ORDER
Before the Court is Defendants’ “Joint Motion to Dismiss for Failure to State a Claim Under Rule 12(b)(6).”
I. Background
A. Factual Background
Plaintiff in this matter is the Board of Commissioners of the Southeast Louisiana Flood Protection Authority — East, individually and as the board governing the Orleans Levee District, the Lake Borgne Basin Levee District, and the East Jefferson Levee District.
Defendants are eighty-eight oil and gas companies operating in what Plaintiff refers to as the “Buffer Zone.”
Plaintiff alleges that Defendants’ oil and gas operations have led to coastal erosión in the Buffer Zone, making south Louisiana more vulnerable to severe weather and flooding. According to Plaintiff, “[c]oastal lands have for centuries provided a crucial buffer zone between south Louisiana’s communities and the violent wave action and storm surge that tropical storms and hurricanes transmit from the Gulf of Mexico.”
B. Procedural Background
On July 24, 2013, Plaintiff filed suit in Civil District Court for the Parish of Orleans, State of Louisiana.
... in the form of abatement and restoration of the coastal land loss at issue, including, but not limited to, the backfill-ing and revegetating of each and every canal Defendants dredged, used, and/or for which they bear responsibility, as well as all manner of abatement and restoration activities determined to beappropriate, including, but not limited to, wetlands creation, reef creation, land bridge construction, hydrologic restoration, shoreline protection, structural protection, bank stabilization, and ridge restoration. 21
While Plaintiffs six causes of action are all ostensibly state-law claims, Plaintiff contends that “Defendants’ dredging and maintenance activities at issue in this action are governed by a longstanding and extensive regulatory framework under both federal and state law specifically aimed at protecting against the deleterious effects of dredging activities.”
On August 13, 2013, Defendant Chevron U.S.A. Inc. (“Chevron”) removed the case to federal court.
The Court denied Plaintiffs Motion to Remand on June 27, 2014.
Applying this test, the Court determined that Plaintiffs claims for negligence under Louisiana Civil Code Article 2315, public nuisance under Louisiana Civil Code Article 667, and breach of contract as a third-party beneficiary necessarily raise a federal issue.
The Court then determined that the federal issues identified above are all disputed
On September 5, 2014, Defendants filed the pending “Joint Motion to Dismiss for Failure to State a Claim under Rule 12(b)(6).”
II. Parties’ Arguments
A. Defendants’Arguments in Support
Defendants first argue that Plaintiff has failed to allege a cause-in-fact connecting any act by any Defendant to the alleged damages, “instead alleging that an entire industry is liable for its ‘oil and gas activities.’ ”
Defendants next contend that each of Plaintiffs six causes of action fail to state a claim upon which relief may be granted.
Next, Defendants argue that, under Louisiana law, claims for natural servitude of drain and nuisance
Finally, Defendants argue that Plaintiff has not stated a claim for breach of contract because it is not a third-party beneficiary to any contract with Defendants.
B. Plaintiff’s Arguments in Opposition
Plaintiff argues first that its claims do not rely on enterprise liability theory because:
The Petition contains extensive details about the defendants, including more than 120 pages about each defendant’s activities in the Buffer Zone, including permit numbers, locations, dates, and other information identifying where and when each defendant was involved; the referenced permits and rights-of-way contain detailed information about each defendant’s obligations. 73
According to Plaintiff, the petition is sufficiently pled to survive dismissal at this stage in the litigation.
First, Plaintiff contends that it has stated viable negligence and strict liability claims
Next, Plaintiff argues that natural servitude of drain and nuisance
Finally, Plaintiff avers that it has stated a viable claim for breach of contract as a third-party beneficiary of the obligations undertaken by Defendants in more than 200 permits issued by the Corps and more than 50 right-of-way agreements.
C. Defendants’Arguments in Reply
In response to Plaintiffs memorandum in opposition, Defendants reaver that Plaintiffs claims impermissibly rely on enterprise liability.
Defendants reaver that they do not owe any legal duty that extends so far as protecting Plaintiff from the risk of storm surge or indirect economic injury.
Defendants additionally argue that, while adjacency of estate is not required for some predial servitudes, servitudes arising under Article 667 apply only to “neighbors.”
Finally, Defendants reaver that the permits and rights-of-way at issue do not create contractual rights, and that Plaintiff has failed to allege any contract with the requisite “clear intention” to benefit Plaintiff.
D. Plaintiff’s Supplemental Memorandum in Opposition
Following oral argument on the pending motion, Plaintiff submitted a supplemental memorandum in further opposition to Defendants’ motion to dismiss.
Plaintiff next argues that it is owed a duty of care by Defendants because it, or its predecessors, have operated, maintained, and controlled the levees for more than 100 years.
Finally, Plaintiff argues that the United States Supreme Court’s recent decision in Johnson v. City of Shelby, Miss, “made clear that courts are not to apply the strictures of Bell Atlantic Corp. v. Twombly and Ashcroft v. Iqbal, beyond questions of fact alleged, in motions to dismiss claims based on allegations of the legal basis.
