EL PASO NATURAL GAS COMPANY, APPELLANT NAVAJO NATION, APPELLANT v. UNITED STATES OF AMERICA, ET AL., APPELLEES
No. 12-5156
United States Court of Appeals FOR THE DISTRICT OF COLUMBIA CIRCUIT
Decided April 4, 2014
Argued September 23, 2013; Consolidated with 12-5157
Christopher J. Neumann argued the cause for appellant El Paso Natural Gas Company. With him on the briefs were Troy A. Eid and Jerry Stouck.
Paul E. Frye argued the cause for appellant Navajo Nation. With him on the briefs was David A. Taylor.
Before: BROWN, Circuit Judge, and EDWARDS and SILBERMAN, Senior Circuit Judges.
Opinion for the Court filed by Senior Circuit Judge EDWARDS.
TABLE OF CONTENTS
INTRODUCTION
SUMMARY
- RCRA Claims Relating to the Dump
- The District Court‘s Dismissal of Appellants’ RCRA Claims as to the Dump “With Prejudice”
- RCRA Claims Relating to the Highway 160 Site
- The Government‘s Contingent RCRA Counterclaim
- The Tribe‘s Mill Tailings Act Claims
- The Tribe‘s Remaining Statutory Claims
- The Tribe‘s Breach of Trust Claim
I. BACKGROUND
- The Mill
- The Highway 160 Site
- The Dump
II. ANALYSIS
- RCRA Claims as to the Dump
- CERCLA § 104 Authority
- Frey‘s “Objective Indicator” Limitation
- Temporal Limitation to “Challenges”
- When a Claim Qualifies as a “Challenge”
The District Court‘s Dismissal “With Prejudice”
- RCRA Claims as to the Highway 160 Site
- The Government‘s Contingent RCRA Counterclaim
- Mill Tailings Act
- The Indian Dump Cleanup Act and the Indian Agricultural Act
- Private Right of Action
- APA
- Breach of Trust
- Governing Principles
- Trust Claims under the Indian Tucker Act
- Circuit Precedent
- The Tribe‘s Arguments
- 25 U.S.C. § 640d-9(a)
- The Indian Dump Cleanup Act, the Indian Agricultural Act, and the Mill Tailings Act
- Other Statutes
- Governing Principles
III. CONCLUSION
EDWARDS, Senior Circuit Judge: This is a weighty case, involving numerous claims concerning environmental hazards at three sites on Navajo land near Tuba City, Arizona. The locations in dispute are (1) the Tuba City Uranium Processing Mill Site (“Mill“), which was the site of a Cold War mining operation that left behind a radioactive byproduct known as mill tailings; (2) the Tuba City Open Dump (“Dump“), a federal waste facility located on both Hopi and Navajo land that was operated by the United States Bureau of Indian Affairs (“BIA“) until 1997; and (3) the Highway 160 Dump Site (“Highway 160 Site“), which is situated near the Mill and has also been used as a dump.
In 2009, the District Court dismissed El Paso‘s Mill Tailings Act claim without discovery and certified its ruling for interlocutory appeal. El Paso Natural Gas Co. v. United States (El Paso I), 605 F. Supp. 2d 224 (D.D.C. 2009). This court affirmed the judgment of the District Court. El Paso Natural Gas Co. v. United States (El Paso II), 632 F.3d 1272 (D.C. Cir. 2011).
The District Court then dismissed the balance of Appellants’ claims in two memorandum opinions. The trial court first dismissed all of the Tribe‘s claims, except those arising under RCRA. El Paso Natural Gas Co. v. United States (El Paso III), 774 F. Supp. 2d 40 (D.D.C. 2011). The trial court next dismissed all of Appellants’ RCRA claims relating to the Dump for want of jurisdiction due to an administrative settlement between the BIA and the United States Environmental Protection Agency (“EPA“) that was formalized three years after the start of litigation. The District Court also dismissed the RCRA claims relating to the Highway 160 Site as moot. El Paso Natural Gas Co. v.
Given the number of statutes, claims, and locations at issue, we have summarized below the issues on appeal and our holdings with respect to each question before the court.
SUMMARY
RCRA Claims Relating to the Dump. The District Court dismissed these claims after EPA and the BIA entered into administrative settlement in 2010 under
The District Court‘s Dismissal of Appellants’ RCRA Claims as to the Dump “With Prejudice.” Appellants argue that, even if their RCRA claims must be dismissed pursuant to
RCRA Claims Relating to the Highway 160 Site. The District Court dismissed the Tribe‘s RCRA claim as moot because Congress authorized and appropriated funds for a cleanup at the site in 2009, and because the Tribe assumed responsibility for the cleanup and agreed to a release of liability. El Paso IV, 847 F. Supp. 2d at 123-24. It then concluded that El Paso did not have standing to pursue a RCRA claim independent of the Tribe. Id. at 124. Appellants argue that the scope of the waiver is much narrower than the District Court thought and does not reach groundwater remediation, which could be the relief obtained under RCRA. We agree with the Tribe that its RCRA claims at the Highway 160 Site are not moot. We therefore vacate the District Court‘s dismissal of Appellants’ RCRA claims as to the Highway 160 Site and remand the case so that these claims can be considered on the merits. Because we conclude that the Tribe‘s RCRA claims at the Highway 160 Site are not moot, we need not consider whether El Paso has standing.
The Government‘s Contingent RCRA Counterclaim. The Government filed a counterclaim against El Paso under RCRA. The District Court dismissed the counterclaim without prejudice. El Paso argues that the dismissal should have been
The Tribe‘s Mill Tailings Act Claims. The Tribe brought two claims under the Mill Tailings Act and its associated EPA regulations. See
The Tribe‘s Remaining Statutory Claims. The Tribe also sued under the American Indian Agricultural Resource Management Act (“Indian Agricultural Act“),
The Tribe‘s Breach of Trust Claim. The Tribe cites several statutes in support of its claim that the Government breached fiduciary duties owed to the Nation. In particular, the Tribe relies on
I. BACKGROUND
The three locations that are the subject of this suit are located on or near the border between the Hopi and Navajo reservations, near Tuba City, Arizona.
