No. 99-1257
* Judge Williams wrote Parts I and III.B; Judge
Ginsburg wrote Parts II, III.A, and IV.D; Judge Tatel wrote Parts IV.A-C.
In the Supreme Court of the United States
CAROL M. BROWNER, ADMINISTRATOR OF THE ENVIRONMENTAL PROTECTION AGENCY,
ET AL., PETITIONERS
v.
AMERICAN TRUCKING ASSOCIATIONS, INC., ET AL.
ON PETITION FOR A WRIT OF CERTIORARI
TO THE UNITED STATES COURT OF APPEALS
FOR THE DISTRICT OF COLUMBIA CIRCUIT
APPENDIX TO THE
PETITION FOR A WRIT OF CERTIORARI
SETH P. WAXMAN
Solicitor General
Counsel of Record
LOIS J. SCHIFFER
Assistant Attorney General
LAWRENCE G. WALLACE
Deputy Solicitor General
JEFFREY P. MINEAR
Assistant to the Solicitor
General
DAVID J. KAPLAN
MARY F. EDGAR
Attorneys
Department of Justice
Washington, D.C. 20530-0001
(202) 514-2217
GARY S. GUZY
General Counsel
ROBERT G. DREHER
Deputy General Counsel
GERALD K. GLEASON
MICHAEL L. GOO
AMEY W. MARRELLA
JAN M. TIERNEY
KEVIN W. MCLEAN
Attorneys
Environmental Protection
Agency
Washington, D.C. 20460
TABLE OF CONTENTS
Appendix A (court of appeals' opinion, dated May 14, 1999)
Appendix B:
(court of appeals' opinion on rehearing, dated October 29, 1999)
(court of appeals' dissenting statements on rehearing en banc, dated October 29, 1999)
Appendix C (regulatory provisions, 40 C.F.R. 50.7)
Appendix D (regulatory provisions, 40 C.F.R. 50.10)
Appendix E (statutory provisions, 42 U.S.C. 7407, 7408, 7409, 7502, 7511, 7607)
APPENDIX A
UNITED STATES COURT OF APPEALS
FOR THE DISTRICT OF COLUMBIA CIRCUIT
No. 97-1440
AMERICAN TRUCKING ASSOCIATIONS, INC., ET AL., PETITIONERS
v.
UNITED STATES ENVIRONMENTAL PROTECTION AGENCY, RESPONDENT
COMMONWEALTH OF MASSACHUSETTS, ET AL., INTERVENORS
Consolidated with
Nos. 97-1546, 97-1548, 97-1551, 97-1552, 97-1553,
97-1555, 97-1559, 97-1561, 97-1562, 97-1565, 97-1567,
97-1571, 97-1573, 97-1574, 97-1576, 97-1578, 97-1579,
97-1582, 97-1585, 97-1586, 97-1587, 97-1588, 97-1592,
97-1594, 97-1596, 97-1597, 97-1598
97-1441
AMERICAN TRUCKING ASSOCIATIONS, INC., ET AL., PETITIONERS
v.
UNITED STATES ENVIRONMENTAL PROTECTION AGENCY, RESPONDENT
COMMONWEALTH OF MASSACHUSETTS, ET AL., INTERVENORS
Consolidated with
Nos. 97-1502, 97-1505, 97-1508, 97-1509, 97-1510,
97-1512, 97-1513, 97-1514, 97-1518, 97-1519, 97-1526,
97-1531, 97-1539, 97-1566, 97-1568, 97-1570, 97-1572,
97-1575, 97-1584, 97-1589, 97-1591, 97-1595, 97-1619
[Decided May 14, 1999]
[Argued December 17, 1998]
On Petitions for Review of an Order of the
Environmental Protection Agency
BEFORE: WILLIAMS, GINSBURG and TATEL, Circuit Judges.
Opinion for the Court filed PER CURIAM.*
Separate opinion dissenting from Part I filed by Circuit Judge Tatel.
PER CURIAM:
Introduction
The Clean Air Act requires EPA to promulgate and periodically revise national
ambient air quality standards ("NAAQS") for each air pollutant
identified by the agency as meeting certain statutory criteria. See Clean
Air Act §§ 108-09, 42 U.S.C. §§ 7408-09. For each pollutant,
EPA sets a "primary standard"-a concentration level "requisite
to protect the public health" with an "adequate margin of safety"-and
a "secondary standard"-a level "requisite to protect the
public welfare." Id. § 7409(b).
In July 1997 EPA issued final rules revising the primary and secondary NAAQS
for particulate matter ("PM") and ozone. See National Ambient
Air Quality Standards for Particulate Matter, 62 Fed. Reg. 38,652 (1997)
("PM Final Rule"); National Ambient Air Quality Standards for
Ozone, 62 Fed. Reg. 38,856 (1997) ("Ozone Final Rule"). Numerous
petitions for review have been filed for each rule.
In Part I we find that the construction of the Clean Air Act on which EPA
relied in promulgating the NAAQS at issue here effects an unconstitutional
delegation of legislative power. See U.S. Const. art. I, § 1 ("All
legislative powers herein granted shall be vested in a Congress of the United
States."). We remand the cases for EPA to develop a construction of
the act that satisfies this constitutional requirement.
In Part II we reject the following claims: that § 109(d) of the Act
allows EPA to consider costs; that EPA should have considered the environmental
damage likely to result from the NAAQS' financial impact on the Abandoned
Mine Reclamation Fund; that the NAAQS revisions violated the National Environmental
Policy Act ("NEPA"), Unfunded Mandates Reform Act ("UMRA"),
and Regulatory Flexibility Act ("RFA").
In Part III we decide two ozone-specific statutory issues, holding that
the 1990 revisions to the Clean Air Act limit EPA's ability to enforce new
ozone NAAQS and that EPA cannot ignore the possible health benefits of ozone.
Finally, in Part IV we resolve various challenges to the PM NAAQS. We agree
with petitioners that EPA's choice of PM10 as the indicator for coarse particulate
matter was arbitrary and capricious; we reject petitioners' claims that
EPA must treat PM2.5 as a "new pollutant," that EPA must identify
a biological mechanism explaining PM's harmful effects, and that the Clean
Air Act requires secondary NAAQS to be set at levels that eliminate all
adverse visibility effects.
The remaining issues cannot be resolved until such time as EPA may develop
a constitutional construction of the act (and, if appropriate, modify the
disputed NAAQS in accordance with that construction).
I. Delegation
Certain "Small Business Petitioners" argue in each case that EPA
has construed §§ 108 & 109 of the Clean Air Act so loosely
as to render them unconstitutional delegations of legislative power. We
agree. Although the factors EPA uses in determining the degree of public
health concern associated with different levels of ozone and PM are reasonable,
EPA appears to have articulated no "intelligible principle" to
channel its application of these factors; nor is one apparent from the statute.
The nondelegation doctrine requires such a principle. See J.W. Hampton,
Jr. & Co. v. United States, 276 U.S. 394, 409 (1928). Here it is as
though Congress commanded EPA to select "big guys," and EPA announced
that it would evaluate candidates based on height and weight, but revealed
no cut-off point. The announcement, though sensible in what it does say,
is fatally incomplete. The reasonable person responds, "How tall? How
heavy?"
EPA regards ozone definitely, and PM likely, as non- threshold pollutants,
i.e., ones that have some possibility of some adverse health impact (however
slight) at any exposure level above zero. See Ozone Final Rule, 62 Fed.
Reg. at 38,863/3 ("Nor does it seem possible, in the Administrator's
judgment, to identify [an ozone concentration] level at which it can be
concluded with confidence that no 'adverse' effects are likely to occur.");
National Ambient Air Quality Standards for Ozone and Particulate Matter,
61 Fed. Reg. 65,637, 65,651/3 (1996) (proposed rule) ("[T]he single
most important factor influencing the uncertainty associated with the risk
estimates is whether or not a threshold concentration exists below which
PM-associated health risks are not likely to occur."). For convenience,
we refer to both as non-threshold pollutants; the indeterminacy of PM's
status does not affect EPA's analysis, or ours.
Thus the only concentration for ozone and PM that is utterly risk-free,
in the sense of direct health impacts, is zero. Section 109(b)(1) says that
EPA must set each standard at the level "requisite to protect the public
health" with an "adequate margin of safety." 42 U.S.C. §
7409(b)(1). These are also the criteria by which EPA must determine whether
a revision to existing NAAQS is appropriate. See 42 U.S.C. § 7409(d)(1)
(EPA shall "promulgate such new standards as may be appropriate in
accordance with . . . [§ 7409(b)]"); see also infra Part II.A.
For EPA to pick any non-zero level it must explain the degree of imperfection
permitted. The factors that EPA has elected to examine for this purpose
in themselves pose no inherent nondelegation problem. But what EPA lacks
is any determinate criterion for drawing lines. It has failed to state intelligibly
how much is too much.
We begin with the criteria EPA has announced for assessing health effects
in setting the NAAQS for non-threshold pollutants.1 They are "the nature
and severity of the health effects involved, the size of the sensitive population(s)
at risk, the types of health information available, and the kind and degree
of uncertainties that must be addressed." Ozone Final Rule, 62 Fed.
Reg. at 38,883/2; EPA, "Review of the National Ambient Air Quality
Standards for Particulate Matter: Policy Assessment of Scientific and Technical
Information: OAQPS Staff Paper," at II-2 (July 1996) ("PM Staff
Paper") (listing same factors). Although these criteria, so stated,
are a bit vague, they do focus the inquiry on pollution's effects on public
health. And most of the vagueness in the abstract formulation melts away
as EPA applies the criteria: EPA basically considers severity of effect,
certainty of effect, and size of population affected. These criteria, long
ago approved by the judiciary, see Lead Industries Ass'n v. EPA, 647 F.2d
1130, 1161 (D.C. Cir. 1980) ("Lead Industries"), do not themselves
speak to the issue of degree.
Read in light of these factors, EPA's explanations for its decisions amount
to assertions that a less stringent standard would allow the relevant pollutant
to inflict a greater quantum of harm on public health, and that a more stringent
standard would result in less harm. Such arguments only support the intuitive
proposition that more pollution will not benefit public health, not that
keeping pollution at or below any particular level is "requisite"
or not requisite to "protect the public health" with an "adequate
margin of safety," the formula set out by § 109(b)(1).
Consider EPA's defense of the 0.08 ppm level of the ozone NAAQS. EPA explains
that its choice is superior to retaining the existing level, 0.09 ppm, because
more people are exposed to more serious effects at 0.09 than at 0.08. See
Ozone Final Rule, 62 Fed. Reg. at 38,868/1. In defending the decision not
to go down to 0.07, EPA never contradicts the intuitive proposition, confirmed
by data in its Staff Paper, that reducing the standard to that level would
bring about comparable changes. See EPA, "Review of National Ambient
Air Quality Standards for Ozone: Assessment of Scientific and Technical
Information: OAQPS Staff Paper," at 156 (June 1996) ("Ozone Staff
Paper"). Instead, it gives three other reasons. The principal substantive
one is based on the criteria just discussed:
The most certain O3-related effects, while judged to be adverse, are transient
and reversible (particularly at O3 exposures below 0.08 ppm), and the more
serious effects with greater immediate and potential long-term impacts on
health are less certain, both as to the percentage of individuals exposed
to various concentrations who are likely to experience such effects and
as to the long-term medical significance of these effects.
Ozone Final Rule, 62 Fed. Reg. at 38,868/2.
In other words, effects are less certain and less severe at lower levels
of exposure. This seems to be nothing more than a statement that lower exposure
levels are associated with lower risk to public health. The dissent argues
that in setting the standard at 0.08, EPA relied on evidence that health
effects occurring below that level are "transient and reversible,"
Dissent at 5, evidently assuming that those at higher levels are not. But
the EPA language quoted above does not make the categorical distinction
the dissent says it does, and it is far from apparent that any health effects
existing above the level are permanent or irreversible.
In addition to the assertion quoted above, EPA cited the consensus of the
Clean Air Scientific Advisory Committee ("CASAC") that the standard
should not be set below 0.08. That body gave no specific reasons for its
recommendations, so the appeal to its authority, also made in defense of
other standards in the PM Final Rule, see PM Final Rule, 62 Fed. Reg. at
38,677/2 (daily fine PM standard); id. at 38,678/3 (annual coarse PM standard);
id. at 38,679/1 (daily coarse PM standard), adds no enlightenment. The dissent
stresses the undisputed eminence of CASAC's members, Dissent at 4, but the
question whether EPA acted pursuant to lawfully delegated authority is not
a scientific one. Nothing in what CASAC says helps us discern an intelligible
principle derived by EPA from the Clean Air Act.
Finally, EPA argued that a 0.07 standard would be "closer to peak background
levels that infrequently occur in some areas due to nonanthropogenic sources
of O3 precursors, and thus more likely to be inappropriately targeted in
some areas on such sources." Ozone Final Rule, 62 Fed. Reg. at 38,868/3.
But a 0.08 level, of course, is also closer to these peak levels than 0.09.
The dissent notes that a single background observation fell between 0.07
and 0.08, and says that EPA's decision "ensured that if a region surpasses
the ozone standard, it will do so because of controllable human activity,
not uncontrollable natural levels of ozone." Dissent at 6. EPA's language,
coupled with the data on background ozone levels, may add up to a backhanded
way of saying that, given the national character of the NAAQS, it is inappropriate
to set a standard below a level that can be achieved throughout the country
without action affirmatively extracting chemicals from nature. That may
well be a sound reading of the statute, but EPA has not explicitly adopted
it.
EPA frequently defends a decision not to set a standard at a lower level
on the basis that there is greater uncertainty that health effects exist
at lower levels than the level of the standard. See Ozone Final Rule, 62
Fed. Reg. at 38,868/2; PM Final Rule, 62 Fed. Reg. at 38,676/3 (annual fine
PM standard); id. at 38,677/2 (daily fine PM standard). And such an argument
is likely implicit in its defense of the coarse PM standards. See PM Final
Rule, 62 Fed. Reg. at 38,678/3-79/1. The dissent's defense of the fine particulate
matter standard cites exactly such a justification. See Dissent at 6 ("The
Agency explained that 'there is generally greatest statistical confidence
in observed associations . . . for levels at and above the mean concentration
[in certain studies]'") (emphasis added in dissent). But the increasing-uncertainty
argument is helpful only if some principle reveals how much uncertainty
is too much. None does.
