Court Opinion

ID: 2664834
Source: CourtListenerOpinion
Date Created: 2014-04-04 06:32:12.914192+00
Date Added: 2024-06-11T13:04:56.857120
License: Public Domain

UNITED STATES DISTRICT COURT
                             FOR THE DISTRICT OF COLUMBIA

____________________________________
                                    )
SIERRA CLUB,                        )
                                    )                Civil Action No. 01-1537 (PLF)
       Plaintiff,                   )                (consolidated with
                                    )                Civil Action No. 01-1548
       v.                           )                Civil Action No. 01-1558
                                    )                Civil Action No. 01-1569
LISA P. JACKSON, Administrator,     )                Civil Action No. 01-1578
 United States Environmental        )                Civil Action No. 01-1582
                    1
 Protection Agency,                 )                Civil Action No. 01-1597)
                                    )
       Defendant.                   )
____________________________________)

                                              OPINION

               “This case concerns defendant EPA’s failure to discharge fully its duty under the

1990 Clean Air Act amendments to promulgate regulations governing the discharge of certain

hazardous air pollutants.” Sierra Club v. Johnson, 444 F. Supp. 2d 46, 47 (D.D.C. 2006). By

Order of March 31, 2006, this Court entered judgment for plaintiff, finding that EPA’s admitted

failure to promulgate emission standards pursuant to the Clean Air Act constituted “a failure of

the Administrator to perform any act or duty under this chapter that is not discretionary with the

Administrator” within the meaning of Section 304(a)(2) of the Clean Air Act, 42 U.S.C.

§ 7604(a)(2). See Order at 1, Mar. 31, 2006. The Court ordered EPA to fulfill its statutory

duties regarding the promulgation of emission standards under Sections 112(c)(3) and (k)(3)(B),

Section 112(c)(6), and Section 183(e) on a prescribed schedule. See id. at 1-3. The Court

explained the reasoning underlying its March 31, 2006 Order in its August 2, 2006 Opinion. See

Sierra Club v. Johnson, 444 F. Supp. at 46.

       1
               Under Rule 25(d)(1) of the Federal Rules of Civil Procedure, EPA Administrator
Lisa P. Jackson has been substituted as the defendant for former Administrator Stephen L.
Johnson.
               Pursuant to the schedule established by the Court’s Order, EPA was to have fully

discharged all of its statutory duties by June 15, 2009. See Order at 3, Mar. 31, 2006; Sierra

Club v. Johnson, 444 F. Supp. 2d at 48. Since 2006, however, the Court has granted a number of

EPA’s motions to extend the deadlines in its March 31, 2006 Order, all without opposition from

plaintiff. Thus, as amended, the Court’s March 31, 2006 Order now requires, in relevant part,

that EPA fully discharge its statutory duties under Sections 112(c)(3) and (k)(3)(B), and Section

112(c)(6) of the Clean Air Act by January 21, 2011. See Order at 1-2, Sept. 20, 2010; Order at 1,

Jan. 12, 2011. EPA now requests an extension of this January 21, 2011 deadline — but this time

its request is opposed.2

               This matter is before the Court on EPA’s motion to amend paragraphs 1(i) and 3

of the Court’s March 31, 2006 Order to allow EPA additional time to promulgate regulations

governing emission standards for certain hazardous air pollutants. Six intervenors have

collectively filed a response in support of EPA’s motion. Plaintiff opposes the motion. Upon

consideration of the parties’ and intervenors’ arguments, the applicable legal standards, and the

entire record in this case, the Court will deny in part and grant in part EPA’s motion.3

       2
               The parties’ papers refer to a deadline of January 16, 2011. Because that date was
a Sunday and January 17, 2011 was a federal holiday, the Court, with the agreement of the
parties, extended this January 16, 2011 deadline to January 21, 2011, pending a decision on
EPA’s motion. See Order at 1, Jan. 21, 2011. The Court thus refers throughout this Opinion to
January 21, 2011 as the applicable deadline.
       3
               The papers reviewed in connection with the pending motion include the
following: EPA’s corrected motion to amend Order of March 31, 2006 (“Mot.”); Exhibits 1
through 6 to Mot., including the Declaration of Panagiotis E. Tsirigotis (attached as Exhibit 6 to
Mot.) (“Tsirigotis Decl.”); plaintiff’s opposition to EPA’s motion to amend Order of March 31,
2006 (“Opp.”); Exhibits A through I to Opp.; response by intervenors to EPA’s motion to amend
Order of March 31, 2006 (“Intervenors’ Response”); the six Declarations attached to Intervenors’
Response; plaintiff’s reply to response by intervenors (“Pl.’s Reply to Intervenors”); EPA’s reply
(“Reply”); the Supplemental Declaration of Panagiotis E. Tsirigotis (attached to Reply)
(“Tsirigotis Supp. Decl.”); and plaintiff’s surreply (“Surreply”). The Court also reviewed the
parties’ summary judgment papers.

                                                 2
                                        I. BACKGROUND

                         A. The Clean Air Act and the 1990 Amendments

               The Clean Air Act (“CAA” or “the Act”) regulates hazardous air pollutants

(“HAPs”). The first federal attempt to regulate these HAPs, enacted in 1970, “worked poorly.”

See S. REP . NO . 101-228, at 128 (1989). Indeed, from 1970 until 1990, “EPA . . . listed only

eight substances as hazardous air pollutants . . . and . . . promulgated emissions standards for

seven of them.” See H.R. REP . NO . 101-490, pt. 1, at 322 (1990). Accordingly, on November

15, 1990, Congress enacted sweeping revisions to the Act. See PUB. L. NO . 101-549, 104 STAT .

2399. The purpose of these revisions was to “entirely restructure the existing law, so that toxics

might be adequately regulated by the Federal Government.” S. REP . NO . 101-228, at 128 (1989).