A. The Mill
From 1956 to 1966, Rare Metals Corporation, the predecessor-in-interest to Appellant El Paso, mined approximately 800,000 tons of uranium at the Mill under a contract pursuant to a federal government nuclear weapons program. Uranium mining produces a sandy, radioactive byproduct called “tailings.” Until the 1970s, there was little recognition that tailings were hazardous. They were often left at mining sites, thus creating a serious threat to public health.
In 1978, Congress sought to address the tailings problem by enacting the Mill Tailings Act.
In 1985, before any remedial action at the Mill began, the DOE entered into a cooperative agreement with the Navajo and Hopi Tribes, on whose land the Mill sits. A cooperative agreement is a compulsory component of the Mill Tailings Act, which directs that the “Secretary shall, to the greatest extent practicable, enter into such agreements.”
A remedial action plan was then formulated. See App‘x B to Coop. Agreement, reprinted in J.A. 237-70. The plan, which was agreed to by the Navajo and Hopi, included a stabilization-in-place strategy, whereby 1.4 million cubic yards of tailings were collected in a pile and then covered in a disposal cell onsite. The cover of the cell comprised a “radon barrier” consisting of compacted sand, topped by a layer of bedding, and then a layer of rock (riprap, to be precise) designed to protect the radon barrier from erosion. Id. at 43, reprinted in J.A. 262. The surface cleanup began in 1988 and was completed by 1990. A disposal cell spanning fifty acres now stands on the site. In addition, since 2002 DOE has actively treated contaminated groundwater by pumping it from the aquifer, treating it, and then returning it to the aquifer.
The Tribe now alleges that this remediation is ineffective. According to its allegations, the disposal cell allows rain water to flow directly through the aggregated tailings. This is so because the tailings cover, which consists of sand and small rocks, is permeable. And because the tailings sit atop a thin geologic layer, the contaminated rainwater drains through the tailings straight into the Navajo aquifer, a source of drinking water for nearby residents. There is a suggestion in the record that covers like the one purporting to shield the tailings at the Mill are “100 to 1000 times” more permeable than design targets. The Tribe contends that, in light of this situation, the Mill does not meet the regulatory requirement that it be effective for at least 200 years.
B. The Highway 160 Site
The Highway 160 Site (so-called because it abuts the eponymous highway) lies just to the north of the Mill. The site comprises sixteen acres of Navajo land. Given its proximity to the Mill, it is probably unsurprising that the Highway 160 Site is also contaminated by radioactive debris.
The Navajo Nation Environmental Protection Agency (“Navajo EPA“) discovered the contamination in 2003. Follow-up surveys and investigations in 2006 and 2007 linked the onsite radioactive waste to the Mill and revealed that the site had debris buried below ground. All told, there were sixteen distinct areas of disturbance in need of soil remediation. In addition, there were drums and containers of solid and hazardous wastes that had been left on the ground. In 2007, in view of the dumping at the site, El Paso brought its RCRA citizen claim, as did the Nation in 2010 in its intervenor complaint.
Meanwhile, in 2009, the discoveries at the Highway 160 Site led Congress to authorize and fund a cleanup. Congress included in the Energy and Water Development and Related Agencies Appropriations Act of 2009, Pub. L. No. 111-8, Div. C, 123 Stat. 524, 601-30, a $5 million appropriation to the DOE to perform “remedial actions ... at real property in the vicinity of the [Mill].” 123 Stat. at 617-18; see also
In 2010 and 2011, the Tribe and the DOE adopted two amendments to a prior cooperative agreement (different than the one governing at the Mill). Amendment 021, reprinted in
Pursuant to
42 U.S.C. 7915 , as this amendment involves remedial action, the Navajo Nation (A) releases the United States of any liability or claim thereof by such tribe or person concerning such remedial action, and (B) holds the United States harmless against any claim arising out of the performance of any such remedial action.
Amendment 026 at 2, reprinted in J.A. 421.
The remediation selected was to excavate the contaminated material and transport it offsite. This work had commenced in July 2011, although the Navajo EPA was unsure whether the funding would be sufficient to complete the task and had not determined if the groundwater underneath the site was contaminated. See Decl. of Cassandra Bloedel ¶¶ 3-5, reprinted J.A. 436-37.
In 2011, the Government moved to dismiss as moot the Nation‘s RCRA based on the congressional appropriation, the liability waiver, and the then-ongoing remedial work. The motion also asserted that El Paso lacked standing to bring a RCRA claim on its own at the site. The District Court agreed and dismissed the claims. El Paso IV, 847 F. Supp. 2d at 123-24.
C. The Dump
The allegations concerning the Dump paint a disturbing picture of the Government‘s inaction in the face of clear
The Dump is a thirty-acre landfill to the southwest of the Mill. It sits mostly on Hopi land, although two acres belong to the Navajo Tribe. It is a federal facility and was operated by the BIA for approximately fifty years without a RCRA permit. Before the BIA ceased operations at the Dump in 1997, trenches were excavated and filled with trash, and then were periodically covered with soil. The site comprises two cells where waste was disposed: the “old cell” is a ten-acre plot that received waste until about 1980, and the “new cell” is a separate twenty acres that received waste thereafter.
During its operation, the Dump received all manner of waste. Locals left their ordinary household trash. The Government disposed of hazardous waste at the site, including medical wastes deposited by the Department of Health and Human Services and the Indian Health Service. And beginning in 1968, the United States discarded residual radioactive materials and waste from the Mill into the Dump.
Unsurprisingly, the Dump site is seriously contaminated. Testing has revealed that the shallow groundwater in the area contains various constituents - including arsenic, selenium, and uranium, to name just a few - that do not meet federal drinking water standards. And wells installed in 2007 to monitor the contamination plume beneath the Dump have confirmed contaminant levels above federally allowable levels.
There is a history of governmental inaction at the Dump. In 1993, prompted by bad conditions such as daily fires at the Dump, local residents served the BIA with a notice of intent to sue for open dumping in violation of RCRA and its landfill
In September 2010 - three years after El Paso initiated this lawsuit - the BIA and EPA entered into an Administrative Settlement Agreement and Order on Consent for Remedial Investigation/Feasibility Study (“Administrative Settlement“), reprinted in J.A. 333-88. EPA invoked its authority under
Under the terms of the Administrative Settlement, the BIA agreed to conduct with EPA oversight a remedial investigation and feasibility study. The purpose of the study is to “determine the nature and extent of contamination and any
Soon after the settlement was executed, the Government defendants filed a Rule 12(b)(1) motion to dismiss. The motion asserted that, under
II. ANALYSIS
We review de novo the District Court‘s dismissal of claims for want of subject matter jurisdiction under Rule 12(b)(1) or for failure to state a claim under Rule 12(b)(6). Kim v. United States, 632 F.3d 713, 715 (D.C. Cir. 2011). With respect to each claim, we first consider the Rule 12(b)(1) grounds for dismissal, if any, as subject matter jurisdiction presents a threshold question. Id. (citing Steel Co. v. Citizens for a Better Env‘t, 523 U.S. 83, 94-95 (1998)).