The arguments EPA offers here show only that EPA is applying the stated
factors and that larger public health harms (including increased probability
of such harms) are, as expected, associated with higher pollutant concentrations.
The principle EPA invokes for each increment in stringency (such as for
adopting the annual coarse particulate matter standard that it chose here)-that
it is "possible, but not certain" that health effects exist at
that level, see PM Final Rule, 62 Fed. Reg. at 38,678/32-could as easily,
for any non-threshold pollutant, justify a standard of zero. The same indeterminacy
prevails in EPA's decisions not to pick a still more stringent level. For
example, EPA's reasons for not lowering the ozone standard from 0.08 to
0.07 ppm-that "the more serious effects . . . are less certain"
at the lower levels and that the lower levels are "closer to peak background
levels," see Ozone Final Rule, 62 Fed. Reg. at 38,868/2-could also
be employed to justify a refusal to reduce levels below those associated
with London's "Killer Fog" of 1952. In that calamity, very high
PM levels (up to 2,500 µg/m3) are believed to have led to 4,000 excess
deaths in a week.3 Thus, the agency rightly recognizes that the question
is one of degree, but offers no intelligible principle by which to identify
a stopping point.
The latitude EPA claims here seems even broader than that OSHA asserted
in International Union, UAW v. OSHA ("Lockout/Tagout I"), 938
F.2d 1310, 1317 (D.C. Cir. 1991), which was to set a standard that would
reduce a substantial risk and that was not infeasible. In that case, OSHA
thought itself free either to "do nothing at all" or to "require
precautions that take the industry to the brink of ruin," with "all
positions in between . . . evidently equally valid." Id. Here, EPA's
freedom of movement between the poles is equally unconstrained, but the
poles are even farther apart-the maximum stringency would send industry
not just to the brink of ruin but hurtling over it, while the minimum stringency
may be close to doing nothing at all.
In Lockout/Tagout I certain special conditions that have justified an exceptionally
relaxed application of the nondelegation doctrine were absent, id. at 1317-18,
and they are equally absent here. The standards in question affect the whole
economy, requiring a "more precise" delegation than would otherwise
be the case, see A.L.A. Schechter Poultry Corp. v. United States, 295 U.S.
495, 553 (1935). No "special theories" justifying vague delegation
such as the war powers of the President or the sovereign attributes of the
delegatee have been or could be asserted. Nor is there some inherent characteristic
of the field that bars development of a far more determinate basis for decision.
(This is not to deny that there are difficulties; we consider some below.)
EPA cites prior decisions of this Court holding that when there is uncertainty
about the health effects of concentrations of a particular pollutant within
a particular range, EPA may use its discretion to make the "policy
judgment" to set the standards at one point within the relevant range
rather than another. NRDC v. EPA, 902 F.2d 962, 969 (D.C. Cir. 1990); American
Petroleum Inst. v. Costle, 665 F.2d 1176, 1185 (D.C. Cir. 1981); Lead Industries,
647 F.2d at 1161 (D.C. Cir. 1980). We agree. But none of those panels addressed
the claim of undue delegation that we face here, and accordingly had no
occasion to ask EPA for coherence (for a "principle," to use the
classic term) in making its "policy judgment." The latter phrase
is not, after all, a self-sufficient justification for every refusal to
define limits.
It was suggested at oral argument that EPA's vision of its discretion in
application of § 109(b)(1) is no broader than that asserted by OSHA
after a remand by this court and upheld by this court in International Union,
UAW v. OSHA ("Lock-out/Tagout II"), 37 F.3d 665 (D.C. Cir. 1994).
But there, in fact, OSHA allowed itself to set only standards falling somewhere
between maximum feasible stringency and some "moderate" departure
from that level. Id. at 669. As our prior discussion should have indicated,
here EPA's formulation of its policy judgment leaves it free to pick any
point between zero and a hair below the concentrations yielding London's
Killer Fog.
The dissent argues that a nondelegation challenge similar to this one was
rejected in South Terminal Corp. v. EPA, 504 F.2d 646 (1st Cir. 1974), and
cites that case's language that "the rationality of the means can be
tested against goals capable of fairly precise definition in the language
of science," id. at 677. See Dissent at 2. But the action challenged
in South Terminal was EPA's adoption of a plan for ending or preventing
violations in Boston of already-established NAAQS, not its promulgation
of the NAAQS themselves. Thus, it seems likely that the "means"
were the plan's provisions-e.g., a prohibition on most new parking in the
city, see 504 F.2d at 671, and the "fairly precise[ly] defin[ed]"
goals were the NAAQS themselves.
Where (as here) statutory language and an existing agency interpretation
involve an unconstitutional delegation of power, but an interpretation without
the constitutional weakness is or may be available, our response is not
to strike down the statute but to give the agency an opportunity to extract
a determinate standard on its own. Lockout/Tagout I, 938 F.2d at 1313. Doing
so serves at least two of three basic rationales for the nondelegation doctrine.
If the agency develops determinate, binding standards for itself, it is
less likely to exercise the delegated authority arbitrarily. See Amalgamated
Meat Cutters v. Connally, 337 F. Supp. 737, 758-59 (D.D.C. 1971) (Leventhal,
J., for three-judge panel). And such standards enhance the likelihood that
meaningful judicial review will prove feasible. See id. at 759. A remand
of this sort of course does not serve the third key function of non-delegation
doctrine, to "ensure[ ] to the extent consistent with orderly governmental
administration that important choices of social policy are made by Congress,
the branch of our Government most responsive to the popular will,"
Industrial Union Dep't, AFL-CIO v. American Petroleum Inst., 448 U.S. 607,
685 (1980) ("Benzene") (Rehnquist, J., concurring). The agency
will make the fundamental policy choices. But the remand does ensure that
the courts not hold unconstitutional a statute that an agency, with the
application of its special expertise, could salvage. In any event, we do
not read current Supreme Court cases as applying the strong form of the
nondelegation doctrine voiced in Justice Rehnquist's concurrence. See Mistretta
v. United States, 488 U.S. 361, 377-79 (1989).
What sorts of "intelligible principles" might EPA adopt? Cost-benefit
analysis, mentioned as a possibility in Lock-out/Tagout I, 938 F.2d at 1319-21,
is not available under decisions of this court. Our cases read § 109(b)(1)
as barring EPA from considering any factor other than "health effects
relating to pollutants in the air." NRDC, 902 F.2d at 973; see also
Lead Industries, 647 F.2d at 1148; American Lung Ass'n v. EPA, 134 F.3d
388, 389 (D.C. Cir. 1998); American Petroleum Inst., 665 F.2d at 1185 (echoing
the same themes).
In theory, EPA could make its criterion the eradication of any hint of direct
health risk. This approach is certainly determinate enough, but it appears
that it would require the agency to set the permissible levels of both pollutants
here at zero. No party here appears to advocate this solution, and EPA appears
to show no inclination to adopt it.4
EPA's past behavior suggests some readiness to adopt standards that leave
non-zero residual risk. For example, it has employed commonly used clinical
criteria to determine what qualifies as an adverse health effect. See Ozone
Staff Paper at 59-60 (using American Thoracic Society standards to determine
threshold for "adverse health effect" from ozone). On the issue
of likelihood, for some purposes it might be appropriate to use standards
drawn from other areas of the law, such as the familiar "more probable
than not" criterion.
Of course a one-size-fits-all criterion of probability would make little
sense. There is no reason why the same probability should govern assessments
of a risk of thousands of deaths as against risks of a handful of people
suffering momentary shortness of breath. More generally, all the relevant
variables seem to range continuously from high to low: the possible effects
of pollutants vary from death to trivialities, and the size of the affected
population, the probability of an effect, and the associated uncertainty
range from "large" numbers of persons with point estimates of
high probability, to small numbers and vague ranges of probability. This
does not seem insurmountable. Everyday life compels us all to make decisions
balancing remote but severe harms against a probability distribution of
benefits; people decide whether to proceed with an operation that carries
a 1/1000 possibility of death, and (simplifying) a 90% chance of cure and
a 10% chance of no effect, and a certainty of some short-term pain and nuisance.
To be sure, all that requires is a go/no-go decision, while a serious effort
at coherence under § 109(b)(1) would need to be more comprehensive.
For example, a range of ailments short of death might need to be assigned
weights. Nonetheless, an agency wielding the power over American life possessed
by EPA should be capable of developing the rough equivalent of a generic
unit of harm that takes into account population affected, severity and probability.
Possible building blocks for such a principled structure might be found
in the approach Oregon used in devising its health plan for the poor. In
determining what conditions would be eligible for treatment under its version
of Medicaid, Oregon ranked treatments by the amount of improvement in "Quality-Adjusted
Life Years" provided by each treatment, divided by the cost of the
treatment.5 Here, of course, EPA may not consider cost, and indeed may well
find a completely different method for securing reasonable coherence. Alternatively,
if EPA concludes that there is no principle available, it can so report
to the Congress, along with such rationales as it has for the levels it
chose, and seek legislation ratifying its choice.
We have discussed only the primary standards. Because the secondary standards
are at least in part based on those, see Ozone Final Rule, 62 Fed. Reg.
at 38,875/3-76/1; PM Final Rule, 62 Fed. Reg. at 38,680/3, we also remand
the cases to the agency with regard to the secondary standards as well,
for further consideration in light of this opinion.
II. Other General Claims
The petitioners and amici contend that the EPA erroneously failed to consider
a host of factors in revising the PM and ozone NAAQS. We reject each of
these claims in turn.
A. Consideration of Cost in Revising Standards
As this court long ago made clear, in setting NAAQS under § 109(b)
of the Clean Air Act, the EPA is not permitted to consider the cost of implementing
those standards. See Lead Industries, 647 F.2d at 1148 (D.C. Cir. 1980);
see also NRDC, 902 F.2d at 973 (following Lead Industries in reviewing particulate
matter NAAQS); American Petroleum Inst., 665 F.2d at 1185 (same, in reviewing
ozone NAAQS). The petitioners make four unsuccessful attempts to distinguish
Lead Industries and its progeny.
First, the petitioners claim that in Lead Industries we held only that the
Clean Air Act does not compel the EPA to consider the costs of implementation
in setting a NAAQS; on the contrary, we held that the Act precludes the
EPA from doing so. See Lead Industries, 647 F.2d at 1148 ("the statute
and its legislative history make clear that economic considerations play
no part in the promulgation of [NAAQS]").
Second, that we decided Lead Industries prior to the Supreme Court's decision
in Chevron U.S.A. Inc. v. NRDC, 467 U.S. 837 (1984) does not, as the petitioners
suggest, require us to revisit the earlier case. The Lead Industries decision
was made in Chevron step one terms, see id., as the post-Chevron progeny
of Lead Industries have made clear. See NRDC, 902 F.2d at 973 ("Consideration
of costs . . . would be flatly inconsistent with the statute, legislative
history and case law on this point"); NRDC v. EPA, 824 F.2d 1146, 1158-59
(D.C. Cir. 1987) (in banc) ("Vinyl Chloride") ("[S]tatute
on its face does not allow consideration of technological or economic feasibility.
. . . Congress considered the alternatives and chose to close down sources
or even industries rather than to allow risks to health").
Third, though the petitioners are correct that in Lead Industries we interpreted
§ 109(b), which governs the setting of NAAQS, and not § 109(d),
which governs the revising of NAAQS, we can discern no legally relevant
difference in the two sections that would make Lead Industries inapplicable
to § 109(d). Section 109(d)(1) directs the EPA to:
complete a thorough review of the criteria published under section 7408
of this title and the [NAAQS] promulgated under this section and [to] make
such revisions in such criteria and standards and promulgate such new standards
as may be appropriate in accordance with section 7408 of this title and
subsection (b) of this section.
42 U.S.C. § 7409(d)(1). The petitioners contend that consideration
of costs is one pertinent factor in determining whether revision of a NAAQS
is "appropriate," but this argument ignores the clause immediately
following "appropriate," which incorporates § 109(b) and
thereby affirmatively precludes consideration of costs in revising NAAQS.
Section 108(b), 42 U.S.C. § 7408(b), does require the EPA to provide
the States with information on the cost of implementing NAAQS, but the reference
to § 108 does not permit consideration of costs in setting NAAQS because
it clearly relates back to the requirement that the EPA "make . . .
revisions in ["the criteria published under section 7408"] . .
. as may be appropriate." And insofar as the air quality criteria do
apply to the setting of NAAQS, they do so through § 109(b), which (again)
precludes the consideration of costs and which is explicitly incorporated
into § 109(d)(1). See id. § 7409(b)(1) (primary NAAQS to be "based
on [the air quality] criteria" issued under § 108).
Fourth, the petitioners point to § 109(d)(2), which creates the CASAC
and requires it to advise the EPA about, among other things, "any adverse
public health, welfare, social, economic, or energy effects which may result
from various strategies for attainment and maintenance of such [NAAQS]."
Id. § 7409(d)(2)(C)(iv). Why, ask the petitioners, would the CASAC
be required to advise the EPA about these matters if the EPA were not then
supposed to consider its advice in the course of revising the NAAQS? As
above, however, the petitioners overlook that § 109(d)(1) directs the
EPA to review and to revise, as appropriate, the air quality standards issued
under § 108 as well as the NAAQS promulgated under § 109(b). The
advice required in § 109(d)(2)(C)(iv) is pertinent only to the EPA's
duty under § 108 to provide the States with control strategy information.