In place of the prior “risk-based approach,” Congress imposed a technology-based emission-

control scheme that limited EPA’s discretion and that set strict requirements and deadlines for

the promulgation of emission standards. See NRDC v. EPA (“NRDC II”), 489 F.3d 1364, 1368

(D.C. Cir. 2007).

               As the Court previously described:

               Title III of the revised statute created a complex scheme for the
               regulation of 189 specified [HAPs], and directed EPA to identify
               the sources of those pollutants and to promulgate regulations
               governing the emission of HAPs from those sources. Congress by
               statute added to the Clean Air Act the list of pollutants to be
               regulated, minimum stringency requirements, and (most important
               for this case) regulation deadlines. It did so because it believed
               that EPA had failed to regulate enough HAPs under previous air
               toxics provisions.

                                                 3
Sierra Club v. Johnson, 444 F. Supp. 2d at 48 (emphasis added). Title III recognizes and directs

EPA to identify and regulate two basic kinds of sources of air pollutants: (1) major sources; and

(2) area sources. Id. These two types of sources are distinguished by the amount of their

respective HAP emissions. See id.; see also 42 U.S.C. §§ 7412(a)(1), (2). At issue in this case

are the following two requirements regarding both area sources and major sources:

               1. Regulate area sources of the thirty most dangerous HAPs: Sections 112(c)(3)

and (k)(3)(B) of the Act, 42 U.S.C. §§ 7412(c)(3) and (k)(3)(B), require EPA (1) to “identify not

less than 30 hazardous air pollutants which, as the result of emissions from area sources, present

the greatest threat to public health in the largest number of urban areas”; (2) to identify the

categories or subcategories of sources “accounting for 90 per centum or more of the aggregate

emissions of each of the 30 identified hazardous air pollutants” by November 15, 1995; and

(3) to issue emission standards for those area source categories by November 15, 2000. Sierra

Club v. Johnson, 444 F. Supp. 2d at 49. The emission standards must be based on one of three

types of pollution control mechanisms: (1) maximum achievable control technologies

(“MACTs”); (2) health-based standards; or (3) generally available control technologies.

See 42 U.S.C.§§ 7412(d)(2), (d)(4), and (d)(5). As of 2006, EPA had fulfilled the first two of its

duties under Sections 112(c)(3) and (k)(3)(B). EPA had failed, however, to fulfill its third duty:

by 2006, it had promulgated emission standards for only fifteen of seventy area source categories.

Sierra Club v. Johnson, 444 F. Supp. 2d at 49.

               2. Regulate sources of seven statutorily-specified HAPs: Section 112(c)(6) of the

Act calls for EPA to regulate the sources of seven specific HAPs, without regard to whether

those sources are major sources or area sources and without regard to their inclusion on EPA’s

                                                  4
list of sources of the thirty most dangerous HAPs. See 42 U.S.C. § 7412(c)(6); Sierra Club v.

Johnson, 444 F. Supp. 2d at 49. EPA’s duties and deadlines with respect to Section 112(c)(6) are

identical to its duties with respect to the thirty most dangerous HAPs under Sections 112(c)(3)

and (k)(3)(B). See 42 U.S.C. § 7412(c)(6). The only difference is that EPA emission standards

promulgated pursuant to Section 112(c)(6) cannot be based on generally available control

technologies. Rather, the emission standards must be either (1) MACTs or (2) health-based

standards. See 42 U.S.C. §§ 7412(d)(2) and (d)(4).

               As the Court explained in Sierra Club v. Johnson, because one source may emit

numerous pollutants, there is the potential for EPA to satisfy its Section 112(c)(3) and (k)(3)(B)

requirements and its Section 112(c)(6) requirements simultaneously. See Sierra Club v. Johnson,

444 F. Supp. 2d at 48 n.3. In other words, EPA may not need to promulgate regulations directly

under Section 112(c)(6), because regulations it promulgates under other sections of the Act may

suffice to “account[] for 90 per centum or more of the aggregate emissions” of the pollutants

listed in that section. Id. at 59. Nevertheless, as of 2006, EPA had failed to promulgate emission

standards under Section 112(c)(6) for five source categories. Id. at 49. These five source

categories were also among the fifty source categories that were required to be regulated under

Sections 112(c)(3) and (k)(3)(B). Id. at 50.

                                   B. History of This Litigation

               In 2001, plaintiff filed seven different complaints against EPA, each seeking relief

for EPA’s failure to discharge a different aspect of its regulatory duties under the Act. These

cases were consolidated, and the parties entered into a partial consent decree on May 22, 2003.

                                                 5
Other issues could not be resolved, however, and the parties eventually filed cross-motions for

summary judgment. EPA did not contest the issue of liability: it admitted that it had failed to

promulgate regulations by the statutory deadline of November 15, 2000. Accordingly, the only

matter before the Court was to fashion an appropriate equitable remedy.

               On March 31, 2006, the Court issued its Order denying EPA’s motion for

summary judgment and granting summary judgment in favor of plaintiff. The Court ordered

EPA to fulfill its statutory duties under Sections 112(c)(3) and (k)(3)(B), Section 112(c)(6), and

Section 183(e) on a prescribed schedule that would “best preserve the intent of Congress in

enacting the 1990 Clean Air Act Amendments, without calling upon defendants to do the

impossible.” See Sierra Club v. Johnson, 444 F. Supp. 2d at 61. That Order required, in relevant

part, that EPA “promulgate standards under CAA Section 112(d) for those area source categories

listed by EPA pursuant to CAA Section 112(c)(3) and (k)(3)(B) as source categories that are

necessary to meet the 90 percent statutory threshold identified in Section 112(c)(3) and (k)(3)(B),

and for which it has not yet issued standards” on a set schedule to be completed in full by June

15, 2009. See Order at 2, Mar. 31, 2006; Sierra Club v. Johnson, 444 F. Supp. 2d at 48, 61. That

Order further required that “[n]o later than December 15, 2007, EPA shall promulgate emission

standards assuring that source categories accounting for not less than ninety percent of the

aggregate emissions of each of the hazardous air pollutants enumerated in Section 112(c)(6) are

subject to emission standards under Section 112(d)(2) or (d)(4).” Order at 3, Mar. 31, 2006;

Sierra Club v. Johnson, 444 F. Supp. 2d at 48, 61.

