DAMON E. CUMMINGS & others vs. SECRETARY OF ENVIRONMENTAL AFFAIRS & others.
Supreme Judicial Court of Massachusetts
June 20, 1988
402 Mass. 611
Suffolk. October 9, 1987. — June 20, 1988.
Present: HENNESSEY, C.J., ABRAMS, NOLAN, LYNCH, & O‘CONNOR, JJ.
The Superior Court lacked subject matter jurisdiction of an action commenced by ten domiciliaries of the Commonwealth challenging a determination by the Secretary of Environmental Affairs that no environmental impact report was required for a certain proposed development project. [613-619] ABRAMS, J., dissenting.
CIVIL ACTION commenced in the Superior Court Department on June 9, 1986.
The case was heard by George C. Keady, Jr., J., on a motion to dismiss.
The Supreme Judicial Court on its own initiative transferred the case from the Appeals Court.
Gregor I. McGregor (Cynthia L. Amara with him) for the plaintiffs.
Stephen C. Karnas, Assistant Attorney General, for Secretary of Environmental Affairs & another.
Stephen M. Leonard for Gloucester Landing Associates.
Stephen D. Anderson & Arthur P. Kreiger, for Sierra Club, amicus curiae, submitted a brief.
Richard S. Emmet, for Conservation Law Foundation of New England, Inc., amicus curiae, submitted a brief.
On appeal, this court was unwilling to assume, as the parties had, that, if the notice requirements of
We phrased the issues for supplemental briefing as follows: “1. Does the Superior Court have subject matter jurisdiction of an action by ten citizens challenging the Secretary‘s determination that no Environmental Impact Report (EIR) is required? Is such a determination reviewable by the Superior Court? 2. Does the sixty day period for filing a notice of intention to commence suit (NOI) apply to challenges to the Secretary‘s determination that an EIR is not required?” Our questions invited the parties to discuss whether the Superior Court had jurisdiction either on the basis of
Neither
In Boston v. Massachusetts Port Auth., 364 Mass. 639 (1974), a case heavily relied on by the plaintiffs and the Secretary, this court construed
The plaintiffs here, however, do not allege that the developer or agency proposing a project has failed to comply with MEPA or a regulation promulgated pursuant to MEPA. Indeed, the plaintiffs do claim a violation of MEPA, but they identify that violation as the failure of the Secretary to require an EIR. The claim on appeal is that the Secretary, who is the public official charged with administering the Commonwealth‘s environmental protection scheme, see
The contention here is also unlike the contention made by the plaintiff in Secretary of Envtl. Affairs v. Massachusetts Port Auth., 366 Mass. 755 (1975). In that case, this court agreed with the plaintiff that the defendant‘s failure to file an EIR violated
The Legislature substantially revised MEPA in 1977. See St. 1977, c. 947. In that act, after declaring its purpose to be “to immediately expedite environmental approvals and rules and regulations thereof under the laws regulating environmental policy in the commonwealth,” the Legislature inserted into
Neither the Secretary nor the plaintiffs point to any specific provision in MEPA or in any other statute as being susceptible of violation by the Secretary‘s incorrect, or even arbitrary, determination that an EIR is not required. There is no such provision, and it would be an unwarranted stretch of statutory language, far in excess of the broad construction adopted by the court in Boston v. Massachusetts Port Auth., supra, for this court to conclude that the Secretary‘s determination that no EIR is required may qualify as “damage caused or about to be caused” in “violation” of an environmental statute. Furthermore, the provision in
The plaintiffs, supported by the Secretary, argue that “[i]n addition to the plain language of the statute and legislative intent thereof, sound environmental policy dictates that a Secretary‘s improper determination not to require the preparation of an EIR be actionable. Any other result would thwart MEPA in attaining thorough environmental review prior to a project‘s implementation and minimizing environmental damage.” Of
It is true, as the plaintiffs argue, that in Boston Preservation Alliance, Inc. v. Secretary of Envtl. Affairs, 396 Mass. 489 (1986), this court considered the merits on appeal of a challenge in the Superior Court to the limitation the Secretary had placed on the scope of a required EIR. The plaintiffs argue that it would make no sense for the Superior Court to have subject matter jurisdiction over a challenge to the Secretary‘s determination concerning the required scope of an EIR, but not to have jurisdiction over a challenge to his determination that no EIR whatsoever is necessary. There is logic in the plaintiffs’ contention, but the contention incorrectly assumes that the jur-
In her dissenting opinion, post at 621-622, Justice Abrams identifies certain language in
Moreover, it is far from clear that, in enacting § 62H, the Legislature did assume that the Secretary‘s decisions not to require an EIR are reviewable. Although § 62H contains some language suggesting such an assumption, other language suggests the opposite. For instance, the second paragraph, dealing with time limitations for the commencement of actions, provides: “Any action or proceeding alleging an improper determination that a project requires the preparation of an environmental impact report” (emphasis added) shall commence within specified periods. There is no additional language specifying time limits for actions alleging an improper determination that an EIR is not required. Furthermore, although
Judgment affirmed.