E. Defendants’ Arguments in Further Support
Defendants first contend that Johnson does not alter the pleading standard set forth in Twombly and Iqbal, but rather reaffirms that to “stave off threshold dismissal, a plaintiff must plead facts sufficiently to show that her claim has substantive plausibility.”
Defendants reaver that the Fifth Circuit in Audler held that in order for a federal statute to create a duty in favor of a plaintiff against a defendant, the plaintiff •must be the intended beneficiary — not simply an incidental beneficiary — of the statute.
III. Legal Standards
A. Standard on a Motion to Dismiss Under Rule 12(b)(6)
Federal Rule of Civil Procedure 12(b)(6) provides that an action may be dismissed “for failure to state a claim upon which relief can be granted.”
On a motion to dismiss, asserted claims are liberally construed in favor of the claimant, and all facts pleaded are taken as true.
B. Applying Louisiana Law
When a federal court interprets a state law, it must do so according to the principles of interpretation followed by that state’s highest court.
Defendants move this Court to dismiss each and every claim asserted by Plaintiff in this action. As stated above, Plaintiff brings the following claims: (1) negligence pursuant to Article 2315; (2) strict liability pursuant to Articles 2317 and 2317.1; (3) natural servitude of drain pursuant to Article 656; (4) public nuisance pursuant to Article 667; (5) private nuisance pursuant to Article 667; and (6) breach of contract as a third party beneficiary.
A. Negligence
Article 2315 of the Louisiana Civil Code establishes a general cause of action for negligence: “[e]very act whatever of man that causes damage to another obliges him by whose fault it happened to repair it.”
Literally interpreted, a tortfeasor may be held liable under Article 2315 for any damage remotely caused by his or her fault.
This Court has already opined that “oil and gas companies do not have a duty under Louisiana law to protect members of the public ‘from the results of coastal erosion allegedly caused by [pipeline] operators that were physically and proximately remote from plaintiffs or their property.’ ”
The relevant inquiry under Louisiana law is “whether the enunciated rule or principle of law extends to or is intended to protect this plaintiff from this type of harm arising in this manner.”
When a duty is imposed by statute, the court must attempt to interpret the legislative intent as to the risk contemplated by the legal duty, often resorting to the court’s own judgment of the scope of protection intended by the legislature. The same policy considerations which would motivate a legislative body to impose duties to protect from certain risks are applied by the court in making its determination. Courts consider various policy factors that the legislature might consider, such as whether the imposition of a duty would result in an unmanageable flow of litigation; ease of association between the plaintiffs harm and a defendant’s conduct; economic, social, andmoral implications on similarly situated parties; the nature of defendant’s aetivity; the direction in which society and its institutions are evolving; and precedent. 153
The Louisiana Supreme Court held that although the Amusement Ride Safety Law imposed various duties upon the Department, the duty to inspect rides is only activated once a ride operator requests an inspection. Where an inspection is not requested, the Department’s duty is limited to the issuance and adoption of rules for amusement rides. Therefore, because no inspection was requested, the Department owed no duty to the plaintiff.
The Fifth Circuit has also examined the applicability of a statute in defining the scope of duty under a state law negligence claim. In Audler v. CBC Innovis Inc., a Louisiana homeowner whose property was damaged by floodwaters from Hurricane Katrina brought negligence and negligent misrepresentation claims against CBC In-novis, Inc., the company that provided flood zone determinations to the homeowner’s lender.
Although Congress intended to help borrowers damaged by flooding, the principal purpose in enacting the [NFIA] was to reduce, by implementation of adequate land use controls and flood insurance, the massive burden on the federal fisc of the ever increasing federal flood disaster assistance. Therefore, the purpose of the requirement that a lender obtain a flood zone determination is not to inform the borrower of the home’s flood zone status, but rather to protect the lender and the federal government from the financial risk that is posed by uninsured homes located in flood zones.157
Concluding that the Louisiana Supreme Court would find that the homeowner had not stated a claim for negligence or negligent misrepresentation under Louisiana law, the Fifth Circuit affirmed the district court’s dismissal of those claims.
In this case, as in Cormier and Audler, Plaintiff attempts to demonstrate as a matter of law that the Rivers and Harbors Act, the Clean Water Act, and the Coastal Zone Management Act impose a duty upon Defendants to protect Plaintiff from the harm alleged. However, like in Cormier and Audler, the duties imposed upon Defendants pursuant to those statutes do not extend to the protection of Plaintiff. Although, like the homeowner in Cormier and the plaintiff in Audler, Plaintiff may derive some benefit from Defendants’ compliance with those statutes, Plaintiff is not an intended beneficiary under any of them.
First, the principal purpose in enacting the Rivers and Harbors Act was to facilitate the federal government’s ability to- ensure that navigable waterways, like any other routes of commerce over which it has assumed control, remain free of obstruction.
Plaintiff argues that a levee operator is a member of the class for whose benefit § 408 was enacted. The only authority that Plaintiff cites for this argument is U.S. and City of Dallas v. City of Irving, a 1979 decision from the Northern District of Texas that is not binding authority on this Court. In that case, the United States and the City of Dallas brought a lawsuit against the City of Irving, alleging that Irving’s landfill operations violated section 408. The court held, without further explanation, that “Dallas, as the owner and operator of levees built by the United States to prevent floods, is a member of the class for whose benefit Section 408 was enacted.”