               After March 31, 2006, EPA moved for a number of unopposed extensions of time

to complete its obligations. See Order at 1-2, Nov. 13, 2008; Order at 1-2, June 30, 2009; Order

                                                 6
at 1-2, Sept. 10, 2009; Order at 1, Apr. 13, 2010. On August 31, 2010, EPA requested, without

opposition from plaintiff, that the Court amend paragraphs 1(i) and 3 so as to extend its deadline

from December 16, 2010 to January 16, 2011. See Unopposed Mot. to Amend Order at 1, Aug.

31, 2010. On September 20, 2010, the Court granted EPA’s request, and the Court has since

extended the deadline to January 21, 2011. See supra n.2. Accordingly, as amended, the March

31, 2006 Order provides, in relevant part:

               1.     EPA shall promulgate emission standards under section
                      112(d) assuring that area sources representing ninety
                      percent of the area source emissions of the 30 urban
                      hazardous air pollutants identified pursuant to section
                      112(k)(3) are subject to emissions standards as follows:

                                             *       *       *      *

                      (i)     EPA shall promulgate emission standards under
                              section 112(d) or section 129 assuring that area
                              sources representing ninety percent of the area
                              source emissions of the 30 urban hazardous air
                              pollutants are subject to emissions standards by
                              January 21, 2011.

                                             *       *       *      *

               3.     No later than December 16, 2010, the Agency shall
                      promulgate emission standards for one additional category
                      pursuant to section 112(c)(6). No later than January 21,
                      2011, the Agency shall promulgate emission standards
                      assuring that sources accounting for not less than ninety
                      percent of the aggregate emissions of each of the hazardous
                      air pollutants enumerated in Section 112(c)(6) are subject
                      to emission standards under Section 112(d)(2) or (d)(4).

See Order at 1-2, Sept. 20, 2010; Order at 1, Jan. 12, 2011. As required by paragraph 3, on

December 16, 2010, EPA signed the final rule “National Emission Standards for Hazardous Air

Pollutants: Gold Mine Ore Processing and Production Area Source Category; and Addition to

                                                 7
Source Category List for Standards.” See Def.’s Notice of Subsequent Event, Dec. 21, 2010.

Still at issue, however, is the January 21, 2011 deadline in both paragraph 1(i) and paragraph 3.

EPA now requests that this deadline be extended. See Mot. at 1-4.

                                   C. EPA’s Proposed Schedule

               As EPA explains, the key for each of its remaining obligations “is reaching the

ninety percent threshold.” Mot. at 2. Since 2006, EPA has promulgated final rules establishing

emission standards for forty-eight area source categories pursuant to paragraph 1, and EPA has

promulgated emission standards for two source categories pursuant to paragraph 3. See

Tsirigotis Decl. ¶¶ 9, 10. With respect to paragraph 3, in order to reach the required ninety

percent threshold, EPA asserts that it needs to complete additional emission standards for

(1) certain area source boilers, (2) major source boilers, and (3) commercial and institutional

solid waste incineration (“CISWI”) units (collectively, “the Three Air Rules”). Id. ¶¶ 11 & n.2,

41. With respect to paragraph 1, in order to reach the required ninety percent threshold, EPA

asserts that it needs to complete additional emission standards for (1) area source boilers, and

(2) sewage sludge incineration (“SSI”) units. Id. ¶¶ 9, 42.

               Paragraph 3: On April 29, 2010, the EPA Administrator signed proposed

emission standards for the Three Air Rules. Tsirigotis Decl. ¶ 23. These proposed rules were

then published in the Federal Register on June 4, 2010. Id. ¶ 25. Although the public comment

period was originally to close on July 19, 2010, given the significant public interest in these

rules, EPA granted extensions until August 23, 2010. Id. ¶¶ 29, 30. EPA received over 4,800

individual comments in response to those proposed rules. Id. ¶¶ 32-34. EPA now asserts that

                                                 8
those comments “may materially affect important decisions relating to source categorizations and

coverage for the final emission standards.” Mot. at 2. Thus, “EPA believes that the purpose of

section 112(c)(6) and the public interest will be best served if the Agency’s deadline in

[p]aragraph 3 is extended . . . to April 13, 2012, so that EPA can re-propose the rules for further

public comment to ensure that the final rules are logical outgrowths of the proposals.” Id. at 3;

see Tsirigotis Decl. ¶¶ 4, 34-37. In the alternative, EPA requests an extension until June 15,

2011 to allow EPA time to fully respond to the 4,800 individual comments it received. Mot. at 4;

Tsirigotis Decl. ¶¶ 5, 40.

               Paragraph 1: Because the standards for certain area source boilers are necessary

for EPA to complete its obligations under both paragraphs 1(i) and 3, EPA requests that the

deadline for it to complete all emission standards required under both paragraphs 1(i) and 3 be

extended to the same date — April 13, 2012. As to the one remaining area source category

relevant to paragraph 1(i), SSI units, the EPA Administrator signed a proposed rule on

September 30, 2010. Tsirigotis Decl. ¶ 47. The public comment period closed on November 29,

2010. Id. EPA received over eighty individual comments in response to its SSI proposal. Id.

¶ 48. EPA does not request an extension of time to re-propose this rule; rather, EPA requests an

extension until July 15, 2011, so that it can fully respond to the individual comments it received.

Mot. at 4; Tsirigotis Decl. ¶¶ 6, 49.

