Gulf Restoration Network, Inc. v. National Marine Fisheries, ServiceGulf Restoration Network, Inc. v. National Marine Fisheries, Service
MEMORANDUM OPINION
Plaintiffs Gulf Restoration Network, Inc., Food & Water Watch, and Ocean Conservancy (collectively, “Plaintiffs”) brought this action against Defendant National Marine Fisheries Services (“NMFS”), James W. Balsiger, National Oceanic and Atmospheric Administration, and Gary Locke, United States Secretary of Commerce (collectively, “Defendants”), alleging that the Fishery Management Plan for Regulating Offshore Marine Aquaculture in the Gulf of Mexico violates provisions of the Magnuson-Stevens Fishery and Conservation Management Act and the National Environmental Policy Act.
This matter is before the Court on Defendants’ Motion to Dismiss [Dkt. No. 8] for lack of subject matter jurisdiction pursuant to Rule 12(b)(1) and failure to state a claim for which relief can be granted pursuant to Rule 12(b)(6). Upon consideration of the Motions, Opposition, Reply, and the entire record herein, and for the reasons stated below, NMFS’ Motion to Dismiss is granted.
I. BACKGROUND
A. Statutory Background
Plaintiffs allege violations of the Magnuson-Stevens Fishery Conservation and Management Act (“MSA”),
The Department of Commerce, through NMFS,
1
regulates the nation’s marine fisheries, pursuant to the MSA. The MSA establishes eight Regional Fishery Management Councils composed of federal officials, state officials, and private parties that are appointed by the Secretary of Commerce.
Once a Council has developed a Plan, the MSA requires that the Secretary of Commerce review it. The Secretary must determine whether the FMP comports with ten national standards provided for in the MSA, as well as “any other applicable law.”
The MSA then instructs that the Secretary shall “approve, disapprove, or partially approve a plan or amendment within 30 days of the end of the comment period ... by written notice to the Council.” Id. at § 1854(a)(3). The Act also contemplates a scenario where the Secretary does not approve or disapprove the FMP: “If the Secretary does not notify a Council within 30 days of the end of the comment period of the approval, disapproval, or partial approval of a plan or amendment, then such plan or amendment shall take effect as if approved.” Id. In other words, if the Secretary fails to act, the FMP automatically becomes effective.
At the same time the Council submits its FMP to the Secretary, it also submits regulations for its implementation to the Secretary. Id. at § 1853(c). The Secretary then must conduct a review of the regulations which is similar to that conducted for the Plan — i.e. determine consistency with national standards, applicable law, and the FMP. Before the regulations become final, the MSA requires that the “Secretary shall notify the Council in writing of [any] inconsistencies and provide recommendations on revisions that would make the proposed regulations consistent with the fishery management plan, plan amendment, this chapter, and other applicable law.” Id. at § 1854(b)(1)(B). Unlike the procedure governing adoption of the FMP, the MSA contains no provision that allows the regulations to take effect by operation of law if the Secretary takes no action. See id. at § 1854(b)
B. Factual Background
One of the eight Councils, the Gulf of Mexico Fishery Management Council (“Gulf Council”), drafted the FMP at issue in this case to authorize commercial offshore aquaculture facilities in the Gulf of Mexico’s EEZ. The Gulf Council approved the FMP on January 27, 2009. Decl. of Kevin W. McCardle [Dkt. No. 9], Ex. 2 at l.
2
It sets forth a plan for a regional permitting process for commercial offshore aquaculture in federal waters.
Id.
at 1-2. The Council submitted its proposed regulations to NMFS with its FMP on February 24, 2009.
Id.
at Cover. The comment period began the day the notice was published, which was June 4, 2009, and closed August 3, 2009.
3
Id.
