well as a floor.”
Home Builders, 551 U.S. at 663.2 Here, the “maximum extent practicable” requirement is an
amorphous, moving target, subject to change with the development of technology and other
resources used by pipeline operators.             Hence the agency’s mandate to periodically review
response plans to ensure that operators use the best available methods at that point in time and
the agency’s ability to force operators to amend the plan if they do not meet that criterion. 33
U.S.C. § 1321(j)(5)(E)(ii), (iv). The agency’s mandate to periodically evaluate and amend
response plans are other examples of the expertise and latitude required by the agency, and is
much different than the agency’s role in Home Builders, which the Court determined was to
check boxes for a series of “triggering events.” Home Builders, 551 U.S. at 669.

       The National Environmental Policy Act requires federal agencies to prepare an
environmental impact statement for all “major Federal actions significantly affecting the quality
of the human environment.” 42 U.S.C. § 4332(C)(i). My colleagues rely on Dep’t of Transp. v.
Pub. Citizen, 541 U.S. 752 (2004), to support the position that the agency here did not have to
prepare an environmental impact statement. In Public Citizen, the agency was required to certify
a person as a motor carrier if it found that person willing and able to comply with safety and
financial responsibility requirements established by the Department of Transportation. See 49
U.S.C. § 13902(a)(1)(A); Pub. Citizen, 541 U.S. at 766.                     The agency was not statutorily
authorized to consider environmental concerns. Thus, the Court found that the environmental

       2The   criteria at issue in Home Builders can be found at 33 U.S.C. § 1342(b)(1)-(9).
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                                      U.S. Dep’t Trans., et al.

impact statement would serve no purpose because the agency “lack[ed] the power to act on
whatever information might be contained in the [statement]” and therefore the agency action
would not have a “reasonably close causal relationship” to negative environmental
consequences. Pub. Citizen, 541 U.S. at 767‒68. The Court held that the agency need not have
complied with the environmental impact statement requirement because it did not have the
discretion to prevent the certifying of motor carriers based on environmental concerns, given “its
limited statutory authority[.]” Id. at 770.

       The bulk of the agency’s work here is to determine if the pipeline operator has the
necessary means to prevent, minimize, or mitigate environmental damage from a potential worst
case discharge. The agency’s approval of a response plan would therefore provide what was
lacking in Public Citizen—a “reasonably close causal relationship between the agency action and
environmental effects, including a worst case discharge, stemming from a potential spill.”
Alaska Wilderness, 811 F.3d at 1117 (Gould, J., dissenting) (internal quotation marks and
citations omitted). Public Citizen does not control this issue but gives further reason why the
agency is required to prepare an environmental impact statement.

       Thus, in my view, Congress did not want the administrative agency to be captured by the
oil pipeline business by rote consideration of only a narrowly defined checklist, but rather
required a discretionary judgement by the administrative agency to ensure that a response plan
gives protection “to the maximum extent practicable” to our manifold environmental resources.
I would therefore affirm the district court’s grant of summary judgment.