                                                 9
                                         II. DISCUSSION

                                      A. Standard of Review

               Despite the complexity of the statutory scheme at issue, the Court is again

presented with a single question for review: whether EPA has met the “heavy burden” of

demonstrating that it would be impossible to comply with the current January 21, 2011 deadline

for the promulgation of the remaining emission standards. See Sierra Club v. Johnson, 444 F.

Supp. 2d at 53, 58. The principles discussed in Sierra Club v. Johnson guide the Court’s

decision on the matter before it now. See NRDC v. Train, 510 F.2d 692, 713 (D.C. Cir. 1974)

(“Similar considerations apply after the issuance of an order when the defendant petitions for

modification or the court considers the propriety of resorting to contempt to coerce

compliance.”). The Court, however, elaborates on several points.

               First, it is established that where, as here, “an agency has failed to meet a statutory

deadline for a nondiscretionary act, the [C]ourt may exercise its equity powers ‘to set enforceable

deadlines both of an ultimate and an intermediate nature[.]’” Sierra Club v. Johnson, 444 F.

Supp. 2d at 52 (quoting NRDC v. Train, 510 F.2d at 705). Although a court may appropriately

decline to impose a deadline that would call on an agency to do the impossible, the “heavy

burden” of proving such an impossibility rests squarely on the agency. Id. at 52-53 (quoting

Alabama Power Co. v. Costle, 636 F.2d 323, 359 (D.C. Cir. 1979)).

               As a general rule, “[f]lexibility rather than rigidity has distinguished equity

jurisprudence.” NRDC v. Train, 510 F.2d at 713 (internal quotations and citation omitted).

Nevertheless, the court of appeals has cautioned that a district court must scrutinize carefully

claims of impossibility, and must “separate justifications grounded in the purposes of the Act

                                                 10
from the footdragging efforts of a delinquent agency.” Id. “When Congress expresses its intent

that regulations be promulgated by a date certain” — in this case, November 15, 2000, more than

ten years ago — “that intent is of utmost importance; a court considering a claim of impossibility

must not ‘order a remedy that would . . . completely neutralize the mandatory nature of the

statutory directive.’” Sierra Club v. Johnson, 444 S. Supp. 2d at 53 (quoting Sierra Club v.

Browner, 130 F. Supp. 2d 78, 95 (D.D.C. 2001)).

               To prove impossibility, “it is insufficient for the agency to demonstrate only that it

has proceeded in good faith; it also must demonstrate ‘utmost diligence’ in its efforts to comply

with the statute.” See Sierra Club v. Johnson, 444 F. Supp. 2d at 53. Because a “court’s

injunction should serve like adrenalin, to heighten the response and to stimulate the fullest use of

resources,” NRDC v. Train, 510 F.2d at 712, it is of course not the case than an agency can fail to

act with “the fullest use of resources” and then claim, at the last minute, that compliance is

impossible. Instead, although an agency’s current position may be relevant to a court’s ultimate

conclusion on whether action is impossible, a court will examine all of the agency’s actions and

inactions following the initial injunction or other court order in determining whether an extension

of a deadline is appropriate. See id. at 712-13; Sierra Club v. Johnson, 444 F. Supp. 2d at 52-53.

Here, the statutory mandates and court-ordered deadline at issue relate to the promulgation of

emission standards for certain HAPs by a date certain. Thus, in order for EPA to demonstrate the

existence of an impossibility for purposes of its pending motion, EPA must prove to the Court

that it has in good faith exercised utmost diligence in its efforts to promulgate the required

emission standards pursuant to paragraphs 1(i) and 3 by the Court’s deadline of January 21,

2011.

                                                 11
               One final point requires discussion. Although EPA, like all agencies, should

always strive to develop the most effective and sound regulations, “that quest must give ground

in favor of expedition where Congress expressly directs the Administrator to establish standards

promptly.” See State v. Gorsuch, 554 F. Supp. 1060, 1065 (S.D.N.Y. 1983). In light of

Congress’ express directive on the deadline for the promulgation of HAP regulations, the focus

must be on “substantively adequate regulations” — not perfect regulations. See Sierra Club v.

Johnson, 444 F. Supp. 2d at 56 (“[C]ourts evaluating claims of impossibility when an agency has

failed to meet a mandatory deadline generally have rejected claims that additional time is needed

to ensure substantively adequate regulations.”); see also NRDC v. Train, 510 F.2d at 712

(describing the necessary “formulation of adequate guidelines”); Sierra Club v. Thomas, 658 F.

Supp. 165, 175 (N.D. Cal. 1987) (“[T]he Court would extend EPA’s time to compensate for its

footdragging if it were convinced that doing so was necessary for the promulgation of workable

regulations.”). So the question remains: has EPA met its “heavy burden” of demonstrating that it

would be impossible to promulgate “substantively adequate regulations” pursuant to paragraphs

1(i) and 3 of the Court’s March 31, 2006 Order by January 21, 2011?

               Answering this question presents a complication for this Court: the Clean Air Act

“‘does not allow district courts to address the content of EPA’s conduct’” or “‘issue substantive

determinations of its own’” on promulgated regulations. Sierra Club v. Johnson, 444 F. Supp. 2d

at 60 (quoting Sierra Club v. Browner, 130 F. Supp. 2d at 90). “[S]uch substantive judicial

review is expressly reserved for the appropriate court of appeals.” Sierra Club v. Browner, 130

F. Supp. 2d at 90. Since the Court cannot “embroil [itself] in an assessment of the substance of

EPA’s actions or omissions,” id. at 90, the Court must be cautious where, as here, EPA’s motion

                                                12
for an extension of time focuses, in part, on the substantive quality of its rules. The only way for

this Court simultaneously to comply with 42 U.S.C. § 7607(b) and the court of appeals’

guidelines in NRDC v. Train is to give deference to EPA’s ultimate conclusion on the

substantive merit of its rules. As discussed below, however, even granting such deference, the

Court finds that EPA has not met its heavy burden of proving impossibility.