A. RCRA Claims as to the Dump
Congress enacted RCRA in response to the “rising tide in scrap, discarded, and waste materials.” Am. Mining Cong. v. EPA, 824 F.2d 1177, 1179 (D.C. Cir. 1987) (internal quotations omitted). “Primary in RCRA, Congress empowered the EPA to regulate solid and hazardous waste.” Am. Petroleum Inst. v. EPA, 683 F.3d 382, 384 (D.C. Cir. 2012). Citizen suits may be brought against any person, including the United States and any other governmental instrumentality or agency alleged to be in violation of RCRA.
Appellants each brought RCRA citizen-suit claims against the United States and federal agencies relating to the Dump and the Highway 160 Site. El Paso Compl. ¶¶ 94-101, reprinted in J.A. 76-78; Navajo Compl. ¶¶ 103-12, reprinted in J.A. 114-17; see also
CERCLA provides for the prompt and efficient cleanup of hazardous substances. See United States v. City & Cnty. of Denver, 100 F.3d 1509, 1511 (10th Cir. 1996). EPA has authority under CERCLA to “command government agencies and private parties to clean up hazardous waste sites by or at the expense of the parties responsible for the contamination.” Gen. Elec. Co. v. EPA, 360 F.3d 188, 189 (D.C. Cir. 2004) (internal quotation marks omitted). In particular,
No Federal court shall have jurisdiction under Federal law ... to review any challenges to removal or remedial action selected under section 9604 of this title ... in any action except one of the following [exceptions] ....
The District Court determined that the September 2010 Administrative Settlement entered into between EPA and the BIA provided for “removal” actions under
Appellants do not contest that EPA and BIA‘s activities at the Dump constitute “removal” actions, nor could they in view of the statutory definition of the term. The definition of “removal” broadly includes “actions as may be necessary to monitor, assess, and evaluate the release or threat of release of hazardous substances.”
Notwithstanding the foregoing, Appellants contend that
1. CERCLA § 104 Authority
EPA‘s authority under
The chief impediments to Appellants’ arguments are their own pleadings. El Paso‘s complaint repeatedly alleges that non-naturally occurring hazardous substances were released at the Dump. E.g., El Paso Compl. ¶¶ 13, 17, 19-22, 79-87, 92-94, 105, 108, reprinted in J.A. 88-116. El Paso would have us ignore its own allegations, but factual allegations in operative pleadings are judicial admissions of fact. See Official Comm. of Unsecured Creditors of Color Tile, Inc. v. Coopers & Lybrand, LLP, 322 F.3d 147, 167 (2d Cir. 2003) (“[T]he allegations in the [operative complaint] are judicial admissions by which [the pleader] was bound throughout the course of the proceeding.” (internal quotation marks and alterations omitted)); Schott Motorcycle Supply, Inc. v. Am. Honda Motor Co., Inc., 976 F.2d 58, 61 (1st Cir. 1992) (“A party‘s assertion of fact in a pleading is a judicial admission by which it normally is bound throughout the course of the proceeding.” (internal quotation marks omitted)). The same
It is of course true that El Paso was entitled to plead in the alternative and, to the extent it did so, to not be bound in one claim by an allegation pled only as to its alternative claim. See
Appellants’ allegations foreclose their arguing that the substances at the Dump are only “naturally occurring.” For the purposes of this proceeding, their pleadings operate as a judicial admission that man-made hazardous waste exists at the Dump, a fact that is fatal to their argument under
We have no occasion to address, and we certainly do not endorse, the Government‘s argument that a suit questioning
In Frey v. EPA, 403 F.3d 828 (7th Cir. 2005), the Seventh Circuit raised similar concerns about the Government‘s construction of
[W]hat if EPA decides to study the contamination for an indeterminate period of time without taking any remedial action? Counsel had no response when asked whether the statute precludes review if EPA claims that it will take action, after further study, at some point before the sun becomes a red giant and melts the earth. We then asked counsel whether a reviewing court could . . . compel agency action unlawfully withheld or unreasonably delayed, if EPA dragged its feet for decades. Counsel informed us that a court could not act under these circumstances because CERCLA‘s rules governing judicial review override the APA. . . . We can only conclude from this exchange that EPA considers itself protected from review under
CERCLA § 113(h) as longas it has any notion that it might, some day, take further unspecified action with respect to a particular site.
The Government‘s position is dubious, to say the least: If EPA‘s ipse dixit is enough to trigger
2. Frey‘s “Objective Indicator” Limitation
Relying on Frey, Appellants next argue that
Frey addresses the question whether a CERCLA citizen suit under
The Frey argument also fails on its own terms as the Administrative Settlement in this case would pass the “objective indicator” test articulated in Frey. In Frey, EPA‘s CERCLA efforts had come to a standstill, although the agency continued to claim that it would someday take remedial action. EPA then attempted to use
3. Temporal Limitation to “Challenges”
The meaning of
We find no basis in the legislative history to doubt our construction of the text. Appellants cite a House Report that states that the “purpose of this provision is to ensure that there will be no delays associated with a legal challenge of the particular removal or remedial action selected under section 104.” H.R. REP. NO. 99-253, pt. 5, at 25-26 (1985). But this reference suffers from the same basic ambiguity as the statutory text, i.e., whether a challenge must be intended as such from the start or whether a claim can become a challenge to a later-filed CERCLA removal or remedial action. If anything, this report underscores the importance to Congress of minimizing litigation-related delays to CERCLA cleanups, and Appellants have offered no persuasive reason why Congress would want to treat differently the two types of litigation-related delays (i.e., delay caused by preexisting claims and delay caused by claims filed after CERCLA response actions). Delay is delay, and both the natural reading of
Nor are we convinced by Appellants’ assertion that the District Court‘s interpretation of
4. When a Claim Qualifies as a “Challenge”
Appellants also suggest that their claims are not “challenges” under
Other circuits that have addressed this question have applied a “broad standard for what constitutes a challenge.” Cannon, 538 F.3d at 1336. These courts have found that
We believe the approach taken by these circuits is consistent with the operative language and purpose of
every action that increases the cost of a cleanup or diverts resources or personnel from it does not thereby become a “challenge” to the cleanup. The enforcement of minimum wage requirements, for example, might increase the cost
of a cleanup and even divert personnel from cleanup duties without becoming a challenge to the cleanup. [The plaintiff‘s RCRA] lawsuit, however, is far more directly related to the goals of the cleanup itself than is the hypothetical minimum wage action. [The plaintiff], for all practical purposes, seeks to improve on the CERCLA cleanup as embodied in the [agreement].