Similarly, Plaintiff has not demonstrated that Congress intended the Clean Water Act to create a legal duty in favor of Plaintiff or its predecessor levee districts. The Clean Water Act is a comprehensive statutory regime designed “to restore and maintain the chemical, physical, and bio-
Plaintiff alleges that these permits impose upon Defendants a duty to “[m]ain-tain canals and other physical alterations as originally proposed; [r]estore dredged or otherwise modified areas to their natural state upon completion of their use- or their abandonment; and [m]ake all reasonable efforts to minimize the environmental impact of Defendants’ activities.”
Finally, Plaintiff has not demonstrated that the Coastal Zone Management Act imposes a duty upon Defendants for the benefit of Plaintiff. The United States Supreme Court has stated that “[The Coastal Zone Management Act] has as its main purpose the encouragement and assistance of States in preparing and implementing management programs to preserve, protect, develop and whenever possible restore the resources of the coastal zone of the United States.”
Plaintiff cites a number of cases purporting to establish that Louisiana courts have found a duty under state law by applying standards of care articulated in federal statutes and regulations.
Plaintiff additionally relies on Terrebonne Parish Sch. Bd. v. Columbia Gulf Transmission Co. for the argument that the failure to maintain oilfield canals implicates an Article 2315 duty.
The Court does not read Columbia Gulf Transmission to stand for the broad proposition that Plaintiff advances. The duty of two specific pipeline companies to maintain canals on specific property vis a vis a specific lessor, combined with Louisiana’s suppletive rules of property law,
It is not enough for Plaintiff to assert that it is a beneficiary of the federal statutes at issue.
B. Strict Liability
Plaintiff seeks injunctive relief and damages under a theory of strict liability pursuant to Articles 2317 and 2317.1.
Under Louisiana Civil Code article 2317, “[w]e are responsible, not only for the damage occasioned by our own act, but for that which is caused by the act of persons for whom we are answerable, or of the things which we have in our custody.” In 1996, the Louisiana legislature adopted Article 2317.1, which significantly modified. Article 2317’s imposition of liability by providing in pertinent part that:
[t]he owner or custodian of a thing is answerable for damage occasioned by its ruin, vice, or defect, only upon a showing that he knew or, in the exercise of reasonable care, should have known of the ruin, vice, or defect which caused the damage, that the damage could have been prevented by the exercise of reasonable care, and that he failed to exercise such reasonable care.181
The adoption of Article 2317.1 appears to have eliminated the distinction between strict liability under Article 2317 and negligence under Article 2315.
In essence, the only difference between the negligence theory of recovery andthe strict liability theory of recovery is that the plaintiff need not prove the defendant was aware of the existence of the “defect” under a strict liability theory. Under the negligence theory, it is the defendant’s awareness of the dangerous condition of the property that gives rise to a duty to act. Under a strict liability theory, it is the defendant’s legal relationship with the property containing a defect that gives rise to the duty. Under both theories, the absence of an unreasonably dangerous condition of the thing implies the absence of a duty on the part of the defendant. 183
After the adoption of Article 2817.1, the Louisiana Supreme Court reiterated that “the sole distinction between the burden of proof necessary to recover under a negligent action based on La. Civ.Code arts, [sic] 2315 versus a strict liability action based on La. Civ.Code art. 2817 was that in the former the plaintiff had the additional burden of proving the defendant’s scienter, i.e., that the defendant ‘knew or should have known’ of the defect.”
Further demonstrating the application of Article 2317.1, the Louisiana Supreme Court appears to analyze actions arising under Articles 2317 and 2317.1 under the same duty-risk analysis as is used with respect to negligence claims arising under Article 2315. For example, in Bufkin v. Felipe’s Louisiana, LLC, the Louisiana Supreme Court applied Articles 2317 and 2317.1 to determine whether a building contractor breached any legal duty owed to a pedestrian crossing a street next to the contractor’s dumpster, who was struck by an oncoming bicycle.
This Court has already determined that Defendants do not owe a legal duty to Plaintiff, arising under either Louisiana
C. Natural Servitude of Drain
Plaintiff next alleges that Defendants have interfered with a natural servitude of drain in violation of Article 656.
Additionally, in general, the two immovables that constitute the two estates need not be contiguous or within any given proximity.
A natural servitude of drain is established under Louisiana Civil Code articles 655 and 656. According to Article 655, an estate situated below “is bound to receive the surface waters that flow naturally from an estate situated above unless an act of man has created the flow.”
The person who claims a servitude of drain has the burden of proving by a preponderance of the evidence that his estate is higher than that of his neighbor. However, Article 655 does not require that the dominant estate be overall higher than the servient estate. The natural servitude of drain follows individual patterns along particular points of the boundary, namely, it attaches to points at which one estate is higher than the other.203
The question of whether an estate is dominant or servient is one of fact and can be established by all means of evidence, including expert testimony.
Defendants argue that Plaintiffs natural servitude of drain claim fails as a matter of law because Plaintiff has not alleged that it owns property adjacent to property owned by any Defendants, or that the dominant and servient estates are “sufficiently close that water flows from a higher estate to another that is lower.”
