Opinion for the Court filed by Circuit Judge RANDOLPH.
Federal agencies may, and sometimes do, permit persons to intervene in administrative proceedings even though these persons would not have standing to challenge the agency’s final action in federal court. Agencies, of course, are not constrained by Article III of the Constitution; nor are they governed by judicially-created standing doctrines restricting access to the federal courts. The criteria for establishing “administrative standing” therefore may permissibly be less demanding than the criteria for “judicial standing.”
See, e.g., Pittsburgh & W.Va. Ry. v. United States,
Is the converse true? May an agency refuse to grant a hearing to persons who would satisfy the criteria for judicial standing and refuse to allow them to intervene in administrative proceedings? This is the ultimate question posed in these consolidated petitions for judicial review of two orders of the Nuclear Regulatory Commission refusing to grant Envirocare of Utah, Inc.’s requests for a hearing and for intervention in licensing proceedings.
I
Envirocare was the first commercial facility in the nation the Commission licensed to dispose of certain radioactive byproduct material from offsite sources. 2 The Commission had licensed other companies to dispose of such radioactive waste, but only if the waste was produced onsite. In the late 1990s, the Commission granted the applications of two such companies for amended licenses to allow them to dispose of radioactive waste received from other sites. International Uranium (USA) Corporation’s facility in Utah became licensed to receive and dispose of approximately 25,000 dry tons of waste still remaining from the Manhattan Project and currently stored in New York State. Quivira Mining Company’s facility in New Mexico, some 500 miles from Envdroeare’s operation, also became licensed to dispose of specified amounts of such material from offsite sources.
In both licensing proceedings before the Atomic Safety and Licensing Board, Envi-rocare requested a hearing and sought leave to intervene to oppose the amendment. Envirocare’s basic complaint was “that the license amendment permits [the company] to become a general commercial facility like Envirocare, but that the NRC did not require [the company] to meet the same regulatory standards the agency imposed upon Envirocare when Envirocare sought
its
license to become a commercial disposal facility for” radioactive waste.
Quivira Mining Co.,
With respect to the proceedings to amend Quivira’s license, the Commission ruled that Envirocare did not come within the following “standing” provision in the Atomic Energy Act: when the Commission institutes a proceeding for the granting or amending of a license, “the Commission shall grant a hearing upon the request of any person whose interest may be affected by the proceeding, and shall admit any such person as a party to such proceeding.” 42 U.S.C. § 2289(a)(1)(A). In determining whether Envirocare possessed the requisite “interest” under this provision, the Commission looked to “current judicial concepts of standing.”
Quivira Mining Co.,
With respect to International Uranium’s license, the Commission agreed with the Licensing Board that the case was “on all fours” with
Quivira. International Uranium Corp.,
II
Envirocare spends all of its time arguing that in light of decisions of the Supreme Court and of this court, its status as a competitor satisfies the “zone of interests” test for standing, as the test was formulated in
Association of Data Processing Service Organizations v. Camp,
Whether the Commission erred in excluding Envirocare from participating in International Uranium’s licensing proceeding therefore turns not on judicial decisions dealing with standing to sue, but on familiar principles of administrative law
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regarding an agency’s interpretation of the statutes it alone administers.
See Chevron U.S.A. Inc. v. Natural Resources Defense Council, Inc.,
Because we cannot be confident of what kinds of interests the 1954 Congress meant to recognize in § 2239(a)(1)(A)— because, in other words, the statute is ambiguous — the Commission’s interpretation of this provision must be sustained if it is reasonable.
See Chevron,
Nothing in this provision, or in the rest of the Act, indicates that the license requirement was intended to protect market participants from new entrants. Enviro-care points to the Act’s policy statement which mentions “strengthening] free competition in private enterprise.” Petitioner’s Initial Brief at 25 (citing 42 U.S.C. § 2011). This statement refers to the Act’s goal of creating a private nuclear energy industry. Allowing new competitors to enter the market strengthens competition. Permitting current license holders to initiate hearings for the purpose of imposing burdens on potential competitors does the opposite. See Lars Noah, Sham Petitioning as a Threat to the Integrity of the Regulatory Process, 74 N.C. L.Rev. 1 (1995).