Id. (emphasis added); see also Gen. Elec., 360 F.3d at 194 (concluding that pre-enforcement judicial review of a facial constitutional challenge to CERCLA was permissible under
Under this framework, there can be little doubt that Appellants’ RCRA claims are “challenges.” This conclusion is evident from Appellants’ pleadings. See El Paso Compl. ¶ H, reprinted in J.A. 118 (seeking “a permanent injunction ordering that Defendants perform cleanup activities“); Navajo Compl. ¶¶ 1.3, 1.6, reprinted in J.A. 174 (seeking an injunction requiring Defendant to “perform clean-up activities” and to “provide financial and technical assistance to the Navajo Nation to carry out the activities necessary to effect clean closure” of the Dump). The requested relief in this case goes beyond interfering with an ongoing CERCLA removal action. The injunction that Appellants seek would require specific cleanup activities that would threaten to obviate the very point of the remedial investigation and feasibility study. As noted above, the point of the study is to analyze the extent of contamination and to evaluate different remedial alternatives so that the Government will be able to choose the “remedial action” that is “appropriate under the circumstances presented” and that will “assure[] protection of human health and the environment.”
Nor does our conclusion change if we assume that Appellants’ RCRA claims are limited to enforcing “the ground water monitoring, interim measures, corrective action and other requirements of Part 258.” El Paso Br. at 47. These regulations require groundwater sampling, analysis, and, if contaminants are detected above allowable standards, an assessment and implementation of a “corrective action” - all on a specified timetable.
That the RCRA claims are “directly related to the goals of the cleanup itself” bolsters our conclusion that they are “challenges” under
Appellants cite United States v. Colorado, 990 F.2d 1565 (10th Cir. 1993), for the proposition that bringing a RCRA enforcement claim does not constitute a “challenge” under
5. The District Court‘s Dismissal With Prejudice
Finally, Appellants argue that, even if their RCRA claims must be dismissed pursuant to
The Government acknowledges that after a remedial investigation and feasibility study is completed, “EPA could determine that no further remediation work is necessary.” Gov‘t Br. at 47. We can find nothing in the statute that obviously bars a renewed RCRA claim after a removal or remedial action has concluded. The Government simply states, in conclusory terms, that RCRA claims arising after a removal or remedial action has concluded should be barred by
If the Government were to choose not to pursue remedial action, Appellants concededly might elect to bring a claim under CERCLA‘s citizen suit provision.
In any event, we need not decide whether renewed RCRA claims may be brought after a removal or remedial action has concluded. As we have explained, the Appellants’ position on this point is far from untenable, but this is a difficult issue that admits of no easy answer. Therefore, we agree that Appellants’ current RCRA claims should be dismissed without prejudice because any question regarding the applicability of
B. RCRA Claims as to the Highway 160 Site
The RCRA claims at the Highway 160 Site remain for our consideration. The District Court ruled that the Nation‘s RCRA claim was mooted by the congressional appropriation for site remediation and by the Tribe‘s agreeing to the liability release in Amendment 026. El Paso IV, 847 F. Supp. 2d at 123-24. This was error. The congressional appropriation and the agreements between the Nation and the DOE are insufficient to moot the Nation‘s RCRA claim.
The mootness limitation is constitutional:
Because the exercise of judicial power under
Article III depends upon the existence of a case or controversy, a federal court may not render advisory opinions or decide questions that do not affect the rights of parties properly before it. See North Carolina v. Rice, 404 U.S. 244, 246 (1971) (per curiam). A court‘s judgment must resolve “areal and substantial controversy admitting of specific relief through a decree of a conclusive character, as distinguished from an opinion advising what the law would be upon a hypothetical state of facts.” Id. This means that an actual controversy must exist at all stages of judicial review, not merely when the complaint is filed. See Roe v. Wade, 410 U.S. 113, 125 (1973).
EDWARDS, ELLIOTT & LEVY, FEDERAL STANDARDS OF REVIEW 134 (2d ed. 2013). And a court must “refrain from deciding [a case that was live when filed] if ‘events have so transpired that the decision will neither presently affect the parties’ rights nor have a more-than-speculative chance of affecting them in the future.‘” Clarke v. United States, 915 F.2d 699, 701 (D.C. Cir. 1990) (en banc) (quoting Transwestern Pipeline Co. v. FERC, 897 F.2d 570, 575 (D.C. Cir. 1990)).
The congressional appropriation for site remediation certainly did not render the Tribe‘s claim moot. The appropriation merely offers some support for relief efforts, but it does not guarantee remedial results, nor by its terms does it bar the Tribe‘s present action. Likewise, the Tribe‘s execution of the liability release in Amendment 026 did not moot its current claim as to the Highway 160 Site. The release in Amendment 026 does not sweep nearly so broadly as the District Court thought.
The District Court relied on clause (A) of the waiver but omitted key phrasing. In relevant part, the waiver states: “Pursuant to
Simply put: the agreement does not contemplate a release of liability “concerning any remedial action,” it only releases liability “concerning such remedial action.” And the Tribe‘s RCRA claim is not one “concerning such remedial action.” Among other things, the Tribe seeks to enforce RCRA regulations that require the implementation of a “ground water monitoring” program. Navajo Compl. ¶ 76, reprinted in J.A. 162-63. Ground water remediation “concerns such remedial action” only insofar as it would take place at the same location, albeit on different strata. As the Tribe explained, the remedial action selected at the Highway 160 Site “only concerns soil,” Navajo Br. at 58, which the Government does not dispute in its brief. Indeed, it would make no sense to say that the remediation covered groundwater, as it was unclear at the time whether the groundwater beneath the site was contaminated. See Bloedel Decl. ¶ 5.