ABRAMS, J. (dissenting). I dissent from the court‘s conclusion that the Superior Court lacks subject matter jurisdiction over the plaintiffs’ complaint and request for judicial review. I also conclude that the appeal is timely pursuant to
1. The statutory framework. “When the meaning of any particular section or clause of a statute is questioned, it is proper, no doubt, to look into the other parts of the statute; otherwise the different sections of the same statute might be so construed as to be repugnant, and the intention of the legislature might be defeated. And if, upon examination, the general meaning and object of the statute should be found inconsistent with the literal import of any particular clause or section, such clause or section must, if possible, be construed according to the spirit of the act.” Holbrook v. Holbrook, 1 Pick. 248, 250 (1823). Looking at the entire statutory framework, see Negron v. Gordon, 373 Mass. 199, 201-202 (1977), I conclude that the Secretary‘s determination is reviewable in the Superior Court.
a. The MEPA Process. MEPA requires public agencies and, in some circumstances, private parties,1 to prepare EIRs analyz-
ing the environmental effects of certain projects they undertake. The threshold determination whether a project requires an EIR is made by the Secretary of Environmental Affairs, who bases the decision on an environmental notification form (ENF) describing the project, submitted by the agency or person proposing the project, and subsequent consultation with the project proponent.
MEPA does not state directly the standard for determining which projects require EIRs. However,
Pursuant to § 62C, no agency may issue a permit or grant financial assistance for a private project until either (a) the MEPA process has been completed, or (b) the Secretary determines the project requires no EIR. If the Secretary makes a negative EIR determination, the statute mandates no subsequent administrative action. In such a case, the agency proposing the project may begin work or, in the case of a private project, the agency may issue the permits or financial assistance sought for the project. See 301 Code Mass. Regs. § 11.01(5) (1987).
b. Judicial review of EIR determinations. Section 62H governs actions challenging the Secretary‘s EIR determinations. The second paragraph of § 62H provides that such actions “shall commence no later than thirty days following the first issuance of a permit or grant of financial assistance by an agency or no later than sixty days after issuance of notice of such determination, whichever occurs later, for a private project . . .” (emphasis supplied). Permits can be issued only after (a) the Secretary determines that no EIR is required, or (b) the EIR already has been filed. See
The fact that the second paragraph of § 62H refers to actions “alleging an improper determination that a project requires [an EIR]” (emphasis added) does not require the result reached by the court. Reading the word “that” so literally as to restrict application of the statute to actions challenging decisions requiring EIRs renders the entire clause governing commencement of actions after the issuance of permits superfluous. Such a reading also is inconsistent with the first paragraph of § 62H, which calls for notice of actions “alleging an improper determination whether a project requires [an EIR]” (emphasis added). “The words of a statute will not be read literally if to do so would be inconsistent with legislative intent.” Oxford v. Oxford Water Co., 391 Mass. 581, 592 (1984). Attorney Gen. v. School Comm. of Essex, 387 Mass. 326, 336 (1982). Lexington v. Bedford, 378 Mass. 562 (1979). Holbrook v. Holbrook, 1 Pick. 248 (1823). Furthermore, the explicit provision in § 62H, making the time periods in that section applicable “in lieu of the notice and waiting period required by [§ 7A],” becomes meaningless if citizen groups cannot challenge negative EIR determinations.4