In rendering its interpretation of § 2239(a)(1)(A), the Commission also properly took account of regulatory burdens on the agency. It wrote: “Competitors, though, whose only ‘interest’ is lost business opportunities, could readily burden our adjudicatory process with open-ended allegations designed not to advance public health and safety but as a dilatory tactic to interfere with and impose costs upon a competitor. Such an abuse of our hearing process would significantly divert limited agency resources, which ought to be squarely — genuinely—focused upon health and safety concerns.”
International Uranium,
For these reasons, the view the Commission expressed in its
International Uranium
opinion — that competitors asserting economic injury do not demonstrate the type of interest necessary under § 2239(a)(1)(A) — is a permissible construction of the statute.
5
And it appears to be a construction the Commission has adhered to for some time.
See Virginia Elec. & Power Co.,
We mentioned earlier several decisions of this court indicating that agencies should allow administrative standing to those who can meet judicial standing requirements:
National Welfare Rights Organization v. Finch,
This brings us to the Commission’s order in
Quivira.
The Commission in that case appeared to reject Envirocare’s petition entirely on the basis of its reading of judicial standing doctrine. The opinion did not purport to rest on the interpretation of § 2239(a)(1)(A) it expressed a few months later in the
International Uranium
case. The Commission did, however, give notice that although it “customarily follows judicial concepts of standing, we are not bound to do so given that we are not an Article III court.”
Quivira,
The petitions for judicial review are denied.
Notes
. As Judge Friendly observed:
The need for a "case or controversy” to seek judicial review but not to intervene in an administrative hearing; the differences between statutes and agency rules controlling intervention and statutes controlling judicial review; and the differing characters of administrative and judicial proceedings — all of these negate any general rule linking a person's standing to seek judicial review to the fact that he has been allowed to intervene before the agency.
Id. (citing 3 Kenneth Culp Davis, Administrative Law Treatise § 22.08, at 241 (1958)).
. The material consists of waste resulting from "the extraction or concentration of uranium or thorium from any ore processed primarily for its source material content.” 42 U.S.C. § 2014(e)(2).
. Although it appears that the Administrative Procedure Act applies to the Nuclear Regulatory Commission, see 42 U.S.C. § 2231, Emb-rocare has not invoked the APA’s administrative standing provision, which reads: "So far as the orderly conduct of public business permits, an interested person may appear before an agency or its responsible employees for the presentation, adjustment, or determination of an issue, request or controversy in a proceeding," 5 U.S.C. § 555(b).
Commentators have noted that the role of § 555(b) is unclear and very few courts have attempted to delineate its scope. See 3 Kenneth Culp Davis & Richard J. Pierce, Jr., Administrative Law Treatise § 16.10, at 63-65 (3d ed.1994). One scholar, relying on the prefatory language of the provision, argues that § 555(b) does not create "an absolute, or even a conditional, right to be a party.” David L. Shapiro, Some Thoughts on Intervention Before Courts, Agencies, and Arbitrators, 81 Harv. L.Rev. 721, 766 (1968). We express no view on whether § 555(b) would bring about a result different than the one reached by the Commission in its International Uranium opinion interpreting § 2239(a)(1)(A). See infra note 7.
. We are not sure that
Martin-Trigona v. Federal Reserve Bd.,
. The Commission’s interpretation does not leave competitors without any opportunity to make their views known in another’s licensing proceeding. As the Commission pointed out, any person is allowed to participate in the written petition process, see 10 C.F.R. § 2.206, and competitors can participate in ongoing adjudications as amici.
See International Uranium,
. At least one member of this court questioned these decisions even before
Chevron. See Koniag, Inc., Village of Uyak v. Andrus,
. Our
post-Chevron
opinion in
Nichols v. Board of Trustees of the Asbestos Workers Local 24 Pension Plan,