                B. The Substantive Concern — Re-Proposing the Three Air Rules

               EPA requests an extension of time to re-propose the Three Air Rules. These rules

relate to EPA’s requirements under both Section 112(c)(6), and Sections 112(c)(3) and (k)(3)(B).

In light of the comments received after EPA proposed these rules on April 29, 2010, EPA

contends that “[a] re-proposal would result in standards that are more defensible and will yield

environmental benefits earlier, because the final standards will more likely withstand substantive

review.” Mot. at 20-21; see Tsirigotis Decl. ¶¶ 34, 37. According to EPA: “On balance, given

the broad impact these rules will have, EPA believes that the overall public interest is best served

by allowing EPA to re-propose the rules so that [it] will be able to issue emission standards that

are based upon a thorough consideration of all available data and reduce potential litigation

risks.” Mot. at 14; see Tsirigotis Decl. ¶¶ 34, 37.

               In support of its motion, EPA filed a declaration from Panagiotis E. Tsirigotis, the

Director of the Sector Policies and Programs Division within the Office of Air Quality Planning

and Standards, Office of Air and Radiation at EPA. Mr. Tsirigotis provides background on the

rulemaking process for the Three Air Rules and explains why EPA only proposed these rules on

April 29, 2010, just nine months short of the court-ordered deadline at the time, December 16,

                                                 13
2010. See Tsirigotis Decl. ¶¶ 12-24. In short, during the spring and summer of 2007, the court

of appeals issued three decisions that “substantially impacted how [EPA] sets MACT emission

standards” under the Act. Id. ¶¶ 13, 15; see Sierra Club v. EPA, 479 F.3d 875, 882-83 (D.C. Cir.

2007); NRDC v. EPA (“NRDC I”), 489 F.3d 1250, 1257-61 (D.C. Cir. 2007); NRDC II, 489

F.3d at 1374-75. Although EPA asserts that all three decisions had an impact on EPA’s MACT

methodology, EPA explains that NRDC I directly related to EPA’s requirements for purposes of

satisfying Section 112(c)(6), because in that case the court of appeals vacated emission standards

for major source boilers and vacated a rule regarding the definition of CISWI units. See

Tsirigotis Decl. ¶ 14.

               Following these three decisions, EPA “determined that it needed additional

information from data and major industrial, commercial and institutional boilers and process

heaters and CISWI units in order to set defensible MACT emission standards” under the Act.

Tsirigotis Decl. ¶ 16. EPA prepared an information collection request, which triggered a

complicated but, EPA contends, necessary set of time-consuming processes, involving (1) Office

of Management and Budget (“OMB”) approval for its information collection request, (2) public

comment on its information collection request, and (3) a two-phased information collection

process. See id. ¶¶ 16-23. The first phase required facilities to submit existing information, and

the second phase required certain facilities “to conduct a suite of stack tests to evaluate their

emissions of hazardous air pollutants and certain other pollutants, such as particulate matter and

carbon dioxide.” Id. ¶ 17.

               After this entire process was complete, on April 29, 2010, the EPA Administrator

signed the proposed Three Air Rules. Tsirigotis Decl. ¶ 23. These rules were published in the

                                                  14
Federal Register on June 4, 2010. Id. ¶ 25. Although the comment period was originally to close

on July 19, 2010, given the significant public interest in these rules, EPA granted extensions until

August 23, 2010. Id. ¶¶ 29, 30.

               EPA explains that it received a significant number of public comments in

response. Mot. at 2; Tsirigotis Decl. ¶¶ 32-34. Specifically, EPA received over 4,800 individual

comments, and Mr. Tsirigotis now asserts that “[t]hese comments raise several significant issues

and provide new information and data.” Tsirigotis Decl. ¶ 34. Mr. Tsirigotis explains that “there

were a number of significant issues raised in the comments that may result in certain changes to

the proposed rules that, [EPA] believe[s], could change the direction from the proposals

sufficiently to make additional notice and comment advisable.” Id. ¶ 34. Thus, according to Mr.

Tsirigotis: “Based on the comments and new information and data, . . . a re-proposal of the major

source boilers, area source boilers and CISWI rules would significantly bolster the strength of the

final rules.” Id. “[T]he re-proposal approach will result in standards that are more defensible

and will yield environmental benefits earlier, because the final standards will more likely

withstand substantive review.” Id. ¶ 37. EPA therefore provides what it contends is “an

achievable, but very aggressive schedule for a re-proposal,” Mot. at 3, and requests that its

deadline be extended until April 13, 2012.4

               In response, plaintiff argues that EPA fails to meet the standard for impossibility,

and that the Court therefore should deny EPA’s requested extension. Among other things,

       4
                Intervenors’ response in support of EPA’s motion largely mirrors EPA’s briefing,
except that intervenors’ position goes beyond what EPA argues, contending that the Three Air
Rules are “fundamentally flawed . . . . hence re-proposals are in order.” Intervenors’ Response at
3. The Court’s focus, however, is on EPA’s view of its rules — not intervenors, who are free to
seek substantive review of the rules in the court of appeals. See 42 U.S.C. § 7607(b).

                                                15
plaintiff contends that EPA “adopted a rulemaking approach involving extensive discretionary

delay.” Opp. at 9. According to plaintiff, EPA’s decision to collect information in two separate

phases was a wholly discretionary decision that caused the information collection process to go

on for more than two years. Id. Moreover, plaintiff contends, EPA failed to ask OMB to

expedite its review of EPA’s information collection request pursuant to 44 U.S.C.

§ 3507(j)(1)(B)(iii), which is permitted when the normal review process “is reasonably likely to

cause a statutory or court-ordered deadline to be missed.” Opp. at 9; see 44 U.S.C.

§ 3507(j)(1)(B)(iii). Plaintiff then notes that EPA failed to provide any discussion of how it has

allocated its resources for purposes of attempting to comply with the Court’s Order: “Neither

EPA nor Mr. Tsirigotis indicates how many employees or contractors are working on the job and

whether more could be deployed.” Opp. at 11.