Plaintiff cites only two cases in support of its argument that the servient and dominant estates need not be contiguous.
In Maddox v. Int’l Paper Co., decided by the Western District of Louisiana in 1942, the owner of a fishing business filed a lawsuit pursuant to Article 2315 against a mill operator located thirty miles away for releasing waste material into a stream that fed directly into Bodcaw Bayou.
Both Young and Maddox are distinguishable from the instant case. First, there was no question in either case as to the relative positions of the dominant and servient estates because, in both cases, the plaintiffs estate was located downstream from the defendant mill operator. Here, in contrast, it is unclear whether the Defendants’ estates are “situated above” the Plaintiffs estate, and Plaintiff does not so allege.
Plaintiff additionally relies on Poole v. Guste to support its argument that a natural servitude of drain may exist on tidal lands.
Plaintiff contends that Poole establishes that a servitude may exist on tidal lands because, in that case, the drainage over the dominant estate included “tidal overflow” from a canal to the south and a natural creek to the west of the property.
Plaintiff cites no case law, nor can the Court locate any, where the Louisiana Supreme Court has found a natural servitude of drain under similar facts as the instant case. Plaintiff essentially urges this Court to expand Louisiana law by finding that a natural servitude of drain may exist between non-adjacent estates with respect to coastal storm surge. However, neither the codal articles nor the case law supports such a finding. If Articles 655 and 656 are to be expanded to include the circumstances presented in the instant case, such an undertaking must come from the legislature as the primary source of Louisiana law or from the Louisiana Supreme Court as a secondary source of law, not from a federal district court.
D. Public and Private Nuisance
Neither party addresses or analyzes Plaintiffs public and private nuisance claims separately. Rather, both Plaintiff and Defendants appear to urge the Court to apply their Article 667 arguments to both claims.
Under Louisiana law, the owner of immovable property, or a person deriving rights from the owner, generally has the right to use the property as he or she pleases.
Before 1996, Article 667 provided that: “[a]lthough a proprietor may do with his estate what he please, still he can not [sic] make any work on it, which may deprive his neighbor of the liberty of enjoying his own, or which may be the cause of any damage to him.” Louisiana courts interpreted Article 667 to impose strict liability — that is, liability without fault — on defendants for damage caused by an activity deemed “ultrahazardous.”
Although a proprietor may do with his estate whatever he pleases, still he cannot make any work on it, which may deprive his neighbor of the liberty of enjoying his own, or which may be the cause of any damage to him. However, if the work he makes on his estate deprives his neighbor of enjoyment or causes damage to him, he is answerable for damages only upon a showing that he knew or, in the exercise of reasonable care, should have known that his works would cause damage, that the damage could have been prevented by the exercise of reasonable care, and that he failed to exercise such reasonable care. Nothing in this Article shall preclude the court from the application of the doctrine of res ipsa loquitur in an appropriate case. Nonetheless, the proprietor is answerable for damages without regard to his knowledge or his exercise of reasonable care, if the damage is caused ' by an ultrahazardous activity. An ultra-hazardous activity as used in this Article is strictly limited to pile driving or blasting with explosives.236
The Louisiana Supreme Court has held that the 1996 amendments to Article 667 “shift[ ] the absolute liability standard to a negligence standard similar to that set forth in La. C.C. art. 2317.1.”
The 1996 amendments to article 667 did not change who could be held liable under the article, namely, the “proprietor”; rather, it changed the theory of liability under which the proprietor could be held responsible. As a result, in order for a proprietor/landowner to be held responsible for damages allegedly caused by works or actions on his property, it must be shown that the proprietor/landowner knew or should have known that the “works” on his property would cause damage, and that the damage could havebeen prevented by the exercise of reasonable care. 238
In Brown v. Olin Chemical Corp., the United States Court of Appeals for the Fifth Circuit opined that the 1996 amendment to Article 667 applies to Articles 668 and 669 as well, “so that stating a claim under one or more of these articles now requires a showing of negligence.”
Accordingly, as another court in this district has stated, “liability under article 667 has always required three elements: (1) a proprietor (2) who conducts Vork’ on his property (3) that causes damage to his neighbor. For actions accruing after 1996, a fourth element — negligence—must also be shown, except for damages resulting from pile driving or blasting with explosives.”
Plaintiffs public and private nuisance claims, including those, if any, that accrued before 1996, fail for the additional reason that Plaintiff has not sufficiently alleged that it is a “neighbor,” within any conventional sense of the word, to any property of Defendants. Louisiana courts have interpreted “neighbor,” as articulated in Article 667, to contemplate estates that are physically close to one another. Similarly, the Fifth Circuit has determined that “[a]lthough courts and' commentators disagree about the nature of the interest that a plaintiff must have to bring an action under art. 667, all appear to agree that the plaintiff must have some interest in an immovable near the defendant-proprietor’s immovable.”
In Barasich, which was before another court in this District on a Rule 12(b)(6) motion to dismiss, the court stated that “[plaintiffs’ Article 667 claim fails because they do not demonstrate that the ‘neighbor’ referred to in Article 667 could be a party whose property is physically remote from that of the defendants.”