B. Environmental Consequences of Implementing NAAQS
The State Petitioners argue that the EPA erred in failing "to consider
the environmental consequences resulting from the financial impact of the
[revised PM2.5 and ozone NAAQS] on the federal Abandoned Mine Reclamation
Fund Act." This argument is squarely foreclosed by our decision in
NRDC. In reviewing the EPA's previous revision of the PM NAAQS, we rejected
the argument that the EPA "erred in refusing to consider the health
consequences of unemployment in determining the primary [NAAQS] for particulate
matter" and held that "[i]t is only health effects relating to
pollutants in the air that EPA may consider." 902 F.2d at 972-73 (emphasis
in original). Unlike the positive health benefits of ozone that we hold
(in Part III.B, below) the EPA must consider, any detrimental health effects
resulting from the financial impact upon the mine fund, like the health
consequences of unemployment, are traceable to the cost of complying with
the revised PM2.5 and ozone NAAQS and not to the presence of those pollutants
in the air.
C. The National Environmental Policy Act
In challenging both the revised PM2.5 and ozone NAAQS, the State Petitioners
also argue that the EPA failed to comply with certain requirements of the
NEPA. The petitioners recognize that the Congress has exempted all actions
under the Clean Air Act, including the setting of NAAQS, from the central
requirement of the NEPA, namely, the preparation of an Environmental Impact
Statement. Compare 42 U.S.C. § 4332(2)(C)-(D) (agency must prepare
EIS in all "major Federal actions significantly affecting the quality
of the human environment"), with 15 U.S.C. § 793(c)(1) ("No
action taken under the Clean Air Act shall be deemed a major Federal action
significantly affecting the quality of the human environment within the
meaning of the [NEPA]"). Nonetheless, they suggest that the EPA is
required to complete the functional equivalent of an EIS and also to comply
with other requirements in the NEPA, see 42 U.S.C. § 4332(2)(B), (E),
(G). State Petitioners' PM Brief at 20; State Petitioners' Ozone Brief at
19. We reject each of these suggestions.
First, the State Petitioners contend that this court has "recognized
that the '[CAA], properly construed, requires the functional equivalent
of a NEPA impact statement,'" id. (quoting Portland Cement Ass'n v.
Ruckelshaus, 486 F.2d 375, 384 (1973)). Our decision in Portland Cement,
however, actually construed only "section 111 of the Clean Air Act."
By replacing these words with "[CAA]" in their briefs, the petitioners
misrepresent our interpretation of a single section of the Clean Air Act,
dealing with emission standards for stationary sources, as an interpretation
of the entire Act. Even if the petitioners were correct, however, Portland
Cement predated, and is now superseded by, the statutory exemption in 15
U.S.C. § 793(c)(1), which the Congress added in 1974.
Second, the State Petitioners contend that a provision of the NEPA "requires
that EPA weigh 'economic considerations.'" The section to which the
petitioners refer reads as follows: "all agencies of the Federal Government
shall . . . identify and develop methods and procedures . . . which will
insure that presently unquantified environmental amenities and values may
be given appropriate consideration in decisionmaking along with economic
and technical considerations." 42 U.S.C. § 4332(2)(B). Even if
this section is properly read generally to require an agency to consider
implementation costs, § 109(d)(1) specifically prohibits the EPA from
doing so. And the NEPA provides that it shall not "in any way affect
the specific statutory obligations of any Federal agency . . . to comply
with criteria or standards of environmental quality." 42 U.S.C. §
4334(1). Therefore, § 4332(2)(B) cannot require the EPA to disregard
the prohibition in § 109(d)(1) upon the consideration of costs in setting
NAAQS.
The State Petitioners' remaining arguments-that the EPA failed to comply
with two other sections of the NEPA-fare little better. Section 4332(2)(E)
requires federal agencies to "study, develop, and describe appropriate
alternatives to recommended courses of action in any proposal which involves
unresolved conflicts concerning alternative uses of available resources."
As with § 4332(2)(B), insofar as § 4332(2)(E) can be read to require
the EPA to consider the costs of implementing NAAQS when revising those
standards, contrary to the prohibition in § 109(d)(1), § 4334(1)
prevents it from having any effect.
If, on the other hand, § 4332(2)(E) is understood in the context of
the Clean Air Act to require the EPA merely to discuss implementation alternatives,
then it, like the similar § 4332(2)(G) with which the petitioners also
claim the EPA failed to comply, is the functional equivalent of § 108(b)(1).
That section requires the EPA to provide the States with, among other things,
"such data as are available on available technology and alternative
methods of prevention and control of air pollution." As we recognize
with regard to the requirement that the agency prepare an EIS, "[c]ompliance
with NEPA's . . . requirement[s] has not been considered necessary when
the agency's organic legislation mandates procedures for considering the
environment that are 'functional equivalents' of the [NEPA's] process."
Izaak Walton League of Am. v. Marsh, 655 F.2d 346, 367 n.51 (1981). The
rationale for the functional equivalence doctrine is the well-established
principle that a "general statutory rule usually does not govern unless
there is no more specific rule." Green v. Bock Laundry Mach. Co., 490
U.S. 504, 524 (1989); see also Alabama ex rel. Siegelman v. EPA, 911 F.2d
499, 504-05 (11th Cir. 1990) (citing cases). The NEPA is the general statute
requiring agencies to consider environmental harms, whereas the Clean Air
Act is the more specific and its equivalent provisions apply in place of
those in the NEPA. See Portland Cement, 486 F.2d at 386 (finding functional
equivalence when more specific statute strikes "workable balance between
some of the advantages and disadvantages of full application of NEPA").
Our analysis of the petitioners' contentions leads us to conclude that nothing
in the NEPA requires the EPA in setting NAAQS to consider or to discuss
matters that the Clean Air Act does not already permit or require.
D. The Unfunded Mandates Reform Act
The State Petitioners in the particulate matter case and Congressman Bliley
in the ozone case both contend that the EPA is required by the Unfunded
Mandates Reform Act, 2 U.S.C. § 1501 et seq., to prepare a Regulatory
Impact Statement (RIS) when setting a NAAQS, see id. § 1532, and to
choose the least burdensome from a range of alternative permissible NAAQS,
see id. § 1535. Even if the petitioners and the amicus are correct
regarding the interaction of the UMRA and the CAA-a point the EPA strongly
contests-we can provide them with no relief. See id. § 1571(a)(3) ("[T]he
inadequacy or failure to prepare [a RIS] . . . shall not be used as a basis
for staying, enjoining, invalidating or otherwise affecting [an] agency
rule"); id. § 1571(b) ("Except as provided in [§ 1571(a),
which does not mention § 1535,] . . . any compliance or noncompliance
with the provisions of this chapter . . . shall not be subject to judicial
review; and no provision of this chapter shall be construed to [be] . .
. enforceable by any person in any . . . judicial action").
The State Petitioners, recognizing the limitations upon judicial review
in § 1571, contend that the EPA's failure to prepare a RIS can nonetheless
render the NAAQS arbitrary and capricious, see 42 U.S.C. § 7607(d)(9),
relying upon Thompson v. Clark, 741 F.2d 401 (D.C. Cir. 1984). In that case,
we interpreted a statute that, like the UMRA, both specified that the RIS
be included in the record for judicial review and precluded judicial review
of an agency's compliance with the RIS requirement. We held that a "reviewing
court will consider the contents of the [RIS], along with the rest of the
record, in assessing not the agency's compliance with the [requirement to
prepare the RIS], but the validity of the rule under other provisions of
law." Id. at 405. No information in a RIS, however, could lead us to
conclude that the EPA improperly set the PM and ozone NAAQS; the only information
such a statement would add to the rulemaking record for a NAAQS would pertain
to the costs of implementation, see 2 U.S.C. § 1532(a), and the EPA
is precluded from considering those costs in setting a NAAQS. Accordingly,
the failure to prepare a RIS does not render the NAAQS arbitrary and capricious.
E. The Regulatory Flexibility Act
In both the ozone and particulate matter cases, the Small Business Petitioners
argue that the EPA improperly certified that the revised NAAQS would not
have a significant impact upon a substantial number of small entities. The
Regulatory Flexibility Act, 5 U.S.C. 601 et seq., as amended in 1996 by
the Small Business Regulatory Enforcement Fairness Act, Pub. L. No. 104-121,
tit. II, 110 Stat. 857-74 ("SBREFA"), requires an agency, when
engaging in notice and comment rulemaking, to "prepare and make available
for public comment an initial regulatory flexibility analysis. . . . [that]
describe[s] the impact of the proposed rule on small entities," 5 U.S.C.
§ 603(a), including small businesses, small organizations, and small
governmental jurisdictions, see id. § 601(6). When promulgating a final
rule, an agency must describe "the steps . . . taken to minimize the
significant economic impact on small entities." Id. § 604(a)(5).
According to the petitioners, if the EPA had complied with the RFA, it would
likely have promulgated less stringent PM and ozone NAAQS than those actually
chosen, which would have reduced the burden upon small entities.
A regulatory flexibility analysis is not required, however, if the agency
"certifies that the rule will not, if promulgated, have a significant
economic impact on a substantial number of small entities." Id. §
605(b). Further, the SBREFA made no change in the requirement that a regulatory
flexibility analysis conducted pursuant to the RFA include estimates of
"the number of small entities to which the proposed rule will apply"
and of "the classes of small entities which will be subject to the
requirement." 5 U.S.C. § 603(b)(3)-(4). We have consistently interpreted
the RFA, based upon these sections, to impose no obligation upon an agency
"to conduct a small entity impact analysis of effects on entities which
it does not regulate." Motor & Equip. Mfrs. Ass'n v. Nichols, 142
F.3d 449, 467 & n.18 (1998).
The EPA certified that its revised NAAQS will "not have a significant
economic impact on small entities within the meaning of the RFA." PM
Final Rule, 62 Fed. Reg. at 38,702/2; Ozone Final Rule, 62 Fed. Reg. at
38,887/2-3. According to the EPA, the NAAQS themselves impose no regulations
upon small entities. Instead, the several States regulate small entities
through the state implementation plans (SIPs) that they are required by
the Clean Air Act to develop. See 42 U.S.C. § 7410. Because the NAAQS
therefore regulate small entities only indirectly-that is, insofar as they
affect the planning decisions of the States-the EPA concluded that small
entities are not "subject to the proposed regulation." See Mid-Tex
Elec. Coop., Inc. v. FERC, 773 F.2d 327, 342 (D.C. Cir. 1985); see also
id. at 343 ("Congress did not intend to require that every agency consider
every indirect effect that any regulation might have on small businesses
in any stratum of the national economy.").
The EPA's description of the relationship between NAAQS, SIPs, and small
entities strikes us as incontestable. The States have broad discretion in
determining the manner in which they will achieve compliance with the NAAQS.
The EPA "is required to approve a state plan which provides for the
timely attainment and subsequent maintenance of ambient air standards"
and cannot reject a SIP based upon its view of "the wisdom of a State's
choices of emission limitations," Train v. NRDC, 421 U.S. 60, 79 (1975)
(emphasis in original), or of the technological infeasibility of the plan.
See Union Elec. Co. v. EPA, 427 U.S. 246, 265 (1976). Therefore, a State
may, if it chooses, avoid imposing upon small entities any of the burdens
of complying with a revised NAAQS. Only if a State does not submit a SIP
that complies with § 110, 42 U.S.C. § 7410, must the EPA adopt
an implementation plan of its own, which would require the EPA to decide
what burdens small entities should bear. The agency has stated, however,
that it will do a regulatory flexibility analysis before adopting an implementation
plan of its own, as it did in 1994 when proposing such a plan for Los Angeles.
See Ozone Final Rule, 62 Fed. Reg. at 38,891/1; PM Final Rule, 62 Fed. Reg.
at 38,705/3.
The responses of the Small Business Petitioners do not persuade us to reject
the EPA's argument or to deviate from our holdings in Mid-Tex and its progeny.
First, the Small Business Petitioners contend that we must defer to the
Small Business Administration's interpretation of the Act, as expressed
in a letter to the EPA from the SBA's Chief Counsel for Advocacy, that the
NAAQS do impose requirements upon small entities. The SBA, however, neither
administers nor has any policymaking role under the RFA; at most its role
is advisory. See, e.g., 5 U.S.C. §§ 601(3), 602(b), 603(a), 605(b),
609(b)(1), 612. Therefore, we do not defer to the SBA's interpretation of
the RFA. See Scheduled Airlines Traffic Offices, Inc. v. Department of Defense,
87 F.3d 1356, 1361 (D.C. Cir. 1996) (no Chevron deference owed to agency
interpretation of statute it does not administer). Nor do we defer to the
EPA's interpretation of the RFA, for it does not administer the Act either.
We do, however, find the EPA's interpretation of the statute persuasive.
Second, the Small Business Petitioners argue that the EPA cannot claim both
that the NAAQS will have no effect upon small entities and that it will
have positive health effects. Clearly, however, the EPA can maintain that
the NAAQS will have health effects because the Clean Air Act empowers the
agency to ensure that such benefits accrue; and it can maintain that the
NAAQS will not directly affect small entities because it has no authority
(short of imposing its own implementation plan upon a non-complying state)
to impose any burdens upon such entities.
The Small Business Petitioners attempt to distinguish the possible effects
upon small entities in this case from the indirect effects that, as we found
in Mid-Tex, are not within the contemplation of the RFA. But Mid-Tex is
not so easily distinguished. The petitioners in that case argued that the
RFA required the FERC to consider economic effects not only upon regulated
industries but also upon the small entities that are their wholesale customers,
even though the customers were not directly regulated by the FERC. We rejected
that argument, finding a "clear indication" in the language of
§ 603 that the RFA is "limited to small entities subject to the
proposed regulation." Mid-Tex, 773 F.2d at 342; see also Motor &
Equip. Mfrs. Ass'n, 142 F.3d at 467 n.18 ("The RFA itself distinguishes
between small entities subject to an agency rule, to which its requirements
apply, and those not subject to the rule, to which the requirements do not
apply."); United Distribution Cos. v. FERC, 88 F.3d 1105, 1170 (1996)
(regulatory flexibility analysis provision applies only to "small entities
that are subject to the requirements of the rule") (emphasis in original).