The 1977 amendments to MEPA do not reveal a legislative purpose to cut off judicial review of EIR determinations. Prior to 1977, negative EIR determinations were subject to judicial review. See, e.g., Boston v. Massachusetts Port Auth., 364 Mass. 639 (1974). “Had the Legislature intended . . . to [eliminate the court‘s] review, it could have expressed the limitation in the statute. It did not do so.” Registrar of Motor Vehicles v. Board of Appeal on Motor Vehicle Liab. Policies & Bonds, 382 Mass. 580, 586 (1981). The court‘s conclusion that the amendments were intended to preclude judicial review of negative EIR determinations finds no support in the language of the statute or in principles of statutory construction. It is based on a precarious combination of gaps and silences in the statutory framework, and imports a meaning alien to the actual provisions of the legislation.5 The court‘s conclusion ignores the history of judicial review of EIR determinations and the strong legal presumption in favor of judicial review of administrative decisions. See Citizens to Preserve Overton Park Inc. v. Volpe, 401 U.S. 402, 410 (1971) (judicial review of agency decisions
I note, too, that no provision of the 1977 amendments expressly grants the Secretary unreviewable discretion to determine which projects require EIRs.6 On the contrary, as noted supra, there is an articulated legal standard by which to determine the need for an EIR, and “it is evident that an EIR is required whenever there is a potential for damage to the environment which may be characterized as ‘not . . . insignificant.‘” Secretary of Envtl. Affairs v. Massachusetts Port Auth., supra at 769. The operative provision of MEPA that sets forth this standard appeared in the original enactment of MEPA, and was preserved unaltered in the 1977 amendments. See
2. Jurisdiction under G. L. c. 214, § 7A. For the Superior Court to have jurisdiction under
must be an allegation that ‘damage to the environment is occurring or is about to occur,’ and it must further be alleged that such damage ‘constitutes a violation of a statute . . . or regulation the major purpose of which is to prevent or minimize damage to the environment.‘” Boston v. Massachusetts Port Auth., 364 Mass. 639, 645 (1974) (interpreting former § 10A). As to the first condition, an improper determination that a project requires no EIR under MEPA constitutes “damage to the environment.” Id. at 645-647. See also Boston Preservation Alliance, Inc. v. Secretary of Envtl. Affairs, 396 Mass. 489 (1986) (action under § 7A challenging Secretary‘s decision limiting scope of EIR). Cf. Massachusetts v. Watt, 716 F.2d 946, 951-953 (1st Cir. 1983). As to the second condition, the plaintiffs allege errors of law and abuse of discretion committed by the Secretary in determining that the proposed project is not one “which may cause damage to the environment.”
Neither of the cases cited by the court, ante at 616, supports the conclusion that jurisdiction fails in this case under § 7A. In Warren v. Hazardous Waste Facility Site Safety Council, 392 Mass. 107 (1984), the court held that a feasibility study prepared by the Hazardous Waste Facility Site Safety Council was not a “final decision” by that administrative agency and thus not subject to judicial review. Id. at 117-118. No immediate consequences or action need follow such a study. Id. Applying the analysis in Warren, it is clear that, unlike a preliminary feasibility study, the Secretary‘s determination whether a project requires an EIR is a “final decision” which has immediate consequences for project proponents, as well as the public — a proponent may be required to prepare a costly report or, conversely, the public may be deprived of a thorough environmental analysis of a major project. The finality
Aertsen v. Landrieu, 488 F. Supp. 314 (D. Mass.), aff‘d on other grounds, 637 F.2d 12 (1st Cir. 1980), is equally inapposite. In Aertsen, the only issue of State law was whether the project proponents had complied with the procedural requirements imposed on them by MEPA. The Federal District Court judge‘s statement that the Secretary‘s negative EIR determination was “a complete answer to plaintiffs’ contentions under MEPA,” Aertsen v. Landrieu, supra at 323, does not refer to the merits of the Secretary‘s determination; instead, it indicates only that issuance of the Secretary‘s determination stood as conclusive evidence of the proponents’ compliance with the procedural requirements of MEPA.9