In this case, Plaintiff alleges that Defendants’ oil and gas operations have led to coastal erosion in the “Buffer Zone,” which “extends from East of the Mississippi River through the Breton Sound Basin, the Biloxi Marsh, and the coastal wetlands of eastern New Orleans and up to Lake St. Catherine.”
E. Breach of Contract — Third Party Beneficiary
As this Court has previously determined, federal common law controls the interpretation of the permits at issue, which were granted by the United States to Defendants pursuant to federal law.
Plaintiff characterizes at least some of the dredging permits at issue as “contracts” between Defendants and the United States Army Corps of Engineers, but fails to present any authority suggesting that a dredging permit issued by the federal government is a contract. Plaintiff nevertheless asks the Court to conclude that the permits constitute an obligation between a promisee (Defendants) and a promisor (the United States Government through the Corps) to “maintain and restore,” and that Plaintiff is a third-party beneficiary of that obligation.
According to Black’s Law Dictionary, a permit is “[a] certificate evidencing permission; a license.”
Even if the permits were construed as contracts, however, Plaintiff has not and cannot establish that it is an intended third party beneficiary under the terms of the permits. To enforce a con
(a) the terms of the promise provide for such liability; or (b) the promisee is subject to liability to the member of the public for the damages and a direct action against the promisor is consistent with the terms of the contract and with the policy of the law authorizing the contract and prescribing remedies for its breach.263 Therefore, where neither prong of the Restatement test is met, any beneficiaries of a government contract are merely incidental beneficiaries.
Plaintiff has not pointed to any language within the permits indicating that it was intended to benefit from the contract.
V. Conclusion
Accordingly,
IT IS HEREBY ORDERED that Defendants’ “Joint Motion to Dismiss for Failure to State a Claim Under Rule 12(b)(6)”
Notes
. Rec. Doc. 427..
. Rec. Doc. 1-2 at p. 2.
. 2006 La. Sess. Law. Serv. 1st Ex. Sess. Act 1 (S.B. 8) (West) (codified at La.Rev.Stat. § 38:330.1(F)(2)(a)).
. Rec. Doc. 1-2 at p. 5.
. Plaintiff initially named 149 defendants. See id. at pp. 25-34. However, only 88 defendants remain in this litigation.
. Id. at p. 7.
. Id. at p. 2.
. Id.
. Id. at p. 9.
. Id.
. Id. at p. 11.
. Id.
. Id. at p. 10.
. Id. at p. 1.
. Id. at p. 17.
. Id. at p. 18.
. Id. at p. 19.
. Id. at p. 20.
. Id. at p. 21.
.Id. at p. 22.
. Id. at p. 23.
. Id. at p. 16.
. Id.
. Id.
. Id.
. Id. at p. 17.
. Id. at p. 16.
. Id. at p. 17.
. Id.
. Rec. Doc. 1.
. Rec. Doc. 70.
. Rec. Doc. 260.
. Rec. Doc. 254.
. Rec. Doc. 258.
. Rec. Doc. 262.
. Rec. Doc. 263.
. Rec. Doc. 264.
. Rec. Doc. 265.
. Rec. Doc. 266.
. Rec. Doc. 268.
. Rec. Doc. 292.
. Rec. Doc. 363.
. Id. at p. 83.
. See id. at pp. 66-75.
. See id. at p. 75.
. See id. at pp. 76-82.
. See id. at pp. 82-83.
. See id.
. Rec. Doc. 427.
. Rec. Doc. 446.
. Rec. Doc. 469.
. Rec. Doc. 487.
. Rec. Doc. 490.
. Rec. Doc. 482.
. Rec. Doc. 427-1 at p. 12.
. Id. at pp. 13-14 (citing, e.g., Barasich v. Columbia Gulf Transmission Co.,
. Id. at p. 15.
. Defendants do not conduct separate analy-ses for Plaintiff's negligence and strict liability claims.
. Rec. Doc. 427-1 at p. 17-18 (citing Barasich,
. Id. at p. 19.
. Id.
. Id. at pp. 23-24.
. Defendants do not conduct separate analy-ses for Plaintiff's private nuisance and public nuisance claims, but rather refer to both claims as “nuisance.”
. Id. at pp. 25-26.
. Id. at p. 25.
. Id. at p. 30 (citing La. Civ Code arts. 646, 650).
. Id. (citing Poole v. Guste,
. Id. at p. 31.
. Id. (citing Toye Bros. Yellow Cab Co. v. Coop. Cab Co.,
. Id. at p. 32.
. Id.
. Id. (citing City of Shreveport v. Gulf Oil Corp.,
. Rec. Doc. 446 at pp. 10-11.
. Id. at p. 13 (citing Moore v. BASF Corp., No. 11-1001,
. Plaintiff does not conduct separate analyses for its negligence and strict liability claims.
. Id. (distinguishing Caldwell v. Let the Good Times Roll Festival, 30-800,
. Id. at p. 18.
. Id. at p. 17.