That the Clean Air Act requires the States to submit SIPs that will achieve
compliance with the NAAQS does not, in view of the States' nearly complete
discretion to determine which entities will bear the burdens of a revised
NAAQS, make such small entities as the SIPs may regulate any more subject
to the EPA's regulation than were the wholesalers in Mid-Tex subject to
regulation by the FERC.
Finally, the Small Business Petitioners suggest that the Congress in enacting
the SBREFA overruled our prior interpretation of the RFA in Mid-Tex and
its progeny. The SBREFA made a number of changes in the RFA, but it did
not change anything in § 603 upon which we relied in Mid-Tex. And although
the Congress made a slight modification in § 605(b), we do not understand
it to alter our analysis in Mid-Tex. Prior to 1996, § 605(b) required
an agency to provide "a succinct statement explaining the reasons"
for its certification that the promulgated rule would not have a significant
economic impact upon small entities. That section now requires "a statement
providing the factual basis for such certification." Our decision in
Mid-Tex contemplates that an agency may justify its certification under
the RFA upon the "factual basis" that the rule does not directly
regulate any small entities. Nothing in the change to § 605(b) suggests
that basis for certification is no longer permissible. (Indeed, the section
of the statute amending § 605(b) is labeled "Technical and Conforming
Amendments," see SBREFA § 243, 110 Stat. at 866.) We therefore
conclude that the EPA properly certified that its NAAQS would not have a
significant impact upon a substantial number of small entities.
III. Ozone
A. Subpart 2 and the Revised Ozone Standard
In 1990 the Congress substantially revised the Clean Air Act by, among other
things, adding specific enforcement provisions for carbon monoxide, particulate
matter, sulfur oxides, nitrogen dioxide, lead, and as pertinent here, ozone.
Previously, the Act required that all areas of the country not attaining
the primary ozone standard, no matter how far from attainment, come into
compliance "as expeditiously as practicable but not later than December
31, 1987." 42 U.S.C. § 7502 (1988). Many areas had not attained
the primary ozone NAAQS by that date; some were still a long way from doing
so. The Congress responded to the continued ozone problem by enacting a
new enforcement scheme, which it codified as Subpart 2 of Part D of the
Clean Air Act, 42 U.S.C. §§ 7511-7511f, redesignating the original
provisions as Subpart 1.
Subpart 2 requires the EPA to classify nonattainment areas based upon their
design value, which is a rough measure of whether an area complies with
the 0.12 ppm, 1-hour primary ozone standard.6 A table in Subpart 2,
set out here in the margin,7 establishes classifications ranging
from marginal to extreme, and provides an attainment date for each class.
See id. § 7511(a)(1)-(2). Subpart 2 also specifies, for each class
of nonattainment areas, both measures that the States must take to reduce
emissions of the chemicals that are precursors of ozone and information
that the States must report to the EPA. See id. § 7511a. In short,
Subpart 2 is the Congress's comprehensive plan for reducing ozone levels
throughout the country.
The State and Non-State Petitioners, along with Congressman Bliley appearing
as an amicus curiae, argue that Subpart 2 precludes the EPA from revising
the primary and secondary ozone NAAQS. We reject this argument (in Part
III.A.1) insofar as it pertains to the EPA's continued ability to promulgate
a revised ozone NAAQS or to designate areas as not in attainment with a
revised NAAQS. We agree (in Part III.A.2) with those petitioners, however,
insofar as they maintain, based upon the text and structure of Subparts
1 and 2, that the EPA is precluded from enforcing a revised primary ozone
NAAQS other than in accordance with the classifications, attainment dates,
and control measures set out in Subpart 2. Further, we conclude (in Part
III.A.3) that the EPA may not require a State to comply with a revised secondary
ozone NAAQS in any area that has yet to attain the 0.12 ppm primary standard.
1. The EPA's Power to Revise the Ozone NAAQS and Designate Areas as Nonattainment
The 1990 amendments did not alter the section of the Clean Air Act that
provides for setting and revising primary and secondary NAAQS. See 42 U.S.C.
§ 7409. The Administrator, therefore, still must "at five-year
intervals [from December 31, 1980] . . . complete a thorough review of .
. . the [NAAQS] promulgated under this section and . . . make such revisions
in such . . . standards . . . as may be appropriate." Id. § 7409(d)(1).
The Second Circuit held that this section continues to "set[ ] forth
a bright-line rule for agency action," American Lung Ass'n v. Reilly,
962 F.2d 258, 263 (1992), and we agree. Nothing in the Act modifies this
"bright-line rule" or otherwise makes it inapplicable to revision
of the ozone NAAQS.
To the extent that the 1990 amendments shed any light upon this question,
they suggest that the EPA retains its authority to revise the ozone NAAQS.
For example, if the EPA relaxes a NAAQS after enactment of the 1990 amendments,
then "the Administrator shall . . . promulgate requirements applicable
to all areas which have not attained that [relaxed] standard as of the date
of such relaxation. . . . [which] shall provide for controls . . . not less
stringent than the controls applicable to areas designated nonattainment
before such relaxation." 42 U.S.C. § 7502(e). Although two other
subsections of § 172 are expressly made inapplicable to the ozone regulations
in Subpart 2, see id. § 7502(a)(1)(C), (a)(2)(D), this so-called anti-backsliding
provision contains no such exemption. Accordingly, as the EPA notes, this
section specifically contemplates that the agency may relax its ozone NAAQS
and, therefore, necessarily implies that it retains the authority to revise
that NAAQS. Tellingly, neither the petitioners nor the amicus reply to this
point.
The petitioners and amicus raise two other arguments to support their position
that the EPA cannot alter the ozone NAAQS without the approval of the Congress.
We reject both in short order.
First, the Non-State Petitioners contend that Subpart 2 renders revision
of the ozone NAAQS "inappropriate" within the meaning of §
109(d)(1), which provides the EPA shall "make such revisions in such
. . . standards . . . as may be appropriate." 42 U.S.C. § 7409(d)(1).
This argument, however, pointedly ignores the text immediately following
the word "appropriate," which specifies that appropriateness is
to be determined "in accordance with section 7408 . . . and [§
7409(b)]" (and which, as we read it, means exclusively in accord with
those sections). See, e.g., American Methyl Corp. v. EPA, 749 F.2d 826,
835-36 (D.C. Cir. 1984). Because Subpart 2 is neither listed in § 109(d)(1)
nor incorporated by reference in either § 108, id. § 7408, or
§109(b), it cannot render revision of the ozone NAAQS inappropriate.
Second, the State Petitioners and Congressman Bliley argue, based upon the
classification table in § 181(a)(1), id. § 7511(a)(1), that Subpart
2 codified the 0.12 ppm ozone NAAQS and, therefore, only the Congress can
promulgate a revised NAAQS. Yet not all areas designated nonattainment for
ozone will have design values of 0.121 ppm or higher. In fact, this was
true of areas designated nonattainment for ozone as a result of the 1990
amendments, see Ozone Final Rule, 62 Fed. Reg. at 38,884/3, at least in
part because of the stringent criteria in the Clean Air Act for changing
the designation of an area to attainment from nonattainment. See 42 U.S.C.
§ 7407(d)(3)(E)(iii) (redesignation permissible only if area's attainment
of NAAQS "is due to permanent and enforceable reductions in emissions").
In short, although the numbers in the classification table are based upon
the 0.12 ppm ozone NAAQS, they are neither equivalent to nor a codification
of the NAAQS.
Not only does the EPA, as we conclude above, retain authority to promulgate
a revised ozone NAAQS; the agency is still required, "in no case later
than 2 years from the date of promulgation" of a revised NAAQS, to
designate areas as attainment, nonattainment, or unclassifiable under that
NAAQS. Id. § 7407(d)(1)(B). Although the 1990 amendments extended by
roughly 18 months the maximum time between promulgation of a revised NAAQS
and designation of nonattainment areas under that NAAQS, see 42 U.S.C. §
7407(d)(1)-(2) (1988), they made no substantive change in the EPA's authority
to designate areas as nonattainment under a revised NAAQS. Therefore, we
hold that the EPA retains the power to designate areas as nonattainment
under a revised ozone NAAQS.
2. The EPA's Power to Enforce the Revised Ozone Standard
That the enactment of Subpart 2 does not alter the EPA's authority to revise
the ozone NAAQS or to designate areas as nonattainment for ozone does not,
however, compel the conclusion that Subpart 2 has no effect upon the EPA's
authority to enforce a revised primary ozone NAAQS (We consider the enforcement
of secondary ozone NAAQS in Part III.A.3, below.) In fact, the text and
structure of Subparts 1 and 2 suggest precisely the opposite conclusion.
After designating an area as nonattainment under a NAAQS, the EPA normally
looks to Subpart 1 for authority to "classify the area for the purpose
of applying an attainment date." 42 U.S.C. § 7502(a)(1)-(2). The
cited provisions, however, do not apply "with respect to nonattainment
areas for which classifications [and attainment dates] are specifically
provided under other provisions of [Part D of Subchapter 1 of the Clean
Air Act]." Id. § 7502(a)(1)(C), (a)(2)(D).
The EPA argues that Subpart 2 specifically provides classifications and
attainment dates only for nonattainment designations under the 0.12 ppm
ozone NAAQS.
The State and Non-State Petitioners counter that Subpart 2 specifically
provides classifications and dates for all areas designated nonattainment
under any ozone NAAQS. We agree with the petitioners.
The pertinent provision of Subpart 2 reads as follows:
(a) Classification and attainment dates for 1989 nonattainment areas. -
(1) Each area designated non-attainment for ozone pursuant to section 7407(d)
of this title shall be classified at the time of such designation, under
table 1, by operation of law, as a Marginal Area, a Moderate Area, a Serious
Area, a Severe Area, or an Extreme Area. . . .
Id. § 7511(a)(1). As the petitioners note, § 107(d), 42 U.S.C.
§ 7407(d), specifies three different times at which an area can be
designated "nonattainment for ozone": immediately following enactment
of the 1990 amendments, id. § 7407(d)(4); after the EPA revises the
ozone NAAQS, id. § 7407(d)(1); and when an area that was in attainment,
either when the Congress enacted the 1990 amendments or when the EPA promulgated
a revised ozone NAAQS, later ceases to comply, id. § 7407(d)(3). The
petitioners conclude from the general reference to § 107(d) that the
classifications and attainment dates in Subpart 2 apply to areas designated
under §§ 107(d)(1), (3), and (4). The EPA gamely responds that
the reference to § 107(d) includes only subsection (4), but we do not
defer to the agency's interpretation because we find that the Congress has
spoken on the "precise question at issue" and we "must give
effect to the unambiguously expressed intent of Congress." Chevron
U.S.A. Inc., 467 U.S. 837, 842-43 & n.9 (1984). We canvass the two reasons
that lead us to this conclusion before returning to the EPA's argument.
First, the reference to § 107(d) in § 181(a)(1) appears to have
been purposeful and not the drafting error that the EPA's interpretation
implies. The Congress considered but did not adopt bills that clearly would
have limited the reach of Subpart 2 to nonattainment designations made immediately
following enactment of the 1990 amendments. The Senate bill contained a
version of Subpart 2 that classified only those areas designated nonattainment
for ozone under its equivalent of § 107(d)(4). See S. 1630, 101st Cong.
§§ 101, 107, reprinted in III Legislative History of the Clean
Air Act Amendments of 1990, at 4124-25, 4195 [hereinafter 1990 Legislative
History]. The version of Subpart 2 in the House bill, as originally introduced,
similarly referred only to designations made under its equivalent of §
107(d)(4). See H.R. 3030, 101st Cong. §§ 101(a), 103, reprinted
in II 1990 Legislative History, at 3748-49, 3795-96 The House committee,
however, replaced the specific reference to what is now § 107(d)(4)
with a general reference to § 107(d). See H.R. Rep. No. 101-490, at
3-6, 17 (1990), reprinted in II 1990 Legislative History, at 3027-30, 3041.
The Conference committee then reported the text of the House bill rather
than that of the Senate. See H.R. Rep. No. 101-952, at 335 (1990), reprinted
in I 1990 Legislative History, at 1785.
Second, our conclusion that the Congress intentionally referred to §
107(d) as a whole is supported by a comparison of Subparts 1 and 2. The
Congress enacted Subpart 2 because of the failure of the controls in Subpart
1 to bring areas into attainment with the 0.12 ppm standard in the allotted
time. See H.R. Rep. No. 101-490, at 145-50, reprinted in II 1990 Legislative
History, at 3169-74. Rather than continue treating all ozone nonattainment
areas alike, the Congress allowed the various areas between 3 and 20 years
to attain the ozone NAAQS, depending upon the extent of the area's ozone
problem. See id. at 146-47 ("In 1977, Congress tried to waive [sic]
a 'magic wand' and command that all nonattainment areas [for ozone] will
meet the applicable [NAAQS]. . . . by December 31, 1987. . . . [That] date[
] ha[s] come and gone and it is clear that ... we had no 'magic' solutions."),
reprinted in II 1990 Legislative History, at 3170-71. As the petitioners
argue, because the 1990 amendments extended the time for nonattainment areas
to comply with the 0.12 ppm ozone NAAQS, they must preclude the EPA from
requiring areas to comply either more quickly or with a more stringent ozone
NAAQS.
Subpart 1 requires compliance with a primary NAAQS "as expeditiously
as practicable, but no later than 5 years from the date such area was designated
nonattainment." 42 U.S.C. § 7502(a)(2)(A). All nonattainment areas
would have until 2012 to comply with the revised ozone NAAQS if the EPA
and the States were to take the full time authorized in Subpart 1 for making
attainment designations and the EPA were to approve every possible extension
for each area. See id. §§ 7407(d)(1)(A)-(B), 7502(a)(2)(A), (C).