The bottom line is that the Tribe still has an injury caused by the Government that can be remediated by requiring compliance with RCRA‘s groundwater compliance regulations. And no events have transpired to moot its claim.
The District Court‘s additional rationale concerning the broad purpose of the cooperative agreement is unconvincing. It credited the “broad statement of purpose” in Amendment 026 “to complete remediation of the Highway 160 Site.” El Paso IV, 847 F. Supp. 2d at 123. But this quote is but an isolated statement from a document which otherwise makes
Even if the disputed waiver were ambiguous on the question whether it covers the Tribe‘s RCRA groundwater claims - which it is not - we would resolve the ambiguity in the Tribe‘s favor. See Ramah Navajo Chapter v. Salazar, 644 F.3d 1054, 1062 (10th Cir. 2011), aff‘d, 132 S. Ct. 2181 (2012) (agreements dealing with Indian affairs have been construed liberally in favor of establishing Indian rights).
Because we conclude that the Tribe‘s RCRA claims at the Highway 160 Site are not moot, we need not consider whether El Paso has standing. Mountain States Legal Found. v. Glickman, 92 F.3d 1228, 1232 (D.C. Cir. 1996) (“For each claim, if constitutional and prudential standing can be shown for at least one plaintiff, we need not consider the standing of the other plaintiffs to raise that claim.“). We therefore reverse the District Court‘s dismissal of Appellants’ RCRA claims as to the Highway 160 Site and remand the case so that these claims can be considered on the merits.
C. The Government‘s Contingent RCRA Counterclaim
The Government filed a counterclaim against El Paso under RCRA pursuant to the citizen endangerment provision,
El Paso moved to dismiss the counterclaim, and the District Court denied the motion in a minute order. Later, however, in light of the dismissal of Appellants’ RCRA claims, the District Court dismissed the Government‘s counterclaim without prejudice. El Paso argues that the Government‘s counterclaim should have been dismissed with prejudice. Even though El Paso prevailed on the counterclaim, it is within its rights to “appeal a dismissal without prejudice on the grounds that it wants one with prejudice.” See Sea-Land Serv., Inc. v. DOT, 137 F.3d 640, 647 n.4 (D.C. Cir. 1998) (citation omitted). El Paso provides two grounds why the dismissal should have been with prejudice. First, it contends that the Government is not authorized to bring a RCRA “citizen suit” under
We start with the language of the statute. Subsection (a)(1) of the citizen suit provision states:
Except as provided in subsection (b) or (c) of this section, any person may commence a civil action on his own behalf . . . (B) against any person, including the United States and any other governmental instrumentality or agency . . . who has contributed or who is contributing to the past or present handling, storage, treatment, transportation, or disposal of any solid or hazardous
waste which may present an imminent and substantial endangerment to health or the environment.
The plain import of the operative text of
El Paso‘s arguments are unavailing in the face of this clear statutory command. It contends that allowing governmental entities to bring citizen suits runs contrary to the statutory scheme that separately authorizes EPA to bring suits on behalf of the United States.
El Paso also cites legislative history to suggest that the amendment in 1992 that added federal agencies to RCRA‘s definition of “person” was for a limited purpose: to make clear that RCRA waived sovereign immunity for citizen suits against federal facilities. El Paso Br. at 60 (citing H.R. REP. NO. 102-111, at 5-6 (1991)). The inference El Paso would have us draw is that the amendment is therefore not intended for other purposes, such as allowing federal agencies to bring RCRA citizen suits. But the evidence is mixed or, if anything, more supportive of the Government‘s interpretation. See S. REP. NO. 102-67, at 5 (1991) (“[T]he bill amends the definition of person in section 1004(15) of the Solid Waste Disposal Act [i.e., RCRA] so that all of the provisions of that Act apply in the same manner and to the same extent to both Federal and non-Federal persons.“). With the statute as clear as it is, El Paso‘s arguments on appeal are insufficient for us to forgo giving effect to the plain import of the provision. The counterclaim was valid under RCRA.
We are also unconvinced by El Paso‘s second argument, that the counterclaim is “legally deficient because it contains only conditional allegations that do not actually allege an endangerment.” El Paso Br. at 61. El Paso observes that the counterclaim alleges that “[t]o the extent that either [El Paso] or the Navajo Nation establishes, as alleged in their complaints, that solid or hazardous waste [at one of the relevant sites] may present an imminent and substantial endangerment to health or the environment, then [El Paso] is liable under [RCRA] section 7002(a)(1)(B),
If El Paso conceded that its own RCRA claim was not plausible, then perhaps it would have a point. But it does not. Its argument is therefore meritless. Counterclaims made contingent on the outcome of the principal action are permissible. See Springs v. First Nat‘l Bank of Cut Bank, 835 F.2d 1293, 1296 (9th Cir. 1988) (“[A] counterclaim is not barred because recovery will depend on the outcome of the main action.“); see also WRIGHT & MILLER, FED. PRACTICE & PROCEDURE § 1411 (“A counterclaim will not be denied treatment as a compulsory counterclaim solely because recovery on it depends on the outcome of the main action, however. This approach seems sound when the counterclaim is based on pre-action events and only the right to relief depends upon the outcome of the main action.“).
We therefore affirm the District Court‘s dismissal of the Government‘s counterclaim without prejudice.
D. Mill Tailings Act
Only claims brought by the Nation remain. Of these, we turn next to the two claims that allege violations at the Mill of the Mill Tailings Act and related regulations.
The Government argues that these claims are barred for want of subject matter jurisdiction because the Mill Tailings Act precludes judicial review. Gov‘t Br. at 71-75. Alternatively, the Government says the Tribe has failed to state a claim for relief. Id. at 73 n.7, 76-77. The District Court agreed that it lacked jurisdiction. El Paso III, 774 F. Supp. 2d at 45-47. For the reasons that follow, we conclude that the District Court had jurisdiction but that dismissal was nevertheless appropriate because the two counts fail to state viable claims for relief. See EEOC v. St. Francis Xavier Parochial Sch., 117 F.3d 621, 624 (D.C. Cir. 1997) (“Although the district court erroneously dismissed the action pursuant to Rule 12(b)(1), we could nonetheless affirm the dismissal if dismissal were otherwise proper based on failure to state a claim under Federal Rule of Civil Procedure 12(b)(6).“).