. Id. at pp. 18-19 (citing PPG Indus., Inc. v. Bean Dredging,
. Plaintiff does not conduct separate analyses for its private nuisance and public nuisance claims, but rather refers to both claims as "nuisance.”
. See id. at pp. 20-21.
. Id. at p. 20 (citing La. Civ.Code art. 648); Id. (citing Young v. International Paper Co.,
. Id. at p. 26 (citing Gulf Ins. Co. v. Employers Liab. Assurance Corp.,
. Id. at p. 21 (citing Petition at ¶ 22) (citing Tool House, Inc. v. Tynes,
. Id. at p. 22.
. Id. at pp. 22-23 (citing Poole v. Guste,
. Rec. Doc. 446 at p. 27.
. Id. at pp. 28-29 (citing La. Civ.Code art. 1756; Hargroder v. Columbia Gidf Transmission Co.,
. Id. at pp. 30-31 (citing Andrepont v. Acadia Drilling Co.,
. Id. (citing Andrepont v. Acadia Drilling Co.,
. Rec. Doc. 469 at p. 7.
. Id. at p. 8.
. Id. at pp. 9-10 (citing Maw Enterprises, L.L.C. v. City of Marksville, No. 2014-0090,
. Id. at p. 11 (citing Hill v. Lundin & Assoc., Inc.,
. Id. at p. 12 (citing Wyandotte Transp. Co. v. United States,
. Id. at pp. 12-13.
. Id. at p. 13.
. Id. at p. 14.
. Id.
. Id. at p. 15.
. Id. at p. 16.
. Id. at n. 29.
. Rec. Doc. 487.
. Id. at p. 3 (citing Terrebonne Parish Sch. Bd. v. Columbia Gulf Transmission Co.,
. Id. at p. 4 (citing Langlois v. Allied Chem. Corp.,
. Id. (citing Lowe v. General Motors Corp.,
. Id. at p. 6.
. Id. at p. 7.
. Id. at pp. 7-8 (citing La.Rev.Stat. § 38:330.1(F)(2)(a)).
. Id. at p. 8 (citing Johnson v. City of Shelby, Miss., - U.S. -,
. Id.
. Rec Doc. 488-2 at p. 1 (citing Johnson v. City of Shelby, Miss., - U.S. -,
. Id. at p. 2 (citing Barasich,
. Id. (distinguishing Terrebonne Parish Sch. Bd. v. Columbia Gulf Transmission Co.,
. Id. (citing Audler v. CBC Innovis Inc.,
. Id.
. Id. (citing Cormier v. T.H.E. Ins. Co., No. 98-2208,
. Fed.R.Civ.P. 12(b)(6).
. Ashcroft v. Iqbal,
. Twombly,
. Id. at 570,
. Leatherman v. Tarrant Cnty. Narcotics Intelligence & Coordination Unit,
. Ashcroft v. Iqbal,
. Id. at 679,
. Id. at 678,
. Id.
. Id.
. Lormand v. U.S. Unwired, Inc.,
. Moore v. Metropolitan Human Serv. Dist., No. 09-6470,
. Neitzke v. Williams,
. Id. (internal citation and quotation marks omitted). The Court notes that Plaintiff asserts that the United States Supreme Court's recent decision in Johnson v. City of Shelb, Miss., - U.S. -,
. Am. Int’l Specialty Lines Ins. Co. v. Rentech Steel LLC,
. Shaw Constructors v. ICF Kaiser Engineers, Inc.,
. Id. (quoting La. Civ.Code art. 1).
. Id. (citation omitted).
. Id. (citations omitted).
. Grantham v. Avondale Indus., Inc.,
. See Rec. Doc. 1-2 at pp. 17-23.
. La. Civ.Code art. 2315.
. Audler v. CBC Innovis Inc.,
. Mathieu v. Imperial Toy Corp.,
. Severn Place Associates v. Am. Bldg. Servs., Inc., 05-859,
. Id. (citations omitted).
. Roberts v. Benoit,
. Severn,
. Ellison v. Conoco, Inc.,
. Audler v. CBC Innovis Inc.,
. Rec. Doc. 363 at pp. 67-68 (citing Barasich,
. See Rec. Doc. 427-1 at pp. 24-25 ("[E]ven if the Rivers and Harbors Act of 1899 imposes some duty on Defendants, it is not owed to the Board to protect it from indirect economic losses;” "[E]ven if the Clean Water Act of 1972 imposes some duty on Defendants, it is not to protect a levee board from indirect economic losses;” "[T]he CZMA does not create a statutory duty owed by Defendants to protect the Board from indirect economic losses”).
. Id.
. Roberts v. Benoit,
. Cormier v. T.H.E. Ins. Co., 98-2208 (La.9/8/99);
. Id. (citations omitted).
. Id.
. Audler v. CBC Innovis Inc.,
. Id. at 249.
. Id. at 252 (citations omitted).