Such wide discretion is inconsistent, however, with Subpart 2, in which
the Congress stripped the EPA of discretion to decide which ozone nonattainment
areas should receive more time to reach attainment (with two limited exceptions
not relevant here, see id. § 7511(a)(4), (5)). Moreover, under §
181(a) of Subpart 2, Los Angeles, the nation's only Extreme Area, has until
2010 to attain the 0.12 ppm ozone NAAQS, and the possibility of extending
that deadline until 2012. That Los Angeles should also have to attain a
more stringent ozone standard by that same year, if not earlier, clearly
runs counter to the comprehensive enforcement scheme enacted in Subpart
2.
The EPA offers two arguments against this interpretation of Subparts 1 and
2. First, the EPA contends that a recent statute confirms its power to designate
nonattainment areas under the revised ozone standard. See Pub. L. No. 105-178,
§ 6103(a), 112 Stat. 465 (1998) (extending time to two years from one
year for governor to submit proposed designation under 0.08 ppm ozone NAAQS).
That statute also specifically states, however, that "[n]othing in
section[ ] . . . 6103 shall be construed by the Administrator of Environmental
Protection Agency or any court . . . to affect any pending litigation or
to be a ratification of the ozone . . . standard[ ]." Id. § 6104.
Further, even if the EPA were correct that § 6103 confirms the agency's
power to designate areas under a revised ozone NAAQS, that power was never
in doubt, as we concluded above. Indeed, § 6104 simply does not bear
upon the question we address here: whether Subpart 1 or Subpart 2 provides
the applicable enforcement mechanisms for an area designated nonattainment
under a revised ozone NAAQS.
Second, the EPA argues that read in context the reference to § 107(d)
in § 181(a)(1) relates only to designations made under § 107(d)(4).
Because the table in § 181(a)(1) classifies areas based upon a design
value that roughly measures attainment of the 0.12 ppm ozone NAAQS, the
EPA contends that the nonattainment designations referenced in § 181(a)(1)
are only those designations made under the 0.12 ppm ozone NAAQS. This explanation,
however, does not square with either the Congress's decision not to refer
to § 107(d)(4) specifically or the long-term nature of the attainment
scheme enacted in Subpart 2; on the EPA's interpretation, that scheme would
have been stillborn had the EPA revised the ozone NAAQS immediately after
the Congress enacted the 1990 amendments.
The EPA points next to § 181(b)(1), which specifies the attainment
dates for areas that met the 0.12 ppm standard when the Congress enacted
the 1990 amendments but that later cease to comply. That section, however,
applies only to areas designated under § 107(d)(3) that previously
were "designated attainment or unclassifiable for ozone under section
[107(d)(4)]." That § 181(b)(1) provides special rules for such
areas, but not for areas designated under § 107(d)(3) that had previously
been designated attainment for ozone or unclassifiable under § 107(d)(1),
does not support the EPA's argument that the phrase in § 181(a)(1)
"designated nonattainment for ozone pursuant to section 107(d)"
denotes only those designations made under § 107(d)(4). If anything,
the specification of § 107(d)(4) in § 181(b)(1) makes its absence
from § 181(a)(1) all the more striking.
The final bit of context to which the EPA points is the title of §
181(a): "Classification and attainment dates for 1989 nonattainment
areas." Because the title specifies "1989 nonattainment areas,"
we are told, § 181(a) must refer only to nonattainment designations
made immediately after enactment of the 1990 amendments, that is, designations
made under § 107(d)(4). Although "the title of a statute or section
can aid in resolving an ambiguity in the legislation's text," INS v.
National Ctr. for Immigrants' Rights, Inc., 502 U.S. 183, 189 (1991), a
title cannot be allowed to create an ambiguity in the first place. See Maguire
v. Commissioner of Internal Revenue, 313 U.S. 1, 9 (1941) ("[T]he title
of an act will not limit the plain meaning of the text."). The text
of § 181(a) clearly encompasses nonattainment designations made under
all subsections of § 107(d). There simply is no ambiguity in need of
resolution by reference to the title of the section.
In sum, § 181(a) "specifically provide[s]" for classifications
and attainment dates for areas designated nonattainment for ozone pursuant
to § 107(d)(1). Accordingly, Subpart 2, not Subpart 1, provides the
classifications and attainment dates for any areas designated nonattainment
under a revised primary ozone NAAQS, see 42 U.S.C. § 7502(a)(1)(C),
(a)(2)(D), and the EPA must enforce any revised primary ozone NAAQS under
Subpart 2.
3. The Secondary Ozone NAAQS
The Non-State Petitioners briefly contend that our conclusion that Subpart
2 provides the classifications and attainment dates for areas designated
nonattainment under a revised primary ozone NAAQS is equally applicable
to the enforcement of a revised secondary ozone NAAQS. We find it impossible
to conclude, however, that Subpart 2 "specifically provide[s]"
for classifications and attainment dates for areas designated nonattainment
with a revised secondary ozone NAAQS; § 181(a)(1) expressly refers
only to primary NAAQS and Subpart 2 not once mentions secondary NAAQS. Further,
attainment dates in Subpart 1 for secondary standards are less stringent
than for primary standards, making comparison with the more lenient dates
in Subpart 2 less troubling. Compare id. § 7502(a)(2)(B) (attainment
of secondary NAAQS "shall be . . . achieved as expeditiously as practicable
after the date such area was designated nonattainment"), with id. §
7502(a)(2)(A) (attainment of primary NAAQS "shall be . . . achieved
as expeditiously as practicable, but no later than 5 years from the date
such area was designated nonattainment"). Nonetheless, we understand
Subpart 2 to codify the Congress's judgment as to what is "as expeditiously
as practicable" in reducing an area's level of ozone. Consequently,
the EPA is precluded from requiring any steps toward compliance with a revised
secondary ozone NAAQS prior to an area's attainment of the 0.12 ppm standard.
In areas that meet the 0.12 ppm standard, however, Subpart 2 erects no bar
to the EPA's requiring compliance with a revised secondary ozone NAAQS "as
expeditiously as practicable."
B. Ozone's Health Benefits
Petitioners presented evidence that according to them shows the health benefits
of tropospheric ozone as a shield from the harmful effects of the sun's
ultraviolet rays-including cataracts and both melanoma and nonmelanoma skin
cancers. In estimating the effects of ozone concentrations, EPA explicitly
disregarded these alleged benefits.
EPA explained its decision first as a matter of statutory interpretation.
Under the Clean Air Act, EPA's ambient standards for any pollutant are to
be "based on [the] criteria" that EPA has published for that pollutant.
42 U.S.C. § 7409(b)(1) & (2). The "criteria," in turn,
are to "reflect the latest scientific knowledge useful in indicating
the kind and extent of all identifiable effects on public health or welfare
which may be expected from the presence of such pollutant in the ambient
air, in varying quantities." Id. § 7408(a)(2). The reference to
"all identifiable effects" would seem on its face to include beneficent
effects.
EPA attempts to avoid this straightforward reading in several ways. First,
it points to the term "such pollutant," arguing that the statute
requires it to focus exclusively on the characteristics that make the substance
a "pollutant." But the phrase "pollutant" is simply
a label used to identify a substance to be listed and controlled by the
statute. While it is perfectly true that a substance known to be utterly
without adverse effects could not make it onto the list, this fact of nomenclature
does not visibly manifest a congressional intent to banish consideration
of whole classes of "identifiable effects."
EPA also relies on the fact that two of the three specified considerations
under § 108(a)(2)'s general mandate refer to "adverse effect[s]":
The criteria for an air pollutant, to the extent practicable, shall include
information on-
(A) those variable factors (including atmospheric conditions) which of themselves
or in combination with other factors may alter the effects on public health
or welfare of such air pollutant;
(B) the types of air pollutants which, when present in the atmosphere, may
interact with such pollutant to produce an adverse effect on public health
or welfare; and
(C) any known or anticipated adverse effects on welfare.
Id. § 7408(a)(2) (emphasis added). EPA's argument would be of uncertain
force even if all three types of effects specifically required to be considered
were spoken of as "adverse effects"; there is no reason to read
"adverse" back into the "all identifiable effects" of
§ 108(a)(2). But as one of the three specified classes refers to "effects"
unmodified, id. § 7408(a)(2)(A), we can reject EPA's argument without
even reaching that issue. That Congress qualified "effects" in
clauses (B) and (C) with "adverse" seems only to strengthen the
supposition that in (A)-and in the general mandate-it intended to cover
all health or welfare effects. Therefore if petitioners' contentions are
right, clause (A) applies to ozone: the presence of ultraviolet radiation
at various levels "alter[s] the effects [of ozone] on public health
or welfare" by making them on the whole less malign-perhaps even beneficial.
EPA next argues that Title VI of the Clean Air Act, id. §§ 7671-7671q,
which mandates certain measures to preserve stratospheric ozone, represents
a complete consideration of ozone's beneficial role as a UV shield. Petitioners'
claim, however, is that ground-level (tropospheric) ozone-the subject of
this rule-has a UV-screening function independent of the ozone higher in
the atmosphere. EPA points to nothing in the statute that purports to address
tropospheric ozone.
Finally, EPA directs us towards legislative history from the 1970 and 1990
Clean Air Act Amendments. The "all identifiable effects" language,
however, dates to the 1967 Amendments. Legislative history from the 1970
and 1990 Congresses cannot be "an authoritative interpretation of what
the [1967] statute meant," because it is "the function of the
courts and not the Legislature, much less a Committee of one House of the
Legislature, to say what an enacted statute means." Pierce v. Underwood,
487 U.S. 552, 566 (1988).
Under Chevron, we defer to an agency's interpretation of a statute if "the
statute is silent or ambiguous with respect to the specific issue"
and "the agency's answer is based on a permissible construction of
the statute." 467 U.S. at 843. We find no such ambiguity in this case.
Further, EPA's interpretation fails even the reasonableness standard of
Chevron's second part: it seems bizarre that a statute intended to improve
human health would, as EPA claimed at argument, lock the agency into looking
at only one half of a substance's health effects in determining the maximum
level for that substance. At oral argument even EPA counsel seemed reluctant
to claim that the statute justified disregard of the beneficent effects
of a pollutant bearing directly on the health symptoms that accounted for
its being thought a pollutant at all (suppose, for example, a chemical that
both impedes and enhances breathing, depending on the person or circumstances);
he also seemed unable to distinguish that case from the one here-where the
chemical evidently impedes breathing but provides defense against various
cancers.
Legally, then, EPA must consider positive identifiable effects of a pollutant's
presence in the ambient air in formulating air quality criteria under §
108 and NAAQS under § 109. EPA's other arguments are technical, and
are of two sorts: those that allegedly show petitioners' studies to be fatally
flawed and those that allegedly show specific inflation of results in these
studies. We need only consider the first sort, for EPA chose to give the
studies no weight at all.
Petitioners rely primarily on studies by Lutter and Cupitt. EPA found that
these could be ignored because the marginal benefits are difficult, if not
impossible, to quantify reliably and because there is "no convincing
basis for concluding that any such effects . . . would be significant."
But these are not the criteria by which EPA assesses adverse health effects.
It does not rigorously or uniformly demand either quantifiability, see,
e.g., Ozone Final Rule, 62 Fed. Reg. at 38,860/3 (admitting that "quantitative
risk estimates could not be developed" for certain adverse effects
of ozone on which EPA regulated); EPA Ozone Brief at 48 (defending consideration
of various effects that "played an important role in the Administrator's
final decision" despite absence of quantification: "EPA did not
estimate the risk for such effects because 'information [was] too limited
to develop quantitative estimates,'-not because there is doubt the effects
occur.") (alteration and emphasis in original) (citation omitted),
or any specific level of significance. As we can see no reason for imposing
a higher information threshold for beneficent effects than for maleficent
ones, we have no basis for affirming EPA's decision to disregard the studies.
As we said above, we are remanding to EPA to formulate adequate decision
criteria for its ordinary object of analysis-ill effects. We leave it to
the agency on remand to determine whether, using the same approach as it
does for those, tropospheric ozone has a beneficent effect, and if so, then
to assess ozone's net adverse health effect by whatever criteria it adopts.
IV. Particulate Matter
A. PM10 as Coarse Particle Indicator
We now turn to petitioners' challenges to the Agency's regulation of coarse
particulate pollution. Both the 1987 NAAQS and the proposed standards regulate
all particles with diameters under 10 micrometers, signified by the indicator
PM10. The PM10 spectrum includes both coarse and fine particles. While the
main distinction between coarse and fine particles is the process by which
they are produced, EPA and epidemiologists who study the health effects
of particulate pollution identify coarse and fine particles through rough
approximations of those particles' diameters. Coarse particles, which become
airborne usually from the crushing and grinding of solids, generally have
diameters between 2.5 and 10 micrometers and can thus be identified by the
indicator PM10-2.5. Fine particles, indicated in these new NAAQS by PM2.5,
come mainly from combustion or gases and generally have diameters of 2.5
micrometers or less.
Despite EPA's conclusion that coarse and fine particles pose independent
and distinct threats to public health, the Agency chose not to adopt an
indicator, such as PM10-2.5, that would measure only the coarse fraction
of PM10. Petitioners make two arguments: that there is no scientific basis
for regulating coarse particles at all, and that even if there were, retention
of the PM10 indicator simultaneously with the establishment of the new fine
particle indicator is unsupported by evidence in the record and arbitrary
and capricious. We agree with this latter argument.