We can make quick work of the Government‘s suggestion that the District Court lacked jurisdiction. The Tribe does not argue that the Mill Tailings Act affords a private right of action; rather, it stakes its claim on a cause of action under the APA. See
The APA expressly does not afford a cause of action “to the extent that . . . statutes preclude judicial review.”
The Government argues that the Mill Tailing Act impliedly precluded the District Court from entertaining the Tribe‘s APA claims because
Nonetheless, we agree with the Government that the two counts must be dismissed under Rule 12(b)(6). See St. Francis Xavier, 117 F.3d at 624. To begin with, the particular terms of the waiver in the cooperative agreement here control the disposition of the Third Claim for Relief. See Coop. Agreement at 17-18, reprinted in J.A. 214-15. The waiver releases the United States of “any liability or claim . . . arising out of the performance of any remedial action.” Id. (emphasis added). In the Third Claim for Relief, the Tribe asserts that the Government failed to meet certain design criteria and environmental standards. These are clearly matters arising out of the “performance” of the “remedial action,” which is covered by the waiver. See id. at 4, reprinted in J.A. 200 (defining “remedial action” as “the assessment, design, construction, renovation, reclamation, decommissioning, and decontamination activities of DOE” (emphasis added)).
In the Fourth Claim for Relief, the Tribe alleges that the DOE “failed to complete remedial action at the Mill before September 30, 1998.” Navajo Compl. ¶ 98. This alleged failure to act does not arise out of “performance” under the waiver, so it is not directly covered by the waiver. The claim is nonetheless flawed because it does not assert any discrete duties which the DOE failed to take and which it was obliged to take with respect to remedial action. Norton v. S. UtahWilderness Alliance (SUWA), 542 U.S. 55, 64 (2004) (“[A] claim under
In sum, we conclude that the Mill Tailings Act does not preclude judicial review of the Tribe‘s claims. But we affirm on alternative grounds. The terms of the waiver executed by the Tribe plainly bars the Third Claim for Relief. And the Fourth Claim for Relief fails to state a claim since it alleges no discrete duty to act incumbent on the DOE.
E. The Indian Dump Cleanup Act and the Indian Agricultural Act
The Tribe pursued two other statutory claims. Its Second Claim for Relief alleges that
We evaluate both claims inasmuch as they apply to sites other than the Dump (where
1. Private Right of Action
After contending before the District Court and in its opening brief here that the Indian Agricultural Act creates a private right of action, the Tribe concedes in its reply that it does not. Navajo Reply at 9 n.5 (acknowledging that the statutory language preserving sovereign immunity “is inconsistent with a private right of action and the Nation no longer asserts that [the Indian Agricultural Act] creates one“); see also
The Tribe argues instead that Congress created a right of action in the Indian Dump Cleanup Act. If so, it is implied. See
(1) whether the plaintiff is one of the class for whose benefit the statute was enacted; (2) whether some indication exists of legislative intent, explicit or implicit, either to create or to deny a private remedy; (3) whether implying a private right of action is consistent with the underlying purposes of the legislative scheme; and (4) whether the cause of action is one traditionally relegated to state law, such that it would be inappropriate for the court to infer a cause of action based solely on federal law.
Tax Analysts, 214 F.3d at 185-86 (citing Cort, 422 U.S. at 78). Applying this test, we conclude that no private right of action can be inferred.
First, private remedies follow private rights, and we agree with the District Court that the Act “focuses on the regulating agency‘s obligations, and not on the rights of the protected party.” El Paso III, 774 F. Supp. 2d at 49 (citing Sandoval, 532 U.S. at 289). We see nothing to indicate that the statute implicitly confers a right of action. See Godwin v. Sec‘y of HUD, 356 F.3d 310, 312 (D.C. Cir. 2004). As the Godwin court explained,
“In fact, it is difficult to understand why a court would ever hold that Congress, in enacting a statute that creates federal obligations, has implicitly created a private right of action against the federal government, [as] there is hardly ever any need for Congress to do so” given that agency action can normally be reviewed by a district court pursuant to its federal question jurisdiction.
We hold below that the Tribe has no viable action under the APA in this case, but that does not change our analysis here. Indeed, if anything, the absence of an APA claim here “only reinforces our view that the [statute] creates no implied right of action, for it would be quite odd to hold that Congress implicitly created a cause of action despite another statute‘s preclusion of such an action. Given Congress‘s presumed awareness of the APA‘s provisions, we believe – in accordance with the holdings of other circuits – that Congress would make explicit any intent to create a cause of action in these circumstances.” Id. at 312 (citations omitted).
In the absence of clear indicia of intent to the contrary, we hold that the Indian Dump Cleanup Act does not provide an implied right to sue.
2. APA
There being no private right of action in either statute, the viability of the Tribe‘s Second and Ninth Claims for Relief turns on whether the Tribe has adequately pled its claims under the APA. Both claims allege failures to act. See
Such failures to act “are sometimes remediable under the APA, but not always.” SUWA, 542 U.S. at 61. Drawing on the “agency action” language in sections
First, with respect to the Indian Agricultural Act claim, the Tribe argues that
(a) Tribal recognition– The Secretary shall conduct all land management activities on Indian agricultural land . . . in accordance with all tribal laws and ordinances, except in specific instances where such compliance would be contrary to the trust responsibility of the United States.
(b) Tribal laws– Unless otherwise prohibited by Federal law, the Secretary shall comply with tribal laws and ordinances pertaining to Indian agricultural lands, including laws regulating the environment and historic or cultural preservation, and laws or ordinances adopted by the tribal government to regulate land use or other activities under tribal jurisdiction. The Secretary shall—
. . .
(3) upon the request of an Indian tribe, require appropriate Federal officials to appear in tribal forums.
We think these allegations are insufficient to state a claim for relief. The chief problem with the Tribe‘s argument is that the language above does not appear to endow the agency with a duty to act; rather, it requires that when the agency does act, its action must comport with tribal law. The portion of
Furthermore, insofar as the claim is premised on the Navajo Nation Civil Trespass Act and the Government‘s failure to remove waste from the Dump or Highway 160 Site, we lack jurisdiction to hear it. Seeking an injunction to remove the hazardous waste from the Dump would plainly constitute a “challenge” under
Second, an APA claim premised on the Indian Dump Cleanup Act also fails. In particular, the Tribe relies on
This claim falters because the purportedly mandatory duty is contingent on a series of predicate acts in subsection (a). That is, the duty to provide assistance in subsection (b) can only be invoked “[u]pon completion of the activities required to be performed pursuant to subsection (a).”