Further, the narrow interpretation of § 7A adopted today was rejected in Boston v. Massachusetts Port Auth., supra at 646, where this court wrote: “The legislative intent underlying [§ 7A] is broadly stated in the title under which it was enacted: ‘An Act establishing a cause of action in behalf of certain persons and political subdivisions for the purpose of protecting the natural resources and environment of the commonwealth.’ St. 1971, c. 732. In submitting the proposed legislation permitting environmental suits to be brought by citizens, the Governor indicated that his intention was to permit ‘the citizen to join in the enforcement of the battery of anti-pollution laws we have passed in recent years.’ 1971 House Doc. No. 5023. We believe that these broad statements of purpose are incompatible with a narrow, technical interpretation of [§ 7A] which would
Finally, the court today ignores its own recent precedent allowing citizen groups to challenge determinations as to the scope of EIRs under § 7A. Boston Preservation Alliance, Inc. v. Secretary of Envtl. Affairs, 396 Mass. 489 (1986). The court asserts that Boston Preservation Alliance is inapposite because subject matter jurisdiction under § 7A was not argued in that case. The fact that the parties did not raise the issue of jurisdiction in Boston Preservation Alliance is irrelevant. The parties in the present action also did not raise jurisdiction as an issue. We raised it in this court sua sponte, as we must, where we question the basis on which parties are before us. Nature Church v. Assessors of Belchertown, 384 Mass. 811, 812 (1981). MacDonald v. Carr, 355 Mass. 120, 122 (1969). Commissioner of Corps. & Taxation v. Chilton Club, 318 Mass. 285, 287 (1945). The fact that the court did not raise the issue of jurisdiction in Boston Preservation Alliance in my view indicates that the court concluded that jurisdiction was proper. The court today sub silentio overrules Boston Preservation Alliance, a case decided only two years ago. By ignoring its own recent precedent, the court violates a central tenet of principled jurisprudence.
3. Timeliness of notice. The original issue presented in this appeal was whether the sixty-day notice period in the first paragraph of § 62H10 began on the date the Secretary issued a certificate determining that no EIR was required under § 62A, or the date on which notice of the Secretary‘s determination was published in the Environmental Monitor. In 1979, the Secretary promulgated a regulation requiring publication in the Environmental Monitor of all determinations regarding the need
A person challenging a regulation must prove in the judicial proceeding that the regulation is illegal, arbitrary or capricious. E.g., Greenleaf Fin. Co. v. Small Loans Regulatory Bd., 377 Mass. 282, 293 (1979). No such showing has been made. Furthermore, the Secretary‘s interpretation of the statute is supported strongly by the Legislature‘s use of the words “of notice” in § 62H. If the Legislature intended the limitations period to run from the date of the Secretary‘s determination, it could have omitted the words “of notice” from § 62H. Reading those words to refer to the issuance of the certificate under § 62A produces the same result as omitting them. All words of a statute must be given meaning whenever possible. Commonwealth v. Neiman, 396 Mass. 754, 758 (1986).
Reading the statutory framework as a coherent whole, the Legislature clearly intended to permit citizen groups to challenge the Secretary‘s EIR determinations. It is inconsistent with this basic purpose to conclude that the limitation periods specified in § 62H begin to run against interested members of the public before they receive notice of the Secretary‘s determination. In my view, “issuance of notice” occurs when the Secretary‘s determination is published in the Environmental Monitor.12 The plaintiffs gave timely notice of appeal to the Secretary.
4. Conclusion. Precluding judicial review in this case undermines the manifested purpose of the statutory framework. Moreover, precluding judicial review on the basis of the Secretary‘s “expertise” means that “[a]dministrative expertise [will] . . . be on its way to becoming ‘a monster which rules with no practical limits on its discretion.‘” Arthurs v. Board of Registration in Medicine, 383 Mass. 299, 310 (1981). Arthur D. Little, Inc. v. Commissioner of Health & Hosps. of Cambridge, 395 Mass. 535, 566-567 (1985) (Lynch, J., dissenting) and sources cited. Today‘s decision takes an unacceptable “step toward agency nonaccountability and carte blanche,” id., and casts a shadow of uncertainty over our prior decisions on statutory construction. I dissent.