Beginning with petitioners' first challenge, we think the record contains
sufficient evidence to justify the Agency's decision to regulate coarse
particulate pollution. While the relationship between PM10 pollution and
adverse health effects justifying the 1987 NAAQS was well-established, see
NRDC v. EPA, 902 F.2d 962, 967-68 (D.C. Cir. 1990), two studies contained
in the record of these proceedings concentrated specifically on the health
effects caused by the coarse fraction of PM10 pollution. See Mary Ellen
Gordian et al., "Particulate Air Pollution and Respiratory Disease
in Anchorage, Alaska," 104 Envtl. Health Persp. 290 (1996) (studying
volcanic ash); Brockton J. Hefflin et al., "Surveillance for Dust Storms
and Respiratory Diseases in Washington State, 1991," 49 Archives of
Envtl. Health 170 (1994) (studying fugitive dust). In addition, the record
contains at least nine multivariate analyses finding statistically significant
relationships with health effects for both PM2.5 and PM10, suggesting that
the portion of PM10 pollution unaccounted for by PM2.5 (i.e., coarse particles)
explains some of the observed adverse health effects. In other words, because
regression analysis holds the PM2.5 component constant, the PM10 effect
recognized in these equations actually evidences results from coarse particulate
pollution. To be sure, petitioners have pointed to some evidence to the
contrary. But given that our review is limited to "ascertaining that
the choices made by the Administrator were reasonable and supported by the
record," and does not include "judg[ing] the merits of competing
expert views," Lead Industries, 647 F.2d at 1160, we find ample support
for EPA's decision to regulate coarse particulate pollution above the 1987
levels.
Having found independent health consequences from coarse particulate pollution,
EPA nevertheless decided to regulate the coarse fraction of PM10 indirectly,
using PM10 (which includes both coarse and fine PM) as a "surrogate
for coarse fraction particles." PM Final Rule, 62 Fed. Reg. at 38,668/2.
While recognizing that PM10-2.5 would have served as a satisfactory coarse
particle indicator, EPA offers three justifications for its decision to
use PM10 instead: (1) Both the Gordian and Hefflin studies used PM10, not
PM10-2.5, as the variable in their models, (2) the PM10 standards will work
in conjunction with the PM2.5 standards by regulating the portion of particulate
pollution not regulated by the PM2.5 standards, and (3) a nationwide monitoring
program for PM10 already exists. We find none of these explanations persuasive.
As to the first argument, while acknowledging that the indicator used in
the studies captures both coarse and fine particles, EPA nevertheless maintains
that PM10 is an effective indicator for the regulation of coarse particulate
pollution. "Adopting the indicator used in the studies," the Agency
says, "increases the likelihood that the level selected will result
in the health protections predicted." But as EPA's own staff paper
suggests, PM10 is "inherently confounded" by the presence of PM2.5
particles, meaning that any regulation of PM10 pollution will include both
coarse and fine particles. See PM Staff Paper at V-59. Using PM10 as the
coarse particle indicator, instead of PM10-2.5, will thus regulate more
than just the coarse fraction of PM10, and the amount of coarse particulate
pollution permitted will depend (quite arbitrarily) on the amount of PM2.5
pollution in the air. For example, assuming the 50 microgram annual PM10
level adopted by the Agency and a region with an annual PM2.5 pollution
level of 15 micrograms, the PM10 indicator would prohibit coarse particulate
(PM10-2.5) pollution from exceeding 35 micrograms. But in an area with only
5 micrograms of PM2.5 pollution, the NAAQS would permit coarse particulate
pollution to reach as high as 45 micrograms.
EPA's second argument-that the PM10 standard will work in conjunction with
the PM2.5 standard-suffers from the same deficiency. Accepting EPA's finding
of "profound physicochemical differences" between coarse and fine
PM, PM Staff Paper at V-59, such that each requires independent regulation,
we cannot discern exactly how a PM10 standard, instead of a PM10-2.5 standard,
will work alongside a PM2.5 standard to regulate only the coarse fraction
of PM10. EPA provides no explanation to aid us in understanding its decision.
In fact, as the example above indicates, it is the very presence of a separate
PM2.5 standard that makes retention of the PM10 indicator arbitrary and
capricious. Far from working in conjunction to regulate coarse particles,
PM10 and PM2.5 indicators, when used together, lead to "double regulation"
of the PM2.5 component of PM10 and potential underregulation of the PM10-2.5
component since the amount of PM10-2.5 permitted will always depend on the
amount of PM2.5 in the air.
EPA's final argument is pragmatic. It maintains that PM10 is a better indicator
than PM10-2.5 for coarse particulate pollution because a nationwide monitoring
program for PM10 already exists. But as EPA acknowledges elsewhere in its
brief, NRDC bars EPA from considering factors unrelated to public health
in setting air quality standards. Echoing our decision in Vinyl Chloride,
NRDC held that "the Administrator may not consider cost and technological
feasibility in determining what is 'safe'; such a determination 'must be
based solely upon the risk to health.'" NRDC, 902 F.2d at 973 (quoting
Vinyl Chloride, 824 F.2d 1146, 1166 (D.C. Cir. 1990) (in banc)); see also
American Petroleum Inst. v. Costle, 665 F.2d 1176, 1185 (D.C. Cir. 1981);
Lead Industries, 647 F.2d at 1148-55. The administrative convenience of
using PM10 cannot justify choosing an indicator poorly matched to the relevant
pollution agent.
In view of our conclusion that PM10 amounts to an arbitrary indicator for
coarse particle pollution, we need not address petitioners' separate challenge
to the PM10 levels or secondary standards. We note, however, that whatever
levels the Agency ultimately selects for coarse particle pollution will
need to comply with the requirements set forth in Part I of this opinion.
B. Fine Particles as "New Pollutant"
The Attorneys General of Ohio, Michigan, and West Virginia ("state
petitioners") argue that EPA is regulating PM2.5 for the first time.
Because they consider PM2.5 to be a "new pollutant," they argue
that § 108 of the Clean Air Act requires EPA to conduct further research
on PM2.5's health effects before listing it as a pollutant, to issue an
air quality criteria document reflecting the latest science on the health
effects of the pollutant, and to assist states by developing "data
relating to the cost of installation and operation, energy requirements,
emission reduction benefits, and environmental impact of the emission control
technology." 42 U.S.C. § 7408(b)(1).
Although EPA never responds to this argument, five northeastern states (as
respondent intervenors and amici) do. Pointing out that previous NAAQS have
always included PM2.5, these attorneys general support the EPA's decision
not to list PM2.5 separately as a new pollutant. We agree.
The state petitioners cannot escape the fact that the original standards
for particulate pollution using Total Suspended Particulates (TSP) as indicator,
as well as the 1987 NAAQS that used PM10, included by definition every particle
2.5 micrometers and smaller. Moreover, in some areas fine particles often
dominate PM10 pollution. See PM Staff Paper at V-63. By refining the NAAQS
to focus on smaller particles that EPA found posed distinct threats to public
health, EPA has done with these regulations exactly what we held it could
do in 1987 when it made the change from Total Suspended Particulates to
PM10. See NRDC, 902 F.2d at 965-66. EPA's decision to update the NAAQS to
focus on PM2.5 merely continues a trend based on evolving science. It does
not violate the provisions of § 108 of the Clean Air Act.
C. Failure to Identify a Biological Mechanism for Particulate Pollution's
Relationship to Adverse Health Effects
Also challenging the establishment of a fine particle standard, non-state
petitioners argue that EPA failed to explain the biological mechanism through
which particulate pollution causes adverse health effects. Even if epidemiological
studies show robust statistical relationships between pollution and health
effects, they say, the absence of proof of causation-i.e., how particles
actually interact with cells and organs to cause sickness and death-is fatal
to the standard. We disagree.
To begin with, the statute itself requires no such proof. The Administrator
may regulate air pollutants "emissions of which, in his judgment, cause
or contribute to air pollution which may reasonably be anticipated to endanger
public health or welfare." 42 U.S.C. § 7408(a)(1)(A) (1994) (emphasis
added). Moreover, this court has never required the type of explanation
petitioners seek from EPA. In fact, we have expressly held that EPA's decision
to adopt and set air quality standards need only be based on "reasonable
extrapolations from some reliable evidence." NRDC v. Thomas, 805 F.2d
410, 432 (D.C. Cir. 1986). Indeed, were we to accept petitioners' view,
EPA (or any agency for that matter) would be powerless to act whenever it
first recognizes clear trends of mortality or morbidity in areas dominated
by a particular pathogen.
The numerous epidemiological studies appearing in this record, some of which
EPA also used to support the 1987 NAAQS, easily satisfy the standard articulated
in the statute and emphasized repeatedly in decisions of this court. Covering
diverse geographic locations with widely varying mixes of air pollution,
the studies found statistically significant relationships between air-borne
particulates signified by a variety of indicators and adverse health effects.
Given EPA's statutory mandate to establish standards based on "the
latest scientific knowledge," 42 U.S.C. §§ 7408(a)(2), 7409(d),
the growing empirical evidence demonstrating a relationship between fine
particle pollution and adverse health effects amply justifies establishment
of new fine particle standards.
D. Visibility Effects
The Environmental Petitioners challenge the EPA's decision to set the secondary
PM2.5 NAAQS at levels equivalent to the primary NAAQS. According to the
petitioners, the EPA's failure to set the secondary NAAQS at more stringent
levels will result in "adverse visibility impacts" in parts of
the country. In view of our conclusion in Part I, above, that the EPA has
not adequately explained the principles upon which it relied in setting
the levels in the NAAQS for PM, we need not reach the main thrust of the
petitioners' challenge to the secondary NAAQS. On the other hand, the Environmental
Petitioners have also raised a question of statutory interpretation, the
resolution of which should assist the EPA if it revisits its decision to
set the secondary PM2.5 NAAQS.
In the PM Final Rule, the EPA decided "to address the welfare effects
of PM on visibility by setting secondary standards identical to the suite
of PM2.5 primary standards, in conjunction with the establishment of a regional
haze program under § 169A of the Act." PM Final Rule, 62 Fed.
Reg. at 38,679/3. Section 169A "declares as a national goal the prevention
. . . and the remedying of any . . . impairment of visibility in mandatory
class I Federal areas . . . result[ing] from manmade air pollution."
42 U.S.C. § 7491. Mandatory class I areas include all international
parks, and national parks and wilderness areas of a certain size. See 42
U.S.C. § 7472(a). The EPA concluded that reduction of PM2.5 levels
in class I areas would benefit the surrounding areas as well because "the
same haze that degrades visibility within or looking out from a national
park also degrades visibility outside it." PM Final Rule, 62 Fed. Reg.
at 38,682/1.
The Environmental Petitioners argue that § 109(b)(2), 42 U.S.C. §
7409(b)(2), requires the EPA to set secondary NAAQS at a level sufficient
to eliminate all adverse visibility effects and that it leaves the EPA no
discretion to decide that some visibility impairment is better remedied
through another program. This argument must be wrong. For, as the EPA argues,
the Congress required the EPA to implement a regional haze program specifically
in order to address adverse visibility effects that persist in class I areas
after attainment of the secondary NAAQS. See 42 U.S.C. § 7470(1) (purpose
of this part of Clean Air Act is "to protect public . . . welfare from
any actual or potential adverse effect which . . . may reasonably be anticipate[d]
to occur . . . notwithstanding attainment and maintenance of all [NAAQS]").
Accordingly, we conclude that the Congress did not intend the secondary
NAAQS to eliminate all adverse visibility effects and, therefore, that the
EPA acted within the scope of its authority in deciding to rely upon the
regional haze program to mitigate some of the adverse visibility effects
caused by PM2.5.
Conclusion
We remand the cases to EPA for further consideration of all standards at
issue. We do not vacate the new ozone standards because the standard is
unlikely to engender costly compliance activities in light of our determination
that it cannot be enforced by virtue of Clean Air Act § 181(a), 42
U.S.C. § 7511(a). We vacate the challenged coarse particulate matter
standards because EPA will have to develop different standards when it corrects
the arbitrarily chosen PM10 indicator. As to the fine particulate matter
standards, we invite briefing on the question of remedy: possibilities include
but are not limited to vacatur, non-vacatur subject to application to vacate,
and non-vacatur.8 An order giving the briefing particulars will follow.
Because of the substantial investment of time this matter has required and
the many unresolved issues bearing on application of whatever standards
may emerge, this panel will in the interest of judicial economy retain jurisdiction
over the cases following remand. See Sierra Club v. Gorsuch, 715 F.2d 653,
661 (D.C. Cir. 1983).
1 Technically, EPA describes the criteria as used only for setting the "adequate
margin of safety." There might be thought to be a separate step in
which EPA determines what standard would protect public health without any
margin of safety, and that step might be governed by different criteria.
But EPA did not use such a process, and it need not. See NRDC v. EPA, 902
F.2d 963, 973 (D.C. Cir. 1990). Thus, the criteria mentioned in the text
govern the whole standard-setting process.
2 EPA did cite qualitative evidence for further support for its annual standard,
and argued that the evidence "does not provide evidence of effects
below the range of 40-50 µg/m3," the standard level. PM Final
Rule, 62 Fed. Reg. at 38,678/3. The referenced document, however, bears
no indication that the qualitative evidence demonstrates effects at the
level of the standard, either. See EPA, "Air Quality Criteria for Particulate
Matter," at 13-79 (April 1996).
3 See W.P.D. Logan, "Mortality in the London Fog Incident, 1952,"
The Lancet, Feb. 4, 1953, at 336-38.
4 A zero-risk policy might seem to imply de-industrialization, but in fact
even that seems inadequate to the task (and even if the calculus is confined
to direct risks from pollutants, as opposed to risks from the concomitant
poverty). First, PM (at least) results from almost all combustion, so only
total prohibition of fire or universal application of some heretofore unknown
control technology would reduce manmade emissions to zero. See PM Staff
Paper at IV-1. Second, the combustion associated with pastoral life appears
to be rather deadly. See World Bank, World Development Report 1992: Development
and the Environment 52 (1992) (noting that "biomass" fuels (i.e.,
wood, straw, or dung) are often the only fuels that "poor households,
mostly in rural areas" can obtain or afford, and that indoor smoke
from biomass burning "contributes to acute respiratory infections that
cause an estimated 4 million deaths annually among infants and children.").
5 The "quality" of various health states was determined by poll,
and medical professionals determined the probabilities and durations of
various health states with and without the treatment in question.