               Finally, plaintiff asserts that EPA’s central argument is one the Court clearly

rejected in Sierra Club v. Johnson: that additional time will result in more defensible rules. See

Opp. at 14 (citing Sierra Club v. Johnson, 44 F. Supp. 2d at 53, 57). Plaintiff points out that EPA

has merely suggested that “it might choose to make changes to the final rule that might not be

logical outgrowths from the proposal.” Id. EPA does not, however, “claim that it needs to make

such changes or will make them.” Id. And EPA has failed to consider Section 307(d)(7)(B) of

the Act, a provision that provides for administrative reconsideration of a rule without necessarily

postponing the effectiveness of that rule. Id. at 15; see 42 U.S.C. § 7607(d)(7)(B). Thus,

plaintiff contends, EPA’s concerns about the merits of its rules could be addressed under Section

307(d)(7)(B), obviating any purported need for re-proposal and further delay. See Opp. at 15.

                                                16
               The Court agrees with plaintiff. First, although much of the time-consuming

rulemaking process for the Three Air Rules may have been appropriate under normal

circumstances, the Court concludes that EPA engaged in discretionary delay in the face of a

congressional directive. As an example, it appears to the Court that the OMB review process

took between six and eight months. See Tsirigotis Decl. ¶¶ 16-21; Surreply at 5 n.3. EPA could

have requested expedited OMB authorization for its information collection request; such

expedited authorization is expressly permitted when “the use of normal clearance procedures is

. . . reasonably likely to cause a statutory or court ordered deadline to be missed.” 44 U.S.C.

§ 3507(j)(1)(B)(iii) (emphasis added). EPA asserts that, in the fall of 2007, at the time it was

preparing the information collection request, it “could not have reasonably anticipated how

prolonged the . . . process would become.” Reply at 17-18; see Tsirigotis Suppl Decl. ¶ 14. By

statute, however, EPA’s emission standards were already seven years overdue — and EPA’s

court-ordered deadline was soon approaching. Given these deadlines, it should have been clear

to EPA that proceeding through the normal OMB process was “reasonably likely to cause a

statutory or court ordered deadline to be missed.” See 44 U.S.C. § 3507(j)(1)(B)(iii).

               Defending its information collection process, EPA also contends that, “[g]iven the

public interest in the rules and the number and variety of facilities that would be regulated, it was

important to secure public input . . . to ensure that the necessary information would be obtained.”

Reply at 18. But like the four-phase regulatory process proposed and rejected at the summary

judgment stage, EPA’s determination was “indicative of ‘a level of thoroughness and scientific

certainty not within the contemplation of Congress at the time it mandated the regulation of

hazardous air pollutants.’” Sierra Club v. Johnson, 444 F. Supp. 2d at 56 (quoting Sierra Club v.

                                                 17
Gorsuch, 551 F. Supp. 785, 788-89 (N.D. Cal. 1982)). “Although in most circumstances the

Court defers to agency expertise about appropriate rulemaking procedures, such deference is

inappropriate where Congress has unambiguously expressed its intent that these regulations be

promulgated by a date certain and the agency manifestly has failed to fulfill this statutory

obligation.” Id.

               EPA’s past actions aside, what is most important is that EPA has failed to

establish that it would be impossible to promulgate substantively adequate rules by January 21,

2011. As stated in Sierra Club v. Johnson, “courts evaluating claims of impossibility when an

agency has failed to meet a mandatory deadline [established by Congress] generally have rejected

claims that additional time is needed to ensure substantively adequate regulations.” Sierra Club

v. Johnson, 444 F. Supp. 2d at 56 (citing Sierra Club v. Ruckelshaus, 602 F. Supp. 892, 899

(N.D. Cal. 1984); State v. Gorsuch, 554 F. Supp. at 1065). Although EPA urges the Court to

“carefully consider the time needed for EPA to ensure that standards are not seriously flawed

before final rules are issued,” Reply at 5, EPA itself has not actually asserted that its proposed

rules are flawed or inadequate. Instead, EPA has simply expressed the concern that there is a risk

these rules will be challenged. Mr. Tsirigotis states: “[T]here were a number of significant issues

raised in the comments that may result in certain changes to the proposed rules that, [EPA]

believe[s], could change the direction from the proposals sufficiently to make additional notice

and comment advisable.” Tsirigotis Decl. ¶ 34 (emphasis added); see also Tsirigotis Suppl.

Decl. ¶ 26 (The Office of Air and Radiation has “recommended changes” to the Administrator

“that could significantly change the direction of the proposals . . . .”). These concerns, expressed

                                                 18
in conditional language, do not cast doubt on the conclusion that EPA will be able to promulgate

substantively adequate rules by January 21, 2011.

               Finally, EPA suggests that because the rules at issue “affect almost 200,000

boilers and 176 CISWI units across the United States, and are complex and inter-related,” it is

appropriate to avoid any risk of error. Mot. at 20. “On balance, given the broad impact these

rules will have, EPA believes that the overall public interest is best served by allowing EPA to

re-propose the rules so that the Agency will be able to issue emission standards that are based

upon a thorough consideration of all available data and reduce potential litigation risks.” Id. at

14. EPA acknowledges that Section 307(d)(7)(B) “would provide an avenue for addressing some

of the complications that have developed as these rulemakings have proceeded,” but contends

that “[i]n these particular circumstances . . . reconsideration is not as effective as a re-proposal in

addressing the problems presented.” Reply at 11; see Mot. at 20 (Although Section 307(d)(7)(B)

“could provide a path for remedying some of the issues that are causing EPA to conclude that re-

proposal is advisable, . . . . EPA does not believe it is the appropriate path to pursue here.”).

               The policy arguments EPA raises have no place in a case where Congress has

mandated expedition, and its statutorily-mandated deadlines have long since passed.

