ORDER
Having considered all the briefing filed with regard to defendants’ joint motion to intervene in lawsuit II and motion for order allowing expedited discovery, the Court concludes that this matter is appropriate for submission without oral argument
BACKGROUND
In October 1989, the Arizona Department of Environmental Quality (“ADEQ”) and the City of Phoenix (“City”) filed suit against sixteen separate defendants, seeking to recover approximately $54 million in cleanup costs incurred or to be incurred as a result of the toxic wastes found аt the 19th Avenue Landfill in Phoenix. In July 1990, Judge Copple ruled that the State of Arizona (“State”) must be substituted as plaintiff for ADEQ.
Plaintiffs seek to recover $54 million in cleanup costs pursuant to the Comprehensive Environmental Response, Compensation and Liability Act as amended by the 1986 Superfund Amendments and Reau-thorization Act (collectively “CERCLA”). 42 U.S.C. §§ 9601 et seq.
In the lead case, No. CIV 89-1700-PHX-CAM, in this consolidated matter (“Lawsuit I”), the State of Arizona and the City of Phoenix joined as plaintiffs to seek recovery of costs which eithеr were incurred or were to be incurred in response to the alleged release or threatened release of hazardous substances from the 19th Avenue Landfill. In the second lawsuit, the State of Arizona filed a complaint against the City of Phoenix, State of Arizona v. City of Phoenix, No. CIV 91-0237-PHX-CAM, (“Lawsuit II”). This lawsuit was filed to facilitate the approval of the proposed consent decree between the State and the City. Defendants seek to intervene in this lawsuit.
I. Motion to Intervene
Defendants seek to intervene pursuant to Rule 24 of the Federal Rules of Civil Procedure and § 113(i) of CERCLA, 42 U.S.C. § 9613(i). Rule 24 provides in relevant part:
(a) Intervention of Right. Upon timely application anyone shall be permitted to intervene in an action ... when the applicant claims an interest relating to the property or transaction which is the subject of the action and the applicant is so situated that the disposition of the action may as a practical matter impair or impede the applicant’s ability to protеct that interest, unless the applicant’s interest is adequately represented by existing parties.
(b) Permissive Intervention. Upon timely application anyone may be permitted to intervene in an action ... when an applicant’s claim or defense and the main action have a question of law or fact in common____ In exercising its discretion the court shall consider whether the intervention will unduly delay or prejudice the adjudication of the rights of the original parties.
Defendants also seek to intervene pursuant to § 113(i) of CERCLA, which provides in relevant part:
In any action commenced under this chapter ... in a court of the United States, any person may intervene as matter of right when such person claims an interest relating to the subject of the action and is so situated that the disposition of the action may, as a practical matter, impair or impede the person’s ability to protect that interest, unless the President or the State shows that the person’s interest is adequately represented by existing parties.
42 U.S.C. § 9613®.
A. Intervention as a Matter of Right
Rule 24(a) and § 113(i) differ only in the burden of proof with respect to the adequate representation requirement. Under both sections, a person may intervene as a matter of right if he or she satisfies a four part test: (1) the party’s motion must be timely; (2) the party must assert an interest relating to the property or transaction which is the subject of the action; (3) the party must be so situated that without intervention the disposition of the аction may, as a practical matter, impair or impede its ability to protect its interest; and (4) the party’s interest must not be adequately represented by other parties. County of Fresno v. Andrus,
The timeliness requirement does not appear to be at issue as plaintiffs did not oppose the motion on that ground. The parties, however, dispute the second requirement, which concerns whether defendants have a substantial and legally pro-tectable interest in Lawsuit II.
Any interest that is “direct, non-contingent, substantial and legally protectable” will satisfy the interest requirement. Dilks v. Aloha Airlines,
Defendants seek to intervene in order “to protect their rights with respect to the proposed Consent Decree [between the State and the City] (by which plaintiffs apparently contend defendants will be bound) and to preserve their statutory right to contribution as created by Section 113(f)(1)
Congress designed CERCLA to encourage early settlement by parties potentially responsible for cleanup costs:
CERCLA was designed “to prоtect and preserve public health and the environment.” That Congressional purpose is better served through settlements which provide funds to enhance environmental protection, rather than the expenditure of limited resources on protracted litigation. Without question, Congress passed the SARA amendments to encourage settlements for this very reason.