. See Wyandotte Transp. Co. v. United States,
. In re S. Scrap Material Co., L.L.C.,
. 33 U.S.C.A. § 408 states:
It shall not be lawful for any person or persons to take possession of or make use of for any purpose, or build upon, alter, deface, destroy, move, injure, obstruct by fastening vessels thereto or otherwise, or in any manner whatever impair the usefulness of any sea wall, bulkhead, jetty, dike, levee, wharf, pier, or other work built by the United States, or any piece of plant, floating or otherwise, used in the construction of such work under the control of the United States, in whole or in part, for the preservation and improvement of any of its navigable waters or to prevent floods, or as boundary marks, tide gauges, surveying stations, buoys, or other established marks, nor remove for ballast or other purposes any stone or other material composing such works: Provided, That the Secretary of the Army may, on the recommendation of the Chief of Engineers, grant permission for the temporary occupation or use of any of the aforementioned public works when in his judgment such occupation or use will not be injurious to the public interest: Provided further, That the Secretary may, on the recommendation of the Chief of Engineers, grant permission for the alteration or permanent occupation or use of any of the aforementioned public works when in the judgment of the Secretary such occupation or use will not be injurious to the public interest and will not impair the usefulness of such work.
. United States v. City of Irving, Tex.,
. The only case citing Dallas does so in a footnote for the proposition that no cause of action lies under 33 U.S.C. § 701(c) in favor of the City of Dallas because such an action “would be inconsistent with the scheme of federal enforcement evident in the regulations.” See Creppel v. U.S. Army Corps of Engineers,
. Atchafalaya Basinkeeper v. Chustz,
. Belle Co., L.L.C. v. U.S. Army Corps of Engineers,
. Id. (citing 33 U.S.C. § 1362(7)).
. Id. (citing 33 U.S.C. § 1344).
. Rec. Doc. 1-2 V 9.2. The grammatical construction of paragraph 9.2, including the inconsistent placement of punctuation, suggests either that Plaintiff is attributing the duties listed in 9.2.1, 9.2.2, and 9.2.3 to the CWA, or that those duties stem from regulations promulgated by the Corps in "Part 209 — Rules Relating to Administrative Procedure.” Plaintiff’s briefing with respect to the pending motion does not address these “general duties,” or cite to Corps regulations. Accordingly, the Court interprets paragraph 9.2 to mean that Plaintiffs believe the Clean Water Act creates a regulatory framework specifically aimed at protecting against the deleterious effects of dredging activities (see ¶ 8), but that the specific duties listed in paragraph 9.2 derive from the permits, not from the Clean Water Act itself.
. Rec. Doc. 446 at p. 16.
. California Coastal Comm'n v. Granite Rock Co.,
. Rec. Doc. 1-2 at ¶ 9.4.
. Rec. Doc. 487 at p. 4, n. 2.
. See, e.g., Lowe v. Gen. Motors Corp.,
. See Rec. Doc. 487 at p. 3 (citing Terrebonne Parish Sch. Bd. v. Columbia Gulf Transmission Co., 290 F.3d 303 (5th Cir.2002)).
. Columbia Gulf Transmission Co.,
. Id.
. Rec. Doc. 363 at pp. 67-68 (citing Barasich,
. Rec. Doc. 485 at 43:16-18.
. See Rec. Doc. 1-2 at pp. 18-19.
. Rec. Doc. 427-1 at p. 16, n. 6 (stating that the duty-risk analysis "applies both to negligence and strict liability claims. As the Louisiana Supreme Court has explained, the question of scope of duty or legal cause under duty-risk analysis is the same as whether a risk is unreasonable under La. C.C. art. 2317”) (citing Entrevia v. Hood,
. See, e.g., Rec. Doc. 427-1 at p. 15; Rec. Doc. 446 at p. 13.
. La. Civ.Code art. 2317.1.
. Dupree v. City of New Orleans,
. Oster v. Dept. of Trans. & Development,
. Dupree,
. See Jackson v. Brumfield, 2009-2142,
. 2014-288 (La.10/15/14),
. Id. at 855,
. Id. at 858,
. Id.
. Rec. Doc. 1-2 at ¶ 24.
. La. Civ.Code art. 646.
. Id.; see also 2007 Revision Comment (b) to La. Civ.Code art. 646; A.N. Yiannopoulos, 4 La. Civ. L. Treatise: Predial Servitudes § 9 (2004).
. 2007 Revision Comment (b) to La. Civ. Code art. 646 and A.N. Yiannopoulos, 4 La. Civ. L. Treatise: Predial Servitudes § 7 (2004) (stating that "[t]he word "estate” is a translation of "héritage,” which the Code Civil reserved exclusively for lands and buildings and stated that only these immovables were capable of being burdened with a predial servitude”).
. La. Civ.Code art. 646, Revision Comments — 1977, comment (d).
. La. Civ.Code art. 647.
. Roberts v. Cardinal Servs., Inc.,
. La. Civ.Code art. 648.
. F.E. Palomeque v. Prudhomme,
. Id. See also Buras Ice Factory Inc. v. Dept. of Hwys. of La.,
. La. Civ.Code art. 730, Palomeque,
. La. Civ.Code art. 655.
. La. Civ.Code art. 656.
. A.N. Yiannopoulos, 4 La. Civ. L. Treatise: Predial Servitudes, § 2:2.
. Id.
. Rec. Doc. 469 at p. 14.
. Rec. Doc. 446 at p. 20.