Unfortunately for EPA, the impossibility test is not concerned with whether — as a matter of

policy — re-proposal will produce more effective rules and thus is preferable to reconsideration

under Section 307(d)(7)(B). “It is emphatically not within an agency’s authority to set regulatory

priorities that clearly conflict with those established by Congress.” Sierra Club v. Johnson, 444

F. Supp. 2d at 58. While EPA’s view on the importance of its rules and the preferable course of

conduct may have merit, at this stage EPA’s (and intervenors’) “remedy lies with Congress, not

                                                  19
the courts.” Id. at 57. “‘[T]he [C]ourt’s role is to enforce the legislative will when called upon to

do so.’” Id. at 54 (quoting State v. Gorsuch, 554 F. Supp. at 1062-63). Because EPA has not met

its heavy burden of demonstrating that it would be impossible to promulgate substantively

adequate regulations pursuant to paragraphs 1(i) and 3 of the Court’s March 31, 2006 Order by

January 21, 2011, the Court denies EPA’s request for an extension of time until April 13, 2012

so that EPA can re-propose the Three Air Rules.

         C. The Procedural Concern — Responding to “Significant” Public Comments

               Under Section 307(d)(6)(B) of the Act, a promulgated rule “shall . . . be

accompanied by a response to each of the significant comments, criticisms, and new data

submitted in written or oral presentations during the comment period.” 42 U.S.C.

§ 7607(d)(6)(B). EPA thus presents to the Court an alternative request: “[S]hould the Court deny

EPA time to re-propose” the emission standards for the Three Air Rules, “EPA requests that the

deadline for completing its obligations under [p]aragraph 3 [and paragraph 1(i)] be extended

until June 15, 2011, to allow the Agency time to fully respond to the 4,800 individual comments

received in response to the proposals . . . .” Mot. at 4. EPA also requests that the Court extend

the deadline for completing its obligations under paragraph 1(i) as to the SSI units rule to July

15, 2011, “so that EPA can fully respond” to the comments to that proposed rule. Id.

               As noted, EPA received over 4,800 individual comments concerning the proposed

Three Air Rules. EPA explains that it is “concerned that it may not be able to adequately”

respond to these comments by January 16, 2011 — now January 21, 2011. Mot. at 21. Mr.

Tsirigotis’ declaration is more definitive: “The Agency cannot currently respond in full to all of

                                                 20
the significant comments submitted on the major source, area source, and CISWI proposed rules

and prepare a final rule for the Administrator’s signature that is consistent with those comments

by January 16, 2011.” Tsirigotis Decl. ¶ 40; see Tsirigotis Suppl. Decl. ¶ 25. Mr. Tsirigotis

contends that an extension until June 15, 2011 will “enable the Agency to develop responses to

all significant comments received and to prepare fuller and more defensible response to those

comments, which would enhance the defensibility of the final standards.” Tsirigotis Decl. ¶ 40.

               With respect to the SSI unit rule, EPA received over eighty individual comments

in response. Mot. at 22. EPA explains that the comment period closed on November 29, 2010,

only forty-five days before the current deadline. Id. EPA expresses “serious concerns” whether

the agency could fully respond to these comments — all of which EPA in its motion papers

describes as “significant” — by January 21, 2011. See Mot. at 22. Again, Mr. Tsirigotis’

declaration is more definitive, though he expresses no such claim that all eighty comments are in

fact significant: “The Agency cannot . . . currently respond in full to all of the significant

comments submitted on the proposed sewage sludge incinerators by January 16, 2011.”

Tsirigotis Decl. ¶ 48; see Tsirigotis Suppl. Decl. ¶ 32. EPA contends that an extension until July

15, 2011 would “ensure that it has fully responded to all significant comments . . . thereby

improving the defensibility of the rule.” Mot. at 22; see Tsirigotis Decl. ¶ 49; Tsirigotis Suppl.

Decl. ¶ 34.

               Plaintiff responds that Mr. Tsirigotis’ declaration “provides only the unexplained

and unsupported assertion that the agency needs more time to complete its response to

comments.” Opp. at 10. Plaintiff contends that Mr. Tsirigotis “does not say how much of the

response to comments process is still unfinished and provides no reason to believe that process

                                                  21
cannot be completed by January 16.” Id. Plaintiff also points out that neither EPA nor Mr.

Tsirigotis addresses the question of resource allocation — there is no discussion of how many

employees or contractors are working on the responses or whether more could be deployed. Id.

at 11. Then, describing EPA’s responses with respect to other rules and findings, plaintiff asserts

that completing the comment process by the Court’s deadline is well within EPA’s capability.

Id. at 11-12.5 Finally, plaintiff asserts that EPA has provided no information as to why it would

take approximately five more months to respond to an undefined number of the 4,800 individual

comments on the Three Air Rules that EPA considers “significant,” and six more months to

respond to an undefined number of the eighty individual comments on the SSI unit rule that are

“significant.” Id. at 12-13. In sum, plaintiff contends that EPA has failed to demonstrate that it

is impossible for EPA to comply with the January 21, 2011 deadline.

               In Sierra Club v. Johnson, the Court stressed the importance of resource allocation

and rejected EPA’s argument that “‘other mandatory obligations’ preclude its compliance with

plaintiff’s proposed schedule.” Sierra Club v. Johnson, 444 F. Supp. 2d at 57. The Court stated

that “[t]he will of Congress, as expressed in the Act, is that the promulgation of standards

according to . . . mandatory deadlines should take precedence over all other rule-making that

       5
                For example, plaintiff notes that “EPA responded to more than 400,000 comments
including approximately 19,000 individual comments on its greenhouse gases tailoring rule in
four and one half months between the close of its comment period on December 28, 2009 and the
signature of its final rule on May 13, 2010.” Opp. at 12. “Similarly, EPA responded to more
than 380,000 comments including 11,000 individual comments on its greenhouse gases
endangerment finding in a period of five and one half months between the close of the comment
period on June 23, 2009 and promulgation on December 6, 2009.” Id.