In re Acushnet River & New Bedford Harbor: Proceedings re Alleged PCB Pollution,
Second, under CERCLA, even “if the set-tlor pays less than its proportionate share of liability, the non-settlors, being jointly and severally liable, must make good the difference.” Id. This risk of disproportionate liability encourages parties to resolve their liability early, lest they be found responsible for amounts not paid by settling defendants.
The Court does not believe that allowing intervention in this matter would be consistent with CERCLA’s joint and several liability scheme and its policy favoring early settlements. In United States v. Beazer East, Inc., 22 Chem.Waste Lit.Rep. 218 (N.D.Ohio 1991), the court, rejecting the Acton, supra, rationale, denied intеrvention because it would encourage recalcitrance by potentially responsible parties (“PRPs”). Id. at 222-23. This court believes that the Beazer rationale is more consistent with CERCLA’s statutory scheme. As the Beazer court stated:
This Court does not find the reasoning of the Acton court persuasive and chooses not to follow the holding in Acton. This Court finds instead, that Beazer does not qualify as a person who has a right to intervene under Section 113(i) of CERC-LA. If this were not the case, parties such as Beazer could refuse to engage in meaningful settlement negotiations regarding clean up and response costs of a hazardous waste site. Then, at the point when a large number of PRPs had agreed to a proposed settlement and such a settlement was ready for the court’s approval, a non-settling party could intervene in the action, cause delays in implementation of the cleanup of the hazardous waste site, and effectively thwart the settlement process. The appropriate avenue for Beazer to pursue was to lodge an objection to the proposed consent decreе, which is what Beazer has in fact done.
Id. at 222-23.
Similarly, the court in United States v. Mid-State Disposal, Inc.,
Intervenors argue that if they are not allowed to intervene they will be prejudiced because they may be found liable for a disproportionate share of the cleanup costs in subsequent cost recovery or contribution actions brought by the government or settling defendants. Protection from contribution actions is а statutory incentive for settlement. After refusing to reach a settlement, inter-venors cannot now claim prejudice because of potential contribution actions against them.
Id. at 577. The Mid-State court also noted that intervention to attack a consent decree would “render the negotiations between the original parties a waste of time and stall the implementation of the remedy designed to benefit the public health and safety at the site.” Id. at 576.
Here, defendants, like the movants in Mid-State, are unwilling or unable to settle. Yеt, they wish to be able to object to the settlement of other parties. This court will not allow defendants to frustrate the settlement process simply because there is a possibility that they may bear a disproportionate liability of the cleanup costs. “Congress explicitly created a statutory framework that left non-settlors at risk of bearing a disproportionate amount of liability.” Cannons,
The Court, in light of CERCLA’s statutory scheme favoring early settlements and joint and several liability, believes that defendants do not have a substantia] and legally protectable interest. At best, defendants have a remote economic interest that is insufficient to support intervention. See New Orleans Public Service v. United Gas Pipe Line,
B. Permissive Intervention
Rule 24(b)(2) gives the court discretion to permit intervention when certain factors are satisfied, provided such intervention will not unduly delay or prejudice the rights of the original parties. Fed. R.Civ.P. 24(b)(2); Spangler v. Pasadena City Board of Education,
When considering a permissive intervention motion, the court generally considers whether the would-be intervenors can demonstrate that an alleged claim or defense and the main action have a common question of fact or law. Fed.R.Civ.P.
For the same reasons that the court was compelled to conclude that it would be inappropriate to permit intervention as of right, the court must also conclude that it is imprudent to allow permissive intervention. That is, allowing intervention would frustratе the CERCLA statutory scheme as it relates to joint and several liability and the encouragement of early settlement. Further, the would-be intervenors are adversaries of both original parties in Lawsuit II; their intervention would only impede or prevent entry of the State-City Consent Decree in Lawsuit II. See Mid-State,
II. Motion for Order Allowing Expedited Discovery
In light of the Court’s conclusion that defendants should not be allowed to intervene in Lawsuit II, this motion appears to be moot for the reasons stated in the previous discussion. However, in the interest of thoroughness, the Court will briefly address defendants’ contentions.
This cаse is divided in three phases for purposes of discovery. Phase I discovery involves liability issues on the complaint and on the counterclaims and cross-claims among the initial parties. Phases II and III essentially involve, respectively, liability issues raised by third-party complaints, and apportionment of response costs under CERCLA.
Despite the well-established discovery procedure, defendants assert that they should be allowed to conduct discovery into certain areas before the Court rules on the proposed State and City Consent Decree. Defendants’ Motion, at 2. The State/City Consent Decree is a part of another matter (CIV No. 91-237-PHX-CAM), which is consolidated with the instant action. Defendants also request the Court to issue substantive rulings on certain issues before ruling on the State/City Consent Decree. Id.