. Id.
. Young v. Int’l Paper Co.,
. Id.
. See A.N. Yiannopoulos, 4 La. Civ. L. Treatise: Predial Servitudes § 2:7.
. Maddox v. Int’l Paper Co.,
. McFarlain v. Jennings-Heywood Oil Syndicate,
. However, even if Plaintiff did allege the relative positions of the estates, the claim would nevertheless fail because, as discussed infra, Plaintiff has not established that a servitude of drain claim includes “violent wave action and storm surge that tropical storms and hurricanes transmit from the Gulf of Mexico.’’
. See Rec. Doc. 485 at p. 65:6-11.
. Rec. Doc. 446 at p. 22 (citing Poole v. Guste,
. Poole v. Guste,
. Id. at 340.
. Id. at 341.
. Id.
. Id. at 342.
. Id. (citing La. Civ.Code art. 714).
. Id. at 344.
. Id. at 343-344.
. Rec. Doc. 446 at p. 22; Poole,
. Rec. Doc. 1-2 at p. 2.
. See Jefferson v. Lead Indus. Ass'n, Inc.,
. See, e.g., Rec. Doc. 427-1 at p. 26; Rec. Doc. 446 at p. 25.
. Rec. Doc. 427-1 at p. 26.
. Rec. Doc. 446 at p. 25 (citing La. Civ.Code art. 648).
. Inabnet v. Exxon Corp., 93-0681,
. Id.
. Article 668 permits uses which merely cause neighbors some inconvenience. Article 669 allows suppression of certain inconveniences, if excessive under local ordinances and customs, and requires tolerance of lesser inconveniences. ’'
. Hogg v. Chevron USA, Inc., 09-2632,
. Bartlett v. Browning-Ferris Indus., Chem. Servs., Inc.,
. A.N. Yiannopoulos, 4 La. Civ. L. Treatise. Predial Servitudes § 3:15; Alford v. Anadarko E & P Onshore LLC, No. 13-5457,
. See La. Civ.Code art. 667, as amended by La. Acts 1996, No.-1 (1st Extraordinary Session) (emphasis added).
. Yokum,
. Id.
. Brown v. Olin Chem. Corp.,
. Alford v. Anadarko E & P Onshore LLC, No. 13-5457,
. See Hogg v. Chevron USA, Inc., 09-2632,
. Roberts v. Cardinal Servs., Inc.,
. Roberts,
. Barasich,
. In re Katrina Canal Breaches Consol. Litig.,
. Rec. Doc. 446 at p. 20.
. See Butler v. Baber,
. Rec. Doc. 1-2 at p. 7.
. Id. at ¶ 6.4.
. Id. at ¶ 6.10.
. See, e.g., Rec. Doc. 1 at ¶ 1.3; ¶ 22.
. In its Order denying remand, the Court noted that Plaintiff's Petition alleges that the unreasonable interference alleged is in violation of the standard of care as prescribed in the regulatory framework, and that accordingly Plaintiff necessarily raises what conduct constitutes “unreasonable interference” under the Rivers and Harbors Act, the Clean Water Act, and the Coastal Zone Management Act. Since Plaintiff has failed to state a claim for which relief may be granted pursuant to Louisiana law, the Court need not examine the federal regulatory framework at this point.
. See Rec. Doc. 363 at p. 74 (holding that federal law applies to nonparty breach of contract claims where the contract implicates a federal interest, the United States is a party to the contract, and the contract was entered into pursuant to federal law).
. See, e.g., Bridas S.A.P.I.C. v. Gov't of Turkmenistan,
. 17A Am.Jur.2d Contracts § 429; see also Hamilton Equities Inc.,
. Rec. Doc. 485 at pp. 65:19 — 66:2; p. 68:11-17.
. Black's Law Dictionary 1255 (9th ed.2009).
. Black’s Law Dictionary 1002 (9th ed.2009).
. See, e.g., California Pub. Interest Research Grp. v. Shell Oil Co.,
The Court notes that some courts employ contract interpretation principles when tasked with interpreting the terms of a permit. See, e.g., Natural Resources Defense Council, Inc. v. Cnty. of Los Angeles,
. Louisiana law also requires that the third party be an intended beneficiary in order to enforce the contract. See, e.g., Joseph v. Hosp. Serv. Dist. No. 2 of Parish of St. Mary, 2005-2364 (La. 10/15/06);
. Speleos v. BAC Home Loans Servicing, L.P.,
. Restatement (Second) of Contracts § 313 cmt. a. See also Klamath Water Users Protective Ass'n v. Patterson,
. Id.
. See id.
. For example, Plaintiff's Petition identifies the "Lake Borgne 59” permit issued to Chevron Oil Company on December 23, 1975. Rec. Doc. 1-2 at p. 113. As this Court stated in its Order denying Plaintiff's motion to remand, this permit was issued by the Department of the Army pursuant to the Rivers and Harbors Act and the Federal Water Pollution Control Act. See Rec. Doc. 260-6 at pp. 2-18; Rec. Doc. 363 atp. 69, n. 394.
. Kane Enterprises v. MacGregor (USA) Inc.,
. Rec. Doc. 427.