F. Breach of Trust
The final matter at issue in this case is the Tribe‘s breach-of-trust claim. With respect to all three sites, the Tribe alleged in its Tenth Claim for Relief that the Government breached various duties owed to it under federal common law, assorted statutes, and the 1850 Treaty between the Tribe and the United States. Navajo Compl. ¶¶ 121-26, reprinted in J.A. 171. The District Court dismissed the claim based in part on its conclusion that the sources of law relied upon by the Tribe did not create a cause of action. El Paso III, 774 F. Supp. 2d at 52-53. We hold, for the reasons discussed below, that the Tribe has failed to state a claim for relief because the Tribe has not identified a substantive source of law establishing specific fiduciary duties, a failure which is fatal to its trust claim regardless of whether we read the claim as brought under the APA or under a cause of action implied by the nature of the fiduciary relationship itself.
It helps to take a step back. Because the Government is a defendant here, the Tribe faces three threshold requirements to stating a viable claim for relief at the pleading stage: it must establish federal subject matter jurisdiction, a waiver of sovereign immunity, and a cause of action. See Floyd v. District of Columbia, 129 F.3d 152, 155 (D.C. Cir. 1997). The first of these is simple because the Tribe‘s claim turns on questions of federal law and, as such, the District Court properly enjoyed “arising under” jurisdiction pursuant to
The Tribe appears to argue that its claim can be maintained either (1) under the APA or (2) under a cause of action inferred from the fiduciary responsibilities undertaken by the Government. See Navajo Br. at 48, 49 n.9. On either conception of the claim our inquiry is largely the same because, under controlling precedent, a cause of action will be inferred from a fiduciary relationship only where a plaintiff can identify specific trust duties in a statute, regulation, or treaty. And this analysis overlaps with the APA‘s requirement that a plaintiff allege “that an agency failed to take a discrete agency action that it is required to take.” SUWA, 542 U.S. at 64.
Before addressing the Tribe‘s specific arguments on appeal, we turn to the Supreme Court‘s case law concerning Indian trust claims, and then to the law of the circuit, to ascertain the principles that govern.
1. Governing Principles
The existence of a general trust relationship between the Government and Indian tribes is long established. See, e.g., Seminole Nation v. United States, 316 U.S. 286, 296 (1942); Cherokee Nation v. Georgia, 30 U.S. 1, 17 (1831). But this
In decisions addressing Indian trust claims arising in the context of the Indian Tucker Act,
a. Trust Claims under the Indian Tucker Act
The Supreme Court, in two pairs of cases, delineated what an Indian tribe must establish to bring a breach-of-trust claim for money damages against the Government under the Indian Tucker Act,
Mitchell I and Mitchell II were decided in the same case, which was brought by members of the Quinault Tribe alleging that the Government mismanaged timber resources and thereby breached its duty as trustee. The posture of Mitchell I presented the question whether the Indian General Allotment Act of 1887 (“Allotment Act“), also known as the Dawes Act, authorized an award of money damages against the United States for its mismanagement of forests on land allotted under
Mitchell II considered these other statutes and held that they imposed enforceable fiduciary duties, i.e., that they created a cause of action for breach of trust. The Court distinguished Mitchell I, stating that “[i]n contrast to the bare trust created by the General Allotment Act, the statutes and regulations [here] clearly give the Federal Government full responsibility to manage Indian resources and land for the benefit of the Indians. They thereby establish a fiduciary relationship and define the contours of the United States’ fiduciary responsibilities.” 463 U.S. at 224. The statutes at issue established “comprehensive” federal responsibilities to manage the harvesting of Indian timber and instructed that sales of Indian timber should be “based upon the Secretary‘s consideration of ‘the needs and best interests of the Indian owner and his heirs.‘” Id. at 222, 224 (quoting
In Navajo I and White Mountain – decided the same day – a divided Supreme Court further fleshed out these trust principles. In Navajo I, the Tribe asserted that the Secretary of the Interior committed a breach of trust by approving a substandard royalty rate in a coal lease on a tract of Indian land. 537 U.S. at 493. The Tribe argued that the Indian Mineral Leasing Act of 1938 assigned to the Secretary a fiduciary obligation to maximize returns from coal leases on Indian land whenever he exercised his statutory responsibility to approve mining leases. Id. at 496. The Court disagreed, notwithstanding that it was aware of the fact that the “Tribe‘s reservation lands . . . are held for it in trust by the United States.” Id. at 495. Like the Allotment Act in Mitchell I, the Indian Mineral Leasing Act and associated regulations did not “assign to the Secretary managerial control over coal leasing.” Id. at 508. In fact, the statute and regulations did not “even establish the ‘limited trust relationship’ embodied under the Allotment Act.” Id. (quoting Mitchell I, 445 U.S. at 542).
Important to the Court‘s conclusion in White Mountain that the 1960 Act created a cause of action for money damages was the fact that the Act afforded the Secretary with a right of use and occupancy. Justices Ginsburg and Breyer, who joined the majority opinions in both Navajo I and White Mountain and who were the deciding votes in both cases, authored a concurrence in the latter explaining how the two opinions were “not inconsistent.” Id. at 479 (Ginsburg, J., concurring). In the White Mountain concurrence, Justice Ginsburg explained that the “threshold set by the Mitchell cases is met” because the 1960 Act “expressly and without
Collectively, Mitchell I, Mitchell II, White Mountain, and Navajo I make clear that, while a cause of action for money damages under the Indian Tucker Act can be inferred as a concomitant to a specific fiduciary duty owed by the Government, a Tribe must first “identify a substantive source of law that establishes” that specific fiduciary duty. Navajo I, 537 U.S. at 506 (emphasis added). This “analysis must train on specific rights-creating or duty-imposing statutory or regulatory prescriptions.” Id. A statute‘s invocation of trust terminology is not itself dispositive, since the statute may create either a judicially enforceable trust as in White Mountain or a “bare trust,” not judicially enforceable, as in Mitchell I. What separates a “bare trust” from a bona fide one is a matter of statutory interpretation, and the real question is whether the particular statute or regulation establishes rights and duties that characterize a conventional fiduciary relationship.