With regard to defendants’ request for discovery, defendants apparently need discovery to support their assertion that the City’s share of responsе costs should be greater than the twenty percent provided for in the State/City Consent Decree. Defendants claim that they need discovery to assess whether the State/City Consent Decree is fair, adequate, reasonable, and consistent with the law.
Before approving a proposed consent decree, a court must satisfy itself that the decree is reasonable, fair, and consistent with the purposes that CERCLA is intended to serve. Cannons,
In reviewing CERCLA consent decrees, courts defer to the judgment of the environmental enforcement agency that negotiates the decree since the agency has the expertise to determine whether the decree will help or hinder the effort. Cannons,
In addition, courts are not requirеd to, and should not, conduct a de novo review of all the facts and circumstances considered by the parties. Though not stated clearly, defendants apparently challenge the “substantive fairness” of the State/ City Consent Decree. The basis for such a challenge is unclear, although it appears that defendants are primarily concerned that the City’s share of the response costs leaves defendants with a disproportionate amount of the liability.
An evidentiary heаring to determine whether to evaluate the allocation of liability is unnecessary and inconsistent with CERCLA policy favoring early settlements. See Kelley v. Thomas Solvent Co.,
Even assuming the requested discovery related to the adequacy of the chosen remedy—which it does not—it is clear that judicial review of the adequacy of the remedy proposed in the State/City Consent Decree is limited to the administrative record. 42 U.S.C. § 9613(j)
Finally, defendants assert that the Court should make a substantive ruling on the divisibility of harm defense before ruling on the proposed State/City Consent Decree. The relevance of this argument is less than clear. Further, even assuming that divisibility of harm was relevant to the decree, it is still unclear how that would prevent this Court from entering the decree.
While the court may use equitable factors to apportion damages in the apportionment phase of the case, this does not negate defendants’ joint and several liability. United States v. Kramer,
CONCLUSION
Based on the foregoing, IT IS ORDERED THAT:
(1) Defendants’ motion to intervene (Doc. # 473) is denied.
(2) Defendants’ motion for order allowing expedited discovery and scheduling of status conference (Doc. # 477) is denied.
Notes
. A district court has the discretion to rule on motions without a hearing. See United States Fidelity and Guaranty Co. v. Lawrenson,
. All references to plaintiffs include the State of Arizona and the City of Phoenix.
. Section 113(f)(1) of CERCLA provides in relevant part:
Any person may seek contribution from any other person who is liable or potentially liable
under Section 9607(a) of this title, during or following any civil action under Section 9606 of this title or under Section 9607(a) of this title.
. In addition, the threat of disproportionate liability and the loss of alleged rights of contribution do not justify rejection of a consent decree. See, e.g., United States v. Cannons Engineering Corp.,
. It should be noted that defendants in this case also have lodged comments to the proposed State-City Consent Decree with the Arizona Department of Environmental Quality and the United States Environmental Protection Agency. Plaintiffs’ Response, at 6 n. 3.
. In light of the Court's conclusion that defendants do not have a substantial and legally pro-tectable interest, the Court sees no need to address the last two intervention of right elements.
. An agency’s determination must be upheld unless it is "arbitrary, capricious and devoid of a rational basis.” Cannons,
. Title 42 U.S.C. § 9613(j) provides in pertinent part:
(1) Limitation
[JJudicial review of any issues concerning the adequacy of any response action taken or ordered by the President shall be limited to the administrative record, (emphasis added).
. Thе House Report relating to Section 113(j), codified at 42 U.S.C. 9613(j), states:
[LJimiting judicial review of response actions to the administrative record expedites the process for review, avoids the need for time-consuming and burdensome discovery, reduces litigation costs, and ensures that the reviewing court’s attention is focused on the criteria used in selecting the response.
H.R.Rep. No. 99-253, 99th Cong., 2d Sess., reprinted in 1986 U.S. CODE CONG. & ADMIN.NEWS 2835, 2863.
. As the D.C. Circuit Court of Appeals noted in discussing a consent decree under the Clean Water Act:
[I]t is precisely the desire to avoid a protracted examination of the parties’ legal rights which underlies consent decrees. Not only the parties, but the general public as well, benefit from the saving of time and money that results from the voluntary settlement of litigation. Thus [v]oluntary settlement of civil controversies is in high judicial favor.
Citizens for a Better Environment v. Gorsuch,