NMFS had 30 days,
Offshore aquaculture is the farming of aquatic animals in open ocean areas, most often through the use of floating or submerged net-pens or cages. McCardle Decl., Ex. 1 at 15. If the Council’s FMP is implemented, an estimated five to 20 offshore aquaculture operations would be permitted over the next ten years, with an estimated annual production of up to 64 million pounds of fish. Id. at 1. The Council cites an increase in demand for protein and seafood as the justification for this proposed change to aquaculture from “commercial wild-capture fisheries [that] are being fished at or above sustainable levels and are likely unable to meet such growing demand.” Id.
The FMP submitted by the Gulf Council incorporated a Programmatic Environmental Impact Statement (“PEIS”). The lengthy document presented ten discrete actions that would comprise the aquaculture plan. See id. at 25-101 (discussing, inter alia, requirements for permits, applications, durations of the permits, siting requirements, and recordkeeping and reporting). For each proposed action, the FMP analyzed three management alternatives that described how each action could be implemented. Id. at 10-14 (summarizing actions and alternatives). The relevant portions of the Council’s preferred version of the FMP are summarized as follows:
1.An aquaculture permit would be required for conducting offshore marine aquaculture. Such a permit would authorize the deployment and operation of an offshore aquaculture facility and the sale of allowable aquaculture species. Dealer permits are required in order to receive cultured organisms and are non-transferable. Aquaculture permits are transferable (except under limited conditions) and eligibility is limited to United States citizens and permanent resident aliens.
2. Application and operational requirements, as well as permit restrictions would be established. Some application requirements include submitting an application, providing general contact information, descriptions of systems and equipment, site location coordinates, and an emergency disaster plan. Operational requirements include a use-it-or-lose-it provision, documentation that brood-stock are marked or tagged at the hatchery, certification that animals are pathogen free, and various monitoring requirements. The use of drugs, biologies, and pesticides must be in compliance with federal agency regulations.
3. An aquaculture permit would be effective for ten years and may be renewed in five-year increments.
4. The aquaculture of all species native to the Gulf and those listed in the aquaculture fishery management unit would be allowed, with the exception of shrimp and corals.
McCardle Decl, Ex. 1 at 10-13.
Before a permit application is approved, a Regional Administrator (“RA”) must review it and make a preliminary determination as to whether it merits further consideration.
See id.
at viii, 2. If so, notice of the application is published in the Federal Register, along with notice of NOAA’s intent to grant the permit. There is then a comment period of 15-15 days, during
Additionally, the EPA and Army Corps of Engineers (“Corps”) have some responsibility over permitting offshore aquaculture.
Id.
at 246, 251-52. In order to proceed with an aquaculture operation, an applicant must obtain a permit for the construction of offshore aquaculture facilities from the Corps, pursuant to the Rivers and Harbor Act.
See
On September 3, 2009, the Fishery Management Plan for Regulating Offshore Marine Aquaculture in the Gulf of Mexico [“the FMP” or “the Aquaculture FMP”] took effect by operation of law. Pursuant to
As noted earlier, if NMFS decides to partially approve or disapprove an FMP, it must follow the procedure outlined in
If the Secretary [i.e. NMFS] does not notify a Council within 30 days of the end of the comment period of the approval, disapproval, or partial approval of a plan or amendment, then such plan or amendment shall take effect as if approved.
On September 3, 2009, NMFS wrote a letter to the Council explaining why it had not acted on the FMP within the 30-day statutory period. NMFS explained that the scope of the FMP went far beyond any aquaculture measures previously submitted and that it raised “important issues of national policy regarding the manner in which offshore aquaculture is regulated in the EEZ.” See McCardle Deck, Ex. 2 at 1-2. Given the broad scope of the FMP, NMFS advised the Council that “it was not prudent to take action on the FMP in the absence of a comprehensive national policy” that could foster the development of environmentally sound offshore aquaculture operations. See id. NMFS explained:
As we develop a national policy, we will also examine the Plan in the context of that policy. If we determine the Plan is inconsistent with that policy, we will consider appropriate action, which could include seeking amendment or withdrawal of the [P]lan through the Magnuson-Stevens Act. Id.
That same day NMFS issued a press release publicly announcing its intent to develop such a national policy and stated that although the FMP had taken effect, regulations must be published before per
C. Procedural History
On October 2, 2009, Plaintiffs filed two similar lawsuits alleging violations of the MSA, NEPA, and the APA. The Court consolidated the two lawsuits on November 10, 2009. Order (Nov. 10, 2009) [Dkt. No. 6],
The Complaints allege four claims against NMFS. Claim One alleges that NMFS’ failure to approve, disapprove, or partially approve the Aquaculture FMP within 30 days, as provided for by
On November 23, 2009, Defendants filed a Motion to Dismiss Plaintiffs’ Complaints for lack of subject matter jurisdiction pursuant to Rule 12(b)(1), and, in addition or in the alternative, for failure to state a claim for which relief can be granted pursuant to Rule 12(b)(6). Defs.’ Mot. at 1. Defendants argue that Plaintiffs’ Complaints should be dismissed because (1) Plaintiffs lack Article III standing; (2) Plaintiffs’ claims are unripe; and (3) Plaintiffs lack a statutory cause of action through which Congress has waived sovereign immunity. Id. at 1.
Plaintiffs filed an Opposition to Defendants’ Motion on December 11, 2009, claiming that (1) Plaintiffs have Article III standing; (2) Plaintiffs’ claims are ripe; and (3) Plaintiffs have statutory causes of action in which Congress has waived sovereign immunity. Pis.’ Opp’n to Defs.’ Mot. (“Pis.’ Opp’n”) at 1 [Dkt. No. 11]. Defendants filed their Reply in Support of their Motion to Dismiss on December 18, 2009. Defs.’ Reply Memorandum in Support of Defs.’ Mot. (“Defs.’ Reply”) [Dkt. No. 14].
II. STANDARD OF REVIEW
Defendants ask the Court to dismiss the Plaintiffs’ claims under Rules 12(b)(1) and 12(b)(6). Under Rule 12(b)(1), the plaintiff bears the burden of proving by a preponderance of the evidence that the Court has subject matter jurisdiction to hear the case.
See Khadr v. United States,
To survive a motion to dismiss under Rule 12(b)(6), a plaintiff need only plead “enough facts to state a claim to relief that is plausible on its face” and to “nudge [ ] [his or her] claims across the line from conceivable to plausible.”
Bell Atl. Corp. v. Twombly,
Under the
Twombly
standard, a “court deciding a motion to dismiss must not make any judgment about the probability of the plaintiffs success ... the court must assume all the allegations in the complaint are true (even if doubtful in fact) ... [and] must give the plaintiff the benefit of all reasonable inferences derived from the facts alleged.”
5
Aktieselskabet AF 21. November 2001 v. Fame Jeans Inc.,
Pursuant to the APA, an agency decision must be set aside if it is “arbitrary, capricious, an abuse of discretion, or otherwise not in accordance with law.”
If the “agency’s reasons and policy choices ... conform to ‘certain minimal standards of rationality’ ... the [agency decision] is reasonable and must be upheld.”
Small Refiner Lead Phase-Down Task Force v. EPA
III. ANALYSIS
In their Motion to Dismiss, Defendants argue that the Court lacks subject matter jurisdiction and Plaintiffs fail to state a claim upon which relief can be granted. They advance three primary reasons for their position. First, Defendants claim that Plaintiffs lack Article III standing because they suffered no actual or imminent injury attributable to the Aquaculture FMP. Defs.’ Mot. at 14. Second, Defen
A. Plaintiffs Do Not Have Standing to Challenge Defendants’ FMP.
Article III of the Constitution “confines the federal courts to adjudicating actual ‘cases’ and ‘controversies.’ ”
Allen v. Wright,
“[A]n association has standing to bring suit on behalf of its members when: (a) its members would otherwise have standing to sue in their own right; (b) the interests it seeks to protect are germane to the organization’s purpose; and (c) neither the claim asserted nor the relief requested requires the participation of individual members in the lawsuit.”
Hunt v. Wash. State Apple Advertising Comm’n,
1. Substantive Standing
In
Lujan,
First, the plaintiff must have suffered an “injury in fact” — an invasion of a legally protected interest which is (a) concrete and particularized, and (b) “actual or imminent, not ‘conjectural’ or ‘hypothetical.’ ” Second, there must be a causal connection between the injury and the conduct complained of — the injury' has to be “fairly ... trace[able] to the challenged action of the defendant, and not ... th[e] result [of] the independent action of some third party not before the court.” Third, it must be “likely,” as opposed to merely “speculative,” that the injury will be “redressed by a favorable decision.”
Plaintiffs assert that they will suffer imminent injury because the FMP has “become operational” by default. Pis.’ Opp’n at 14-15. Plaintiffs’ affidavits enumerate the types of harm they as individu
Aquaculture has not taken place in the Gulf of Mexico pursuant to the FMP. The FMP neither forbids nor requires any action on the part of parties. Most importantly, several steps must be taken before any concrete harm to Plaintiffs could possibly result from the FMP. Such steps include: approval of regulations by NMFS, adoption of regulations, approval of permits by the various government bodies on a case-by-case basis, and regulation of the location of aquaculture sites by NMFS, the Army Corps of Engineers, and the EPA.
See supra
at I.B. The FMPs alone do not have any regulatory effect because implementing regulations must be approved in order to effectuate them.
Plaintiffs’ own declarations and arguments demonstrate that no harm is particularized or imminent.
Cf. Lujan,
Our Court of Appeals has concluded that an injury is not “actual, imminent, or ‘certainly impending’ ” for standing purposes where a party “can only aver that any significant adverse effects ... ‘may’ occur at some point in the future.”
Ctr. for Biological Diversity v. U.S. Dep’t of Interior,
Plaintiffs maintain that Defendants have “invented] additional hurdles to review” in describing the permitting process undertaken by the EPA and Corps. Pis.’ Opp’n at 16. Because the FMP governs the siting and size of the aquaculture facility, Plaintiffs argue that approval by EPA and the Corps does not make the harm to Plaintiffs any less imminent.
Id.
This objection is without merit. The FMP requires that both agencies issue permits before aquaculture actually takes place.
See supra
at I.B. As' such, the potential injury is more attenuated, because other agencies must act before any facilities can be constructed or begin operation.
See Atl. States Legal Found. Inc. v. EPA
Plaintiffs rely on
American Oceans Campaign v. Daley,
Daley does not purport to say that the passing of any FMP or amendment thereto gives standing to those potentially in harm’s way, regardless of how conclusory the allegations of that harm may be. Id. Rather, Daley held that where an agency activity has caused “particularized injuries,” those harmed will have standing. Id. Whereas the EFH Amendments at issue in Daley regulated ongoing commercial fishing activity, the Aquaculture FMP merely constructs a framework within which Defendants may permit an entirely new activity that has yet to occur. This fact makes mere approval of the Aquaculture FMP too far removed from harmful conduct to establish injury.
Article III simply does not grant power to courts to preempt potential harm that is neither actual nor imminent, and Plaintiffs therefore lack substantive standing to bring suit against Defendants.
Gulf Restoration argues that Plaintiffs also have procedural standing to bring their challenges under NEPA and the MSA. Pis.’ Opp’n at 20. They allege that by allowing the Aquaculture FMP to take effect by operation of law NMFS violated procedures set forth in each statute. Id. at 21.
Plaintiffs have procedural standing “if [they] can show that an agency failed to abide by a procedural requirement that was ‘designed to protect some threatened concrete interest of the plaintiff.’”
See CBD,
Based on
Summers,
a procedural right without some attached concrete interest that is affected by a deprivation- — -what is called a procedural right
“in vacuo
is insufficient to establish Article III standing.
Summers,
Plaintiffs seek to invoke
CBD
to show that procedural standing would apply in the instant case. However, procedural standing existed in
CBD
because the plaintiffs showed a threatened particularized interest and submitted affidavits detailing definitive dates as to when they would be deprived of the opportunity to observe potentially harmed species.
In the instant case, the Plaintiffs are not able to provide such detailed dates of injury, but rather put forth declarations of conjectural, potential future injuries.
See
Pis.’ Opp’n at 4. For example, Michael Tad Burke, a member of Food & Water Watch, claims to have “serious expectation^] that some customers will choose to go elsewhere” if the FMP takes effect. Decl. of Michael Tad Burke at ¶ 24. Obviously, this is pure conjecture; it does not supply any specific information; it does not describe any injury which is imminent; it does not describe any injury which actually exists.
See Lujan,
B. Plaintiffs’ Claims Are Not Ripe for Adjudication.
The primary rationale behind the ripeness requirement is “to prevent the courts, through avoidance of premature adjudication, from entangling themselves in abstract disagreements.”
Abbott Laboratories v. Gardner,
Plaintiffs have alleged that their claims are both Constitutionally and prudentially ripe. Apart from alleging injury is imminent, Plaintiffs maintain that because “the Gulf FMP is now final, [it] will govern and predetermine virtually all of the content of the final regulations and permitting framework.” Pis.’ Opp’n at 24. To Plaintiffs, the FMP represents the outer limits of any future implementing regulations, and as such, is effectively a regulation itself. In short, the Aquaculture FMP as a form of agency action is, in their view, sufficiently final to satisfy all ripeness requirements. Pis.’ Opp’n at 24-25. Defendants respond that NMFS’ agency action is not final in part because the FMP and the regulations are distinct. Plaintiffs therefore could not have been injured, nor is it certain that they will be in the future. Defs.’ Mot. at 22. Defendants view the non-finality issue as dispositive with respect to the. ripeness of Plaintiffs’ claims. Id. at 23.
1. Constitutional Ripeness
“Article III does not allow a litigant to pursue a cause of action to recover for an injury that is not ‘certainly impending.’ ”
Wyo. Outdoor Council,
2. Prudential Ripeness
Courts apply a two-prong test to determine whether a case is ripe for adjudication.
See Abbott Laboratories,
When considering fitness, courts must ask if the issue “is purely legal, whether consideration of the issue would benefit from a more concrete setting, and whether the agency’s action is sufficiently final.”
Atl. States Legal Found. Inc. v. EPA,
Plaintiffs make the following claims in their Complaint: (1) that NMFS has “unlawfully withheld action required by the Magnuson Act”; (2) that NMFS has “no statutory authority to authorize commercial aquaculture or issue commercial aquaculture permits in federal waters”; (3) that the Gulf FMP is “arbitrary and capricious” because it is inconsistent with the MSA; and (4) that “the Gulf FMP and accompanying PEIS violate NEPA, the APA and various procedural and data analysis requirements of NEPA and its implementing regulations.” Pis.’ Compl. ¶¶ 72-96. “Claims that an agency’s action is arbitrary and capricious or contrary to law present purely legal questions.”
Atlantic States,
However, “even purely legal issues may be unfit for review.”
Atlantic States,
In the current case, the process prescribed by the MSA with respect to FMP implementation has not been satisfactorily “fleshed out.” NMFS has yet to promulgate regulations or actually allow any aquaculture to proceed. Not only is the process incomplete, but also, as previously discussed, several of the remaining steps could result in drastically different outcomes including the denial of any and all aquaculture permits. McCardle Deck, Ex. 1 at 10-13 (explaining proposed alternative procedures for the permitting process). Plaintiffs’ exposure to harm relates directly to these results. If aquaculture is denied altogether in the Gulf, injury to Plaintiffs will not even be a possibility.
In support of their claims, Plaintiffs allege that “the Gulf FMP threatens a broad range of Plaintiffs’ members’ particularized interests causing injury in fact.” Pis.’ Opp’n at 10 (emphasis added). Indeed, Plaintiffs frequently use the word “likely” to describe the harm in question, recognizing the tenuous nature of their claims. For example, they argue that “the harm to the Gulf of Mexico ecosystem that is likely to attend open ocean aquaculture operations would adversely affect Plaintiffs’ members.” Id. at 4 (emphasis added).
In addition, Plaintiffs submitted declarations attempting to enumerate the types of harm they as individuals expect to incur.
See
supra at III.A.1. The present setting, however, is not sufficiently concrete because not only has injury not yet occurred, but future injury is not imminent. Michael Tad Burke claims that his job as a professional fishing guide gives him an economic interest in the well-being of the aquatic life in the Gulf. While he is firm about the effects that acquaculture “will” have, Decl. of Michael Tad Burke at ¶¶ 13-16, the list of injuries does not describe impacts particular to him, but asserts the effects that aquaculture in general may have. Tracy Redding, a member of Ocean Conservancy, speculates that the FMP could mean that she “would not enjoy consuming fish produced by aquaculture to the same degree” and that she “would lack information to determine if [she] were eat
As in
Atlantic States,
these claims are not sufficiently fleshed out to demonstrate ripeness. In that case, the EPA adopted regulations permitting New York State utility companies to accumulate hazardous waste without first obtaining a permit.
Lastly, as to the finality requirement, our Court of Appeals has previously held that agency action is not final where “it does not itself adversely affect [the plaintiffs] but only affects [their] rights adversely on the contingency of future administrative action.”
DRG Funding Corp. v. Sec’y of Hous. & Urban Dev.,
Plaintiffs argue that the Aquaculture FMP is final because it became law by default. Pis.’ Opp’n at 24. They rely on the rationale that because the “Gulf FMP will govern and predetermine virtually all of the content of the final regulations and permitting framework,” it is effectively final.
Id.
This reasoning fails to meet the standard established in
DRG Funding.
Despite the statute’s requirement that the regulations be “consistent with the [FMP],” there is simply no way to predict exactly how the end product — the FMP and its implementing regulation — will ultimately operate.
Several variables will significantly affect how, and whether, the Aquaculture FMP impacts the Gulf: the NMFS determination of whether the Plan is consistent with the national policy it intends to develop; the text of the future regulations; approval or disapproval of permits by the various government bodies on a case-by-case basis; and the as-yet unknown locations of future aquaculture sites. Accordingly, Plaintiffs’ characterization of the FMP as “final,” when compared to the standard for finality established in
DRG Funding,
is not accurate.
DRG Funding,
The end result of this analysis is that Plaintiffs’ claims, although they do present legal questions, are still not fit for judicial review for two reasons: first, because Plaintiffs’ claims would “benefit from a more concrete setting” where injury has actually taken place; and second, because they currently relate to agency action that is not final.
Atlantic States,
In the absence of fitness for judicial decision, courts must look to a balancing of the hardships to make a final assessment of ripeness.
Nat’l Ass’n of Home Builders v. U.S. Army Corps of Eng’rs,
440 F.3d
As in Ohio Forestry, Plaintiffs can bring their suit at a later time, after “harm is more imminent and more certain.” Id. Deferring consideration of the dispute until that point serves important interests both in avoiding “interfer[ence] with the system that Congress specified for the agency to reach [marine fishery] decisions,” and in judicial economy. Id. at 1671.
Contrary to Plaintiffs’ position, if their claims are dismissed, they will not be barred from bringing suit at a later time by the MSA’s “30-day statute of limitations.”
Plaintiffs do not provide compelling hardship arguments to outweigh the absence of injury and fitness. Plaintiffs “may protect all of their rights and claims by returning to court when the controversy ripens.”
Atlantic States,
C. Plaintiffs Have No Statutory Cause of Action Under Either the MSA or the APÁ.
1. The MSA Does Not Provide for Review of the Aquaculture FMP.
Additionally, as Defendants rightly argue, NMFS’ inaction — -i.e. allowing the FMP to take effect by operation of law—
Plaintiffs nonetheless contend that “[t]his Court has already held that an FMP is a ‘regulation’ within the meaning of
The EFH Amendments to the FMPs at issue in
Daley
were substantively different from the Aquaculture FMP here, because, unlike the EFH Amendments, the FMP does not have future effect, nor does it prescribe law and policy. It is merely a detailed blueprint, the full implementation of which depends on the passage of regulations and issuance of permits.
See Daley,
Without any formal regulations implementing the FMP, Plaintiffs lack a statutory cause of action under
2. Plaintiffs Have No Cause of Action under the APA because Defendants’ Actions Are Not Final.
In the alternative, Plaintiffs argue that their claims are cognizable under §§ 706(l)-(2) of the APA. Plaintiffs allege that NMFS’ failure to approve, partially approve, or disapprove the FMP within the 30-day window constituted a “failure to act” resulting in unlawfully withheld agency action, or alternatively, that NMFS’ affirmative decision to allow the FMP to take effect by operation of law constituted agency action, both of which are reviewable under the APA. Compl. ¶¶ 73-88.
However, § 704 of the APA limits judicial review to “[ajgency action made reviewable by statute and final agency action for which there is no other adequate remedy in a court ...”
As discussed above, the FMP does not constitute final agency action without promulgation of the corresponding regulations: neither approval of the FMP nor failure to act on it marks the end of the decisionmaking process; nor does the FMP establish any rights or obligations or create any binding legal consequences. Adoption of implementing regulations is mandatory; after that point, aquaculture may begin if permits are applied for and approved.
Furthermore,
In this ease, regardless of whether allowing the FMP to take effect by operation of law constitutes “unlawfully withheld agency action” or actual “agency action,” NMFS has not taken any final agency action which would be subject to judicial review. Here, the FMP does not “adversely affect [Plaintiffs] but only affects [their] rights adversely on the contingency of future administrative action.”
DRG Funding,
IV. CONCLUSION
For the reasons set forth above, the Defendants’ Motion to Dismiss under
Notes
. NMFS is the agency within the Department of Commerce’s National Oceanic and Atmospheric Administration ("NOAA”) to which NOAA has delegated authority and stewardship duties of fisheries management under the MSA. Compl. ¶¶ 9-10. The Secretary of Commerce acts through the NMFS to implement fishery management plans. Defs.’ Mot. at 4;
. On September 23, 2009, Kevin W. McCardle, Department of Justice counsel for Defendants, submitted a Declaration attaching four exhibits. [Dkt. No. 9] Exhibit 1 contains excerpts from the Aquaculture FMP. Exhibit 2 is a September 3, 2009, letter from NMFS to the Gulf of Mexico Fishery Management Council. Exhibit 3 is a September 3, 2009, press release issued by Defendants. Exhibit 4 is a list of "Frequently Asked Questions,” along with answers to tiróse questions, downloaded from Defendants' website (http://sero.nmfs.noaa. gov/sf/pdfs/Aquaculture%20FAQs%202009-09. pdf). The Court will cite these documents as “McCardle Decl., Ex. # at # .”
. Food & Water Watch submitted comments on the FMP on August 3, 2009, and a joint comment with Gulf Restoration Network on
. NEPA requires federal agencies to fully consider and disclose the environmental consequences of an agency action.
. As noted,
supra
at n. 2, Defendants included a Declaration from counsel with four exhibits. Plaintiffs submitted additional material as part of counsel Stephen E. Roady’s Declaration [Dkt. No. 12]. The exhibits to the Roady Declaration included declarations from four members of Plaintiff-organizations, a complete copy of the Aquaculture FMP, and copies of Plaintiffs’ comment letters filed in response to the Aquaculture FMP. Roady Decl. at 2. All of the documents in Defendants’ Declaration were referred to in the Complaint. The same is true for the final three exhibits to Plaintiffs' Declaration (the four individual declarations are relevant only to the jurisdictional inquiry). Therefore, the Motion to Dismiss under
. The
CBD
Court distinguished a recent Supreme Court case, on which Plaintiffs rely, that dealt with standing in environmental lawsuits. In
Massachusetts v. EPA,