Oregon was twice forced to revise its system because the United States Department
of Health & Human Services detemined that the original proposal and
a revision violated the Americans with Disabilities Act, 42 U.S.C. §§
12101-12213. The reason given for this determination was that both versions
undervalued the lives of persons with disabilities: The original plan measured
quality of life according to the attitudes of the general population rather
than the attitudes of persons with disabilities. See HHS, "Analysis
Under the Americans with Disabilities Act ('ADA') of the Oregon Reform Demonstration"
(Aug. 3, 1992), reprinted in 9 Issues in L. & Med. 397, 410, 410 (1994).
The revised plan ranked treatments leaving the patient in a "symptomatic"
state lower than those leaving the patient asymptomatic, and certain disabling
conditions were considered "symptoms." See Letter from Timothy
B. Flanagan, Assistant Attorney General, to Susan K. Zagame, Acting General
Counsel, HHS (Jan. 19, 1993), reprinted in 9 Issues in L. & Med. 397,
418, 421 (1994). The Department's determination was extensively criticized
when issued. See Maxwell J. Mehlman et al., "When Do Health Care Decisions
Discriminate Against Persons with Disabilities?" 22 J. Of Health Politics,
Policy & L. 1385, 1390 (1997) (HHS's "decision provoked a storm
of disbelief and denunciation").
We take no position on whether HHS's view was correct, or if the underlying
norm also governs EPA's decisions under § 109(b)(1). An affirmative
answer, however, would not seem to preclude use of some of Oregon's approach.
The first step would be giving appropriate weight to the views of persons
with disabilities. The second might be measuring the seriousness of a pollution-induced
health effect by the absolute level of well-being that the effect brings
about, not by the decrease in level that the effect causes. In other words,
if the maximum well-being level is 100 and the average asthmatic whose asthma
constitutes a disability has a well-being of 80 in the absence of air pollution
(according to a measure that appropriately considers asthmatics' own assessments
of their condition), then a response to air pollution that reduces the asthmatics'
well-being to 70 could be counted as an effect of magnitude 30 (the difference
from full health), rather than 10 (the difference from the level without
the pollution). That approach would ensure that effects on persons with
disabilities were not underestimated, even in the broad sense of that term
apparently adopted by HHS.
6 More specifically, the design value is the fourth-highest daily maximum
ozone concentration in an area over three consecutive years for which there
are sufficient data. If that value is less than or equal to 0.12 ppm, then
an area will have only three expected values above that level and it will
be in attainment with the ozone NAAQS. See EPA, The Clean Air Act Ozone
Design Value Study: Final Report 1-1 to 1-22 (1994) (filed pursuant to 42
U.S.C. § 7511b(g), which required the EPA to conduct "a study
of whether the [existing design value] methodology . . . provides a reasonable
indicator of the ozone air quality of ozone nonattainment areas"; the
EPA concluded it did).
7 This table appears in Clear Air Act § 181(a)(1), 42 U.S.C. §
7511(a)(1):
TABLE 1
___________________________________________________________
Area Class Design value [ppm] Primary standard
attainment date
___________________________________________________________
Marginal . . . . . . . . 0.121 up to 0.138 . . . . . . . 3 years after November 15, 1990
Moderate . . . . . . . 0.138 up to 0.160 . . . . . . . 6 years after November 15, 1990
Serious . . . . . . . . . 0.160 up to 0.180 . . . . . . .9 years after November 15, 1990
Severe . . . . . . . . . 0.180 up to 0.280 . . . . . . . 15 years after November 15, 1990
Extreme . . . . . . . . 0.280 and above . . . . . . . . 20 years after November 15, 1990
The Severe Area category is later subdivided, creating a sixth classification
for ozone nonattainment areas. See id. § 7511(a)(2) ("Notwithstanding
table 1, [for] a severe area with a 1988 ozone design value between 0.190
and 0.280 ppm, the attainment date shall be 17 years . . . after November
15, 1990").
8 Briefing should address the possibility that the previous particulate
matter standard will spring back to life in response to our decision to
vacate the new coarse particulate matter standard.
TATEL, Circuit Judge, dissenting from Part I:
The Clean Air Act has been on the books for decades, has been amended by
Congress numerous times, and has been the subject of regular congressional
oversight hearings. The Act has been parsed by this circuit no fewer than
ten times in published opinions delineating EPA authority in the NAAQS-setting
process. Yet this court now threatens to strike down section 109 of the
Act as an unconstitutional delegation of congressional authority unless
EPA can articulate an intelligible principle cabining its discretion. In
doing so, the court ignores the last half-century of Supreme Court nondelegation
jurisprudence, apparently viewing these permissive precedents as mere exceptions
to the rule laid down 64 years ago in A.L.A. Schechter Poultry Corp. v.
United States, 295 U.S. 495 (1935). Because section 109's delegation of
authority is narrower and more principled than delegations the Supreme Court
and this court have upheld since Schechter Poultry, and because the record
in this case demonstrates that EPA's discretion was in fact cabined by section
109, I respectfully dissent.
Section 109 requires EPA to publish air quality standards "the attainment
and maintenance of which in the judgment of the Administrator, based on
such criteria and allowing an adequate margin of safety, are requisite to
protect the public health." 42 U.S.C. § 7409(b)(1) (1994). Compare
section 109 to the language of section 303 of the Communications Act of
1934, which gave the FCC authority to regulate broadcast licensing in the
"public interest," and which the Supreme Court sustained in National
Broadcasting Co. v. United States, 319 U.S. 190, 225-26 (1943). The FCC's
general authority to issue regulations "as public convenience, interest,
or necessity requires" was sustained in United States v. Southwestern
Cable Co., 392 U.S. 157, 178 (1968). The Supreme Court has sustained equally
broad delegations to other agencies, including the Price Administrator's
authority to fix "fair and equitable" commodities prices, Yakus
v. United States, 321 U.S. 414, 426-27 (1944), the Federal Power Commission's
authority to determine "just and reasonable" rates, FPC v. Hope
Natural Gas Co., 320 U.S. 591, 600 (1944), the War Department's authority
to recover "excessive profits" earned on military contracts, Lichter
v. United States, 334 U.S. 742, 778-786 (1948), and the Attorney General's
authority to regulate new drugs that pose an "imminent hazard to public
safety," Touby v. United States, 500 U.S. 160, 165 (1991). See also
Milk Indus. Foundation v. Glickman, 132 F.3d 1467, 1475 (D.C. Cir. 1998)
(upholding delegation to Secretary of Agriculture to approve interstate
compacts upon a finding of "compelling public interest").
Given this extensive Supreme Court precedent sustaining general congressional
delegations, no wonder the First Circuit rejected a similar nondelegation
challenge to the Clean Air Act's "requisite to protect the public health"
language:
The power granted to EPA is not "unconfined and vagrant". [Schechter
Poultry, 295 U.S. at 551 (Cardozo, J., concurring).] The Agency has been
given a well defined task by Congress-to reduce pollution to levels "requisite
to protect the public health", in the case of primary standards. The
Clean Air Act outlines the approach to be followed by the Agency and describes
in detail many of its powers. . . . Yet there are many benchmarks to guide
the Agency and the courts in determining whether or not EPA is exceeding
its powers, not the least of which is that the rationality of the means
can be tested against goals capable of fairly precise definition in the
language of science.
Administrative agencies are created by Congress because it is impossible
for the Legislature to acquire sufficient information to manage each detail
in the long process of extirpating the abuses identified by the legislation;
the Agency must have flexibility to implement the congressional mandate.
Therefore, although the delegation to EPA was a broad one, . . . we have
little difficulty concluding that the delegation was not excessive.
South Terminal Corp. v. EPA, 504 F.2d 646, 677 (1st Cir. 1974).
I do not agree with my colleagues that International Union, UAW v. OSHA,
938 F.2d 1310 (D.C. Cir. 1991) ("Lockout/Tagout I"), requires
a different result. That case remanded to OSHA for a more precise definition
of section 3(8) of the Occupational Safety and Health Act, which granted
the Agency authority to enact workplace safety standards "reasonably
necessary or appropriate to provide safe or healthful employment or places
of employment." Id. at 1316. The Clean Air Act does not delegate to
EPA authority to do whatever is "reasonably necessary or appropriate"
to protect public health. Instead, the statute directs the Agency to fashion
standards that are "requisite" to protect the public health. In
other words, EPA must set pollution standards at levels necessary to protect
the public health, whether "reasonable" or not, whether "appropriate"
or not.
Moreover, in setting standards "requisite to protect the public health"
EPA discretion is not unlimited. The Clean Air Act directs EPA to base standards
on "air quality criteria" that "accurately reflect the latest
scientific knowledge useful in indicating the kind and extent of all identifiable
effects on public health or welfare which may be expected from the presence
of such pollutant in the ambient air, in varying quantities." 42 U.S.C.
§ 7408(a)(2); see id. § 7409(b)(1); see also id. § 7408(a)(2)
(requiring air quality criteria, "to the extent practicable,"
to "include information on-(A) those variable factors (including atmospheric
conditions) which of themselves or in combination with other factors may
alter the effects on public health or welfare of such air pollutant; (B)
the types of air pollutants which, when present in the atmosphere, may interact
with such pollutant to produce an adverse effect on public health or welfare;
and (C) any known or anticipated adverse effects on welfare"). Indeed,
the principles constraining EPA discretion are at least as specific as those
this court sustained in Lockout/Tagout II, i.e., that OSHA must identify
a " 'significant' safety risk, to enact a safety standard that provides
'a high degree of worker protection'." International Union, UAW v.
OSHA, 37 F.3d 665, 669 (D.C. Cir. 1994) ("Lockout/ Tagout II").
By directing EPA to set NAAQS at levels "requisite"-not reasonably
requisite-to protect the public health with "an adequate margin of
safety," the Clean Air Act tells EPA exactly the same thing, i.e.,
ensure a high degree of protection.
Although this court's opinion might lead one to think that section 109's
language permitted EPA to exercise unfettered discretion in choosing NAAQS,
the record shows that EPA actually adhered to a disciplined decisionmaking
process constrained by the statute's directive to set standards "requisite
to protect the public health" based on criteria reflecting the "latest
scientific knowledge." To identify which health effects were "significant
enough" to warrant protection, EPA followed guidelines published by
the American Thoracic Society. See National Ambient Air Quality Standards
for Ozone: Proposed Decision, 61 Fed. Reg. 65,716, 65,722/1 (1996). It then
set the ozone and fine particle standards within ranges recommended by CASAC,
the independent scientific advisory committee created pursuant to section
109 of the Act. See 42 U.S.C. § 7409(d)(2).
CASAC must consist of at least one member of the Nation- al Academy of Sciences,
one physician, and one person representing state air pollution control agencies.
See id. § 7409(d)(2)(A). In this case, CASAC also included medical
doctors, epidemiologists, toxicologists and environmental scientists from
leading research universities and institutions throughout the country. EPA
must explain any departures from CASAC's recommendations. See id. §
7607(d)(3). Bringing scientific methods to their evaluation of the Agency's
Criteria Document and Staff Paper, CASAC provides an objective justification
for the pollution standards the Agency selects. Cf. Daubert v. Merrell Dow
Pharmaceuticals, Inc., 509 U.S. 579, 593 (1993) ("'Scientific methodology
today is based on generating hypotheses and testing them to see if they
can be falsified; indeed, this methodology today is what distinguishes science
from other fields of human inquiry.'") (citation omitted). Other federal
agencies with rulemaking responsibilities in technical fields also rely
heavily on the recommendations, policy advice, and critical review that
scientific advisory committees provide. See, e.g., 21 U.S.C. § 355(n)
(describing scientific advisory panels for the Food and Drug Administration);
49 U.S.C. § 44912(c) (creating a scientific advisory panel for the
Federal Aviation Administration).
Beginning with CASAC's ozone recommendations- not one member recommended
going below .08 ppm- EPA gave two perfectly rational explanations for the
level it selected. First, it set the annual level based on the different
types of health effects observed above and below .08 ppm. Particularly below
.08, the Agency determined, "[t]he most certain [ozone-]related effects,
while judged to be adverse, are transient and reversible." National
Ambient Air Quality Standards for Ozone, 62 Fed. Reg. 38,856, 38,868/2 (1997)
(emphasis added). Characterizing this explanation as saying nothing more
than that "lower exposure levels are associated with lower risk to
public health," Maj. Op. at 10, my colleagues find the Agency's reasoning
unintelligible. But EPA did not find simply that public health risks decrease
at lower levels. Instead, it found that public health effects differ below
.08 ppm, i.e., that they are "transient and reversible."
Second, EPA explained that the level should not be set below naturally occurring
background ozone concentrations. The Agency selected .08 ppm because it
found that "a 0.07 ppm level would be closer to peak background levels
that infrequently occur in some areas due to nonanthropogenic sources of
[ozone] precursors, and thus more likely to be inappropriately targeted
in some areas on such sources." 62 Fed. Reg. at 38,868/3. Of course,
any level of ozone pollution above background concentrations is closer to
background levels than one just above it. See Maj. Op. at 11. But as I read
EPA's explanation, the Agency found that peak background levels sometimes
occur at .07 ppm, not at .08 ppm. Indeed, the data EPA provided in its "Responses
to Significant Comments" show a range of background concentrations
from a low of .042 ppm in Olympic National Park in Washington to a high
of .075 ppm in Quachita National Forest in Arizona. No region registered
background levels above .075 ppm. See U.S. ENVIRONMENTAL PROTECTION AGENCY,
RESPONSES TO SIGNIFICANT COMMENTS ON THE 1996 PROPOSED RULE ON THE NATIONAL
AMBIENT AIR QUALITY STANDARDS FOR OZONE 94-96 (July 1997). In other words,
by setting the annual standard at .08 rather than .07 ppm, EPA ensured that
if a region surpasses the ozone standard, it will do so because of controllable
human activity, not because of uncontrollable natural levels of ozone.
EPA offered an equally reasonable explanation for the fine particle pollution
standard. Again limiting itself to the range approved by CASAC, EPA set
the annual standard for PM2.5 pollution at the lowest level where it had
confidence that the epidemiological evidence (filtered through peer-reviewed,
published studies) displayed a statistically significant relationship between
air pollution and adverse public health effects.
Recognizing that its decision must "accurately reflect the latest scientific
knowledge useful in indicating the kind and extent of all identifiable effects
on public health," 42 U.S.C. § 7408(a)(2), EPA focused on three
studies in the record that displayed a statistically significant relationship
between fine particle pollution and adverse health effects: Joel Schwartz
et al., Is Daily Mortality Associated Specifically with Fine Particles?,
46 J. AIR & WASTE MGMT. ASS'N 927 (1996); Joel Schwartz et al., Acute
Effects of Summer Air Pollution on Respiratory Symptom Reporting in Children,
150 AM. J. RESPIRATORY & CRITICAL CARE MED. 1234 (1994); and Douglas
W. Dockery et al., An Association between Air Pollution and Mortality in
Six U.S. Cities, 329 NEW ENG. J. MED. 1753 (1993). The Agency explained
that "there is generally greatest statistical confidence in observed
associations [between fine particle pollution and adverse health effects]
for levels at and above the mean concentration [of pollution observed in
the studies that showed a statistically significant relationship]."
National Ambient Air Quality Standards for Particulate Matter, 62 Fed. Reg.
38,652, 38,676/1 n.42 (1997) (emphasis added). Allowing "an adequate
margin of safety," EPA then set the annual fine particle standard just
below the lowest mean pollution levels observed in those studies, at 15
µg/m3. See id. at 38,676/1 ("An examination of the long-term
means from the combined six city analyses of daily mortality [Schwartz et
al. (1996)] and morbidity [Schwartz et al. (1994)], together with those
from studies in individual cities for which statistically significant PM-effects
associations are reported . . . finds mean concentrations ranging from about
16 to about 21 µg/m3. . . ."); id. at 38,676/2 ("[The EPA]
Staff Paper assessment of the concentration-response results [from Dockery
et al. (1993)], concluded that the evidence for increased risk was more
apparent at annual concentrations at or above 15 µg/m3. . . .").
In a passage directly answering this court's concerns, see Maj. Op. at 11-12,
the Staff Paper explained why the long-term mean served as a reasonable
level for setting the fine particle NAAQS:
The mean (or median) concentration may serve as a reasonable cutpoint of
increased PM health risk since at this point there is generally the greatest
confidence (i.e., the smallest confidence intervals) in the association
and the reported [relative risk] estimates. The mean concentration considered
by staff as most informative to test implications of potential alternative
concentration-response functions is the minimum mean concentration associated
with a study or studies reporting statistically significant increases in
risk across a number of study locations. . . .
OFFICE OF AIR QUALITY PLANNING AND STANDARDS, U.S. ENVIRONMENTAL PROTECTION
AGENCY, REVIEW OF NATIONAL AMBIENT AIR QUALITY STANDARDS FOR PARTICULATE
MATTER: POLICY ASSESSMENT OF SCIENTIFIC AND TECHNICAL INFORMATION, at E-4
(1996) (emphasis added).
EPA thus did not, as my colleagues charge, arbitrarily pick points on the
ozone and particulate pollution continua indistinguishable from any other.
Instead, acting pursuant to section 109's direction that it establish standards
that, based on the "latest scientific knowledge" are "requisite"
to protect the public health with "an adequate margin of safety,"
and operating within ranges approved by CASAC, the Agency set the ozone
level just above peak background concentrations where the most certain health
effects are not transient and reversible, and the fine particle level at
the lowest long-term mean concentration observed in studies that showed
a statistically significant relationship between fine particle pollution
and adverse health effects. Whether EPA arbitrarily selected the studies
it relied upon or drew mistaken conclusions from those studies (as petitioners
argue), or whether EPA failed to live up to the principles it established
for itself (as my colleagues believe, see Maj. Op. at 9-12), has nothing
to do with our inquiry under the nondelegation doctrine. Those issues relate
to whether the NAAQS are arbitrary and capricious. See NRDC v. EPA, 902
F.2d 962, 969, 971 (D.C. Cir. 1989). The Constitution requires that Congress
articulate intelligible principles; Congress has done so here.
A final point. Unlike OSHA, which Lockout/Tagout I recognized has authority
to reach into every workplace to dictate what is safe, to impose extensive
civil and criminal penalties, and "to decide which firms will live
and which will die," Lockout/Tagout I, 938 F.2d at 1318, EPA regulates
primarily by setting standards for states to develop their own plans. See
42 U.S.C. § 7401(a)(3) (Congress finds "that air pollution prevention
. . . and air pollution control at its source is the primary responsibility
of States and local governments."). Indeed, because states have three
years to submit implementation plans, which are themselves subject to notice,
comment, public hearing, and frequent renegotiation, we will not know for
years precisely how the ozone and particle NAAQS will actually affect individual
businesses. Only if a state fails to produce an acceptable plan can EPA
terminate federal highway funds or impose its own implementation plan. Because
the Clean Air Act gives politically accountable state governments primary
responsibility for determining how to distribute the burdens of pollution
reduction and therefore how the NAAQS will affect specific industries and
individual businesses, courts have less reason to second-guess the specificity
of the congressional delegation. Moreover, if the states disagree with the
standards EPA has set, they have 535 representatives in Congress to turn
to for help. In fact, legislation to overturn the very NAAQS at issue in
this case was introduced in the last Congress. See H.R. 1984, 105th Cong.
(1997) ("A bill to provide for a four-year moratorium on the establishment
of new standards for ozone and fine particulate matter under the Clean Air
Act, pending further implementation of the Clean Air Act Amendments of 1990,
additional review and air quality monitoring under that Act."); S.
1084, 105th Cong. (1997) ("A bill to establish a research and monitoring
program for the national ambient air quality standards for ozone and particulate
matter and to reinstate the original standards under the Clean Air Act,
and for other purposes.").
APPENDIX B
UNITED STATES COURT OF APPEALS
FOR THE DISTRICT OF COLUMBIA CIRCUIT
No. 97-1440
AMERICAN TRUCKING ASSOCIATIONS, INC., ET AL., PETITIONERS
v.
UNITED STATES ENVIRONMENTAL PROTECTION AGENCY, RESPONDENT
COMMONWEALTH OF MASSACHUSETTS, ET AL., INTERVENORS
Nos. 97-1440, 97-1546, 97-1548, 97-1551 to 97-1553,
97-1555, 97-1559, 97-1561, 97-1562, 97-1565, 97-1567,
97-1571, 97-1573, 97-1574, 97-1576, 97-1578, 97-1579,
97-1582,97-1585 to 97-1588, 97-1592,
97-1594, 97-1596 to 97-1598
Nos. 97-1441, 97-1502, 97-1505, 97-1508 to 97-1510, 97-1512 to 97-1514,
97-1518, 97-1519, 97-1526, 97-1531, 97-1539, 97-1566, 97-1568, 97-1570,
97-1572, 97-1575, 97-1584, 97-1589, 97-1591, 97-1595, 97-1619
[Filed October 29, 1999]
BEFORE: WILLIAMS, GINSBURG, AND TATEL, Circuit Judges.
Opinion PER CURIAM on petitions for rehearing.
Opinion concurring in partial grant of rehearing and dissenting in part
from the panel's denial of rehearing filed by Circuit Judge TATEL.
ORDER
PER CURIAM
This matter is before the court for consideration of respondent Environmental
Protection Agency's (EPA) petition for panel rehearing in Nos. 97-1440 and
97-1441, the responses thereto, and the petitions for panel rehearing of
intervenors-respondents New Jersey and Massachusetts in Nos. 97-1440 and
97-1441, Citizen for Balanced Transportation, et al. in No. 97-1440, and
the American Lung Association in Nos. 97-1440 and 97-1441. Upon consideration
of the foregoing, it is
ORDERED that the petitions of EPA, New Jersey and Massachusetts, and the
American Lung Association be granted in part. The court accordingly modifies
Parts III.A.2 & .3 and the conclusion of the court's original opinion
as set forth in the opinion of the court filed herein this date. It is
FURTHER ORDERED that the remainder of EPA, New Jersey and Massachusetts,
and the American Lung Association's petitions be denied and that Citizen
for Balanced Transportation's petition be denied.
Opinion for the Court filed PER CURIAM:
The Environmental Protection Agency petitions for rehearing, challenging
this court's holdings that: (1) with respect to the factors the agency uses
to determine the degree of public health concern associated with different
levels of a pollutant, it "appears to have articulated no 'intelligible
principle' to channel its application of these factors; nor is one apparent
from the statute," American Trucking Ass'ns v. United States Environmental
Protection Agency, 175 F.3d 1027, 1034 (D.C. Cir. 1999); (2) "Subpart
2, not Subpart 1, provides the classifications and attainment dates for
any areas designated nonattainment under a revised primary ozone NAAQS,
and the EPA must enforce any revised primary ozone NAAQS under Subpart 2,"
id. at 1050; and (3) "EPA must consider positive identifiable effects
of a pollutant's presence in the ambient air in formulating air quality
criteria under § 108 and NAAQS under § 109," id. at 1052.
For the following reasons, we grant the petition for rehearing in part and
deny it in part.
I. Delegation
In the EPA's petition for rehearing, counsel for the agency argue that §
109 of the Clean Air Act contains the following principle limiting the agency's
discretion: "The levels [set in a NAAQS] must be necessary for public
health protection: neither more nor less stringent than necessary, but 'requisite.'"
EPA Pet. at 8 (emphases in original). Further, counsel claim that in setting
the NAAQS at issue in this case the agency applied corollaries of this principle,
one for particulate matter, one for ozone,1 to derive determinate standards.
In denying the EPA's petition for rehearing on this issue, we note that
the agency previously put forward neither the assertedly intelligible principle
its counsel now claim to find in the statute nor the corollaries its counsel
now implicitly derive therefrom. To be sure, in the rulemakings that set
the NAAQS, the EPA mentioned the corollary propositions its counsel now
claim served as intelligible limiting principles, but the agency did not
identify either as a limit upon its discretion; the EPA never suggested
that it could not (or in a later rulemaking would not) base a NAAQS upon
evidence that did not meet the 95 percent confidence level or that revealed
adverse but transient effects.2 In its briefs defending the NAAQS, the EPA
merely asserted that the Clean Air Act provides an intelligible principle;
it failed both to state that principle and to argue that its revised NAAQS
were promulgated in accordance with that principle. EPA PM Brief at 145-49;
EPA Ozone Brief at 77-80. Indeed, the EPA's briefs in each of these two
cases contained the same four sentences assuring the court that the statute
provides a principle without explaining what the agency understands that
principle to be:
[Section] 109(b)(1) requires EPA to promulgate NAAQS based on air quality
criteria issued under § 108 that are "requisite to protect the
public health" with "an adequate margin of safety." This
language and related legislative history provide directions for EPA to follow
in setting the NAAQS. Moreover, EPA has consistently interpreted §
109(b)(1) to provide further decisionmaking criteria to guide the standard
setting process. Thus, the CAA provides a more than sufficient "intelligible
principle" to guide EPA's discretion. EPA Ozone Brief at 78; see also
EPA PM Brief at 148.
These sentences begged the key question about that intelligible principle:
"What is it?"
As we noted in our first opinion in this case, when "statutory language
and an existing agency interpretation involve an unconstitutional delegation
of power, but an interpretation without the constitutional weakness is or
may be available, our response is not to strike down the statute but to
give the agency an opportunity to extract a determinate standard on its
own." 175 F.3d at 1038. Counsel for the EPA have now extracted from
the statute what they contend is an intelligible principle limiting the
EPA's discretion. We express no opinion upon the sufficiency of that principle;
only after the EPA itself has applied it in setting a NAAQS can we say whether
the principle, in practice, fulfills the purposes of the nondelegation doctrine.
See Yakus v. United States, 321 U.S. 414, 424-26 (1944); Amalgamated Meat
Cutters v. Connally, 337 F. Supp. 737, 759 (D.D.C. 1971) (Leventhal, J.,
for three-judge panel).
A final word about our nondelegation holding: The Supreme Court has long
held that an ambiguous principle in a statute delegating power to an agency
can gain "meaningful content from the purpose of the Act, its factual
background and the statutory context in which [it] appear[s]." American
Power & Light Co. v. SEC, 329 U.S. 90, 104 (1946); see also Federal
Radio Comm'n v. Nelson Bros. Bond & Mort. Co, 289 U.S. 266, 285 (1933)
(upholding delegation to Federal Radio Commission to grant licenses "as
public convenience, interest or necessity requires" in light of "its
context [and] the nature of radio transmission and reception"; Fahey
v. Mallonee, 332 U.S. 245, 250 (1947) (upholding delegation to the Federal
Home Loan Bank Board to promulgate regulations for the appointment of a
conservator for savings and loan associations in view of the banking industry's
"well-defined practices for the appointment of conservators").
This court has done the same. See, e.g., National Ass'n of Broadcasters
v. Copyright Royalty Tribunal, 675 F.2d 367, 376 n.12 (1982) (finding an
intelligible principle to guide the tribunal in disbursing cable royalty
fees in "specific statements in the legislative history and in the
general philosophy of the Act itself"); Amalgamated Meat Cutters, 337
F. Supp. at 747-49 (interpreting the Economic Stabilization Act of 1970
in light of "the historic context of government stabilization measures"
in order to "negative[ ] a conclusion that the whole program was set
adrift without a rudder"). To choose among permissible interpretations
of an ambiguous principle, of course, is to make a policy decision, and
since Chevron it has been clear that "[t]he responsibilities for assessing
the wisdom of such policy choices . . . are not judicial ones." Chevron
U.S.A. Inc. v. NRDC, 467 U.S. 837, 866 (1984). Accordingly, just as we must
defer to an agency's reasonable interpretation of an ambiguous statutory
term, we must defer to an agency's reasonable interpretation of a statute
containing only an ambiguous principle by which to guide its exercise of
delegated authority. But see Kenneth Culp Davis, A New Approach to Delegation,
36 U. Chi. L. Rev. 713, 713 (1969) (arguing that "judicial inquiries
[under the nondelegation doctrine] should shift from statutory standards
to admi