                                                22
EPA has not been expressly ordered to complete by Congress, as well as (arguably) over

mandatory rulemaking for which the authorizing statute does not set a date certain.” Id. The

same analysis necessarily must also apply to the less substantive responsibility of the agency to

respond in writing to “significant comments.” Although “‘[a]n equity court can never exclude

claims of inability to render absolute performance,’” such claims must be supported with facts

and the Court “‘must scrutinize such claims carefully . . . .’” Id. at 53 (quoting NRDC v. Train,

510 F.2d at 713).

               Mr. Tsirigotis’ first declaration claims that EPA cannot respond in full to the

comments on the Three Air Rules and the SSI unit rule by January 21, 2011 without providing

any information concerning (1) what EPA has been doing since it received the comments;

(2) how much of the response process is still unfinished; (3) how EPA has chosen to allocate its

resources so as to attempt to comply with the court-ordered deadline; or (4) which of the 4,800

comments on the Three Air Rules or the eighty comments on the SSI unit rule genuinely are

“significant.” See Lead Indus. Ass’n v. EPA, 647 F.2d 1130, 1167 (D.C. Cir. 1980) (noting that

it “borders on the ludicrous” to suggest that all comments “rise to the level of a comment which

required a response from the Administrator”). Although EPA and Mr. Tsirigotis assert that EPA

has received over 4,800 individual comments in response to the Three Air Rules and over eighty

comments in response to the SSI unit rule, there is no discussion whatsoever of how many of

these comments EPA in fact considers “significant.” With respect to the 4,800 comments to the

Three Air Rules, the Court finds EPA’s lack of discussion on the matter especially telling, given

that EPA asserts that it has performed an “initial review of the significant comments.” See Mot.

at 2; see also Tsirigotis Decl. ¶ 34 (“The Agency has spent considerable time reviewing the over

                                                23
4,800 individual comments received . . . .”). By now, EPA surely must know how many are

“significant” if the agency has been working as diligently as it says it has been. With respect to

the eighty comments to the SSI unit rule, although EPA in its motion papers describes them all as

significant, tellingly Mr. Tsirigotis, on penalty of perjury, makes no such claim. Compare Mot.

at 2 (“EPA has serious concerns . . . as to whether it can fully respond to the over 80 significant

comments . . . .”), with Tsirigotis Decl. ¶ 48 (“[W]e have received over 80 individual comments

. . . . The Agency cannot, however, currently respond in full to all of the significant comments

submitted . . . .”).

                 Plaintiff pointed out some of these flaws in its opposition, and Mr. Tsirigotis then

submitted a supplemental declaration in reply. This supplemental declaration still lacks

specificity on the most crucial issues. Mr. Tsirigotis now states that, once the comment period

closed, EPA “immediately began reviewing the comments and other information, including the

data.” Tsirigotis Supp. Decl. ¶ 21. Mr. Tsirigotis provides more detail on the work left to be

done and asserts that EPA “has been fully embroiled in the working on the final standards at

issue in this matter since the close of the comment period.” Id. ¶¶ 24, 30-34. Both EPA and Mr.

Tsirigotis remain silent, however, on whether EPA is acting with “the fullest use of [its]

resources.” See NRDC v. Train, 510 F.2d at 712. And neither EPA nor Mr. Tsirigotis makes

any attempt to segregate for the Court the significant comments from the insignificant. Finally,

there is no discussion as to why EPA needs until June 15, 2011 to respond to the Three Air Rules

comments that are significant and until July 15, 2011 to respond to the significant SSI unit rule

comments.

                                                  24
               While there is no support for EPA’s requests for extensions until June 15, 2011

and July 15, 2011, respectively, the Court has no reason to doubt Mr. Tsirigotis’ unequivocal

statements that EPA “cannot currently respond in full to all of the significant comments” —

however many there may be — to the Three Air Rules and the SSI unit rule by January 21, 2011.

See Tsirigotis Decl. ¶¶ 40, 48. The Court therefore finds that there is no reasonable possibility

that EPA will be able to comply with its mandatory duty under Section 307(d)(6)(B) of the Act to

respond “to each of the significant comments, criticisms, and new data submitted in written or

oral presentations during the comment period” by January 21, 2011. 42 U.S.C. § 7607(d)(6)(B).

“Rather than order the defendant to do what is likely an impossibility,” Sierra Club v. Johnson,

444 F. Supp. 2d at 59, the Court therefore will extend slightly the deadline for EPA to respond to

the significant comments regarding the Three Air Rules and the SSI unit rule. EPA has not

justified its request for an extension until June 15 and July 15, 2011. Nor has EPA even

attempted to show that a more expeditious schedule would be impossible. Indeed, EPA’s own

papers make clear to the Court that its requested extensions would not reflect a schedule of

“utmost diligence.”6 Accordingly, the Court rejects EPA’s proposed schedule and prescribes a

more expeditious one. See Sierra Club v. Johnson, 444 F. Supp. 2d at 52-53. The January 21,

2011 deadlines in paragraphs 1(i) and 3 are extended to February 21, 2011.

       6
                 In fact, some of the work contemplated appears duplicative: although EPA asserts
that it has already performed an “initial review of the significant comments” to the Three Air
Rules, Mot. at 2, Mr. Tsirigotis indicates that EPA is apparently planning on reviewing again “all
of the 4,800 comments . . . to ensure that [EPA] ha[s] fully considered all of the issues,”
Tsirigotis Supp. Decl. ¶ 30(a).

                                                25
                                      CONCLUSION

             For the foregoing reasons, defendant EPA’s motion to amend the Court’s March

31, 2006 Order [Dkt. No. 136] is DENIED in part and GRANTED in part.

             An Order consistent with this Opinion shall issue this same day.

             SO ORDERED.

                                                   /s/
                                                  PAUL L. FRIEDMAN
DATE: January 20, 2011                            United States District Judge

                                             26