These principles control here, even though the claim is for equitable relief (not money damages) and even though sovereign immunity is waived under
b. Circuit Precedent
The Indian Tucker Act confers jurisdiction to the Court of Federal Claims and waives sovereign immunity only for a limited subset of claims, namely those “arising under the Constitution, laws or treaties of the United States, or Executive orders of the President, or . . . [claims] which otherwise would be cognizable in the Court of Federal Claims if the claimant were not an Indian tribe.”
Although we appreciate this possibility, we nevertheless apply the lessons articulated in the Mitchell cases. We do so for two reasons: because this been our approach in past cases and, as important, because the Tribe has not marshaled an argument that we should reconsider our approach. We amplify both points below.
First, we have consistently relied on principles announced in Indian Tucker Act cases in trust cases not arising under the Act. We stated in North Slope Borough v. Andrus, 642 F.2d 589 (D.C. Cir. 1980), that a “trust responsibility can only arise from a statute, treaty, or executive order; in this respect we are governed by [Mitchell I] holding that the United States bore no fiduciary responsibility to Native Americans under a statute which contained no specific provision in the terms of the statute.” Id. at 611 (internal quotation marks and footnote omitted); accord Shoshone-Bannock Tribes v. Reno, 56 F.3d 1476, 1482 (D.C. Cir. 1995) (“[T]he government‘s fiduciary
Our decision in Cobell VI, upon which the Tribe relies, is not to the contrary. Cobell v. Norton (Cobell VI), 240 F.3d 1081 (D.C. Cir. 2001). It is true that there we quoted Mitchell II to say that a “‘fiduciary relationship necessarily arises when the Government assumes such elaborate control over forests and property belonging to Indians. All of the necessary elements of a common-law trust are present: a trustee (the United States), a beneficiary (the Indian allottees), and a trust corpus (Indian timber, lands, and funds).‘” Id. at 1098 (quoting 463 U.S. at 225). However, we said this not to suggest that an actionable fiduciary relationship arises merely by operation of federal common law. Rather, we explained that the common law informs the interpretation of statutes that establish the elements of a common-law trust without employing the terms of art. The Mitchell II rule, we said, “operates as a presumption,” such that “‘where the Federal Government takes on or has control or supervision over tribal monies or properties, the fiduciary relationship normally exists with respect to such monies or properties (unless Congress has provided otherwise) even though nothing is said expressly in the authorizing or underlying statute (or other fundamental document) about a trust fund, or a trust or fiduciary connection.‘” Id. (emphasis added) (quoting 463 U.S. at 225). We then reiterated that a fiduciary relationship depends on substantive laws, stating that “the government‘s obligations are rooted in and outlined by the relevant statutes and treaties.” Id. at 1099.
Second, the Tribe has not argued that the principles enunciated by the Supreme Court in the Indian Tucker Act cases do not control here. To be sure, it drops hints of disagreement in its brief – a footnote stating parenthetically
2. The Tribe‘s Arguments
The Tribe argues that various statutes establish an enforceable fiduciary duty. We disagree.
a. 25 U.S.C. § 640d-9(a)
The Tribe‘s primary contention on appeal is that, because the land in question is subject to an “express trust” under
This argument has surface-level appeal based on a loose congruence between the claims in White Mountain and here. Both involve allegations of governmental control over Indian property designated by statute as some sort of trust. And both statutes say precious little. Section
But
Unable to infer specific fiduciary duties from
Our conclusion in this case is mandated by the Supreme Court‘s decision in United States v. Navajo Nation (Navajo II), 556 U.S. 287 (2009), which was not brought to our attention by the parties. On remand after Navajo I rejected a trust claim predicated on the Indian Mineral Leasing Act, the Federal Circuit relied on
The Supreme Court reversed. Although the Supreme Court did not specifically address
Simply put, Navajo II forecloses the Tribe‘s arguments that
If a plaintiff identifies such a [rights-creating or duty-imposing statutory or regulatory] prescription, and if that prescription bears the hallmarks of a “conventional fiduciary relationship,” White Mountain, 537 U.S. at 473, then trust principles (including any such principles premised on “control“) could play a role in “inferring that the trust obligation [is] enforceable by damages” . . . . But that must be the second step of the analysis, not (as the Federal Circuit made it) the starting point.
b. The Indian Dump Cleanup Act, the Indian Agricultural Act, and the Mill Tailings Act
The Tribe next argues that the Indian Agricultural Act, the Indian Dump Cleanup Act, and the Mill Tailings Act also impose enforceable trust duties. Navajo Br. at 50. We need not tarry long over these claims.
The Mill Tailings Act does not purport to establish a conventional fiduciary relationship with an attendant cause of action for breach of trust. To begin with, as we observed in El Paso II, the Mill Tailings Act‘s “statement of purpose reveals that Congress passed the statute to protect public health in general rather than tribal health in particular.” 632 F.3d at 1278 (emphasis added); see also
Nor does the Indian Agricultural Act impose independently enforceable trust duties. Although the Act mentions the Government‘s “trust responsibility” in stating its findings and purposes,
Any trust claim founded on the Indian Dump Cleanup Act fares no better. Granted, this statute, like the previous one, states in its findings that “the United States holds most
To summarize: none of the cited sources of law –
c. Other Statutes
Finally, the Tribe argues that federal agencies, as a component of their fiduciary responsibilities, have a minimum duty to comply with generally applicable laws if their actions affect trust property. Navajo Br. at 52-54. This argument has no traction. The Tribe does not contend that, under the Mitchell doctrine, these generally applicable statutes afford it a cause of action for breach of trust, and for good reason. The generally applicable statutes – e.g., RCRA and the Clean Water Act – do not establish a conventional fiduciary
III. CONCLUSION
For the reasons stated above, we affirm the judgment of the District Court on all but two points. First, we reverse the dismissal “with prejudice” of Appellants’ RCRA claims that relate to the Dump. We hereby remand with instructions to the District Court to enter judgment against Appellants “without prejudice.” Second, we vacate the District Court‘s dismissal of Appellants’ RCRA claims as to the Highway 160 Site and remand the case so that these claims can be considered on the merits.
So ordered.
