GWALTNEY OF SMITHFIELD, LTD. v. CHESAPEAKE BAY FOUNDATION, INC., ET AL.
No. 86-473
Supreme Court of the United States
Argued October 5, 1987—Decided December 1, 1987
484 U.S. 49
E. Barrett Prettyman, Jr., argued the cause for petitioner. With him on the briefs were Richard J. M. Poulson, Patrick M. Raher, Catherine James LaCroix, and John G. Roberts, Jr.
Louis F. Claiborne argued the cause for respondents. With him on the brief were Jeter M. Watson and James Thornton.*
*Briefs of amici curiae urging reversal were filed for the Chamber of Commerce of the United States et al. by Theodore L. Garrett, Katherine L. Rhyne, Robin S. Conrad, James K. Jackson, and Richard Wasserstrom; for the Connecticut Business and Industry Association by Wayne S. Henderson; for the Consolidated Rail Corporation et al. by McNeill Watkins II, James E. Baine, Timothy N. Atherton, