Earlier this week, the U.S. Supreme Court handed down its much-anticipated decision in Sackett v. Environmental Protection Agency. In a unanimous decision--key features of which are summarized in a thoughtful post by Nina Mendelson--the Court held that the plaintiff landowner had a right to challenge the Clean Water Act administrative compliance order (ACO) which EPA had issued to it under the Administrative Procedure Act. The Court's opinion is narrowly drawn--in some ways, perhaps, an immediate benefit to EPA and other agencies who regularly issue administrative orders to enforce environmental statutes. At the same time, however, the Sackett decision raises troubling questions regarding the future direction of the law in this area, along with potentially vexing practical difficulties for EPA's enforcement program.
The case certainly could have come out worse. The Supreme Court's opinion avoided all of the plaintiff's constitutional claims, and it contained no discussion of the applicability of its holding to the ACO provisions of other environmental statutes. The decision was remarkably free of rhetorical excess. Moreover, as Justice Ginsberg pointed out in her concurrence, the Court's opinion did not reach the question of whether pre-enforcement judicial review is available to parties who challenge the terms and conditions of ACOs issued under the Clean Water Act. Thus, it is possible that the Sackett decision will be narrowly viewed, in the lower courts, as applying only to challenges to the EPA's jurisdictional authority under the Act--and perhaps only to challenges to EPA assertions that particular parcels of property are "waters of the United States," within the meaning of that statutory phrase.
At the same time, however, the very narrowness of the decision leaves the future of ACOs--a useful and important tool to compel broad compliance with important environmental requirements--very much in doubt. In the wake of Sackett, future judicial challenges to ACOs issued under the Clean Air Act, the Resource Conservation and Recovery Act, the Superfund statute and other federal environmental statutes seem certain to follow. The Court's decision in this case gives little hint as to how they may be resolved.
Moreover, for the reasons I expressed in this space after the case was argued, I fear that this decision will create significant practical difficulties for EPA's enforcement staff. While not all parties who have received Clean Water Act ACOs from EPA will challenge them in court, enough of those entities seem likely to do so that the Agency may largely abandon that mechanism for securing compliance with the statute. In that event, the Agency will be compelled to choose between ignoring a known violation, issuing a warning letter--which, I worry, will have only a minimal impact on a number of Clean Water Act violators--or referring its case to the (also short-staffed) Department of Justice for civil judicial enforcement. The last of these approaches is time-consuming and resource-intensive for all concerned.
Whatever the merits of the Sackett decision, I don’t see it bringing the United States any closer to achieving the "chemical, physical and biological integrity of the Nation's waters" that is the objective of the Clean Water Act.
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Joel A. Mintz | March 24, 2012
Earlier this week, the U.S. Supreme Court handed down its much-anticipated decision in Sackett v. Environmental Protection Agency. In a unanimous decision–key features of which are summarized in a thoughtful post by Nina Mendelson–the Court held that the plaintiff landowner had a right to challenge the Clean Water Act administrative compliance order (ACO) which EPA […]
Nina Mendelson | March 21, 2012
In the Sackett v. EPA decision today, the Supreme Court rejected a broad argument that the Sacketts’ constitutional due process rights had been violated when they could not go to court immediately to challenge an EPA order requiring them to remove fill and replant vegetation on their property. But the Court did hold that under the […]
Sidney A. Shapiro | March 20, 2012
House GOP leaders may vote as early as this week on legislation that would eliminate the Independent Payment Advisory Board (IPAB), a cost-saving measure that was established as part of the national health care reform Congress passed in 2010. House leaders have also attached national restrictions on the right of patients to recover damages for […]
Rena Steinzor | March 20, 2012
This post was written by CPR President Rena Steinzor and CPR Policy Analyst James Goodwin. Earlier today, OIRA Administrator Cass Sunstein released a new memorandum to agencies directing them to consider and account for the “cumulative” costs of their regulations. Attacking the cumulative costs of regulation has been a favored tactic among regulated industries and […]
Sidney A. Shapiro | March 19, 2012
On Tuesday, the House Judiciary committee is marking up the Regulatory Freeze for Jobs Act (H.R. 4078), which would block virtually any “significant regulatory action”—basically, any step toward promulgating any regulation that has a large economic impact or is otherwise controversial— as long as unemployment is over 6 percent. Rather than support initiatives that actually help […]
Daniel Farber | March 12, 2012
A conventional approach to safety is based on the concept of design events. A building code might say, for example, that a building should be able to survive a 7.0 earthquake. This approach has been basic to the regulation of nuclear reactors. As the interim report of the post-Fukushima NRC task force explains: The regulation […]
James Goodwin | March 9, 2012
Inside EPA is reporting that yet another critical EPA rulemaking is now being delayed indefinitely. This time it’s the agency’s rulemaking to codify a draft guidance clarifying whether Clean Water Act protections apply to wetlands and other marginal waters. EPA had projected on its online rulemaking gateway that it expected to issue a proposed rule […]
Sidney A. Shapiro | March 8, 2012
In 1975, Indiana lawmakers joined a small but growing group of state legislatures passing aggressive medical malpractice “reforms.” Indiana’s law capped damages that victims of medical malpractice can recover at $500,000 and eliminated damages for pain-and-suffering altogether, Frank Cornelius, a lobbyist for the Insurance Institute of Indiana, played a role in helping pass this legislation. […]
| March 7, 2012
Last week, the Supreme Court heard oral argument in Kiobel v Royal Dutch Petroleum, the case asking whether corporations can be liable in federal court for violations of international human rights law. In the decision under review, the Second Circuit – unlike every other circuit court to consider the question – had held that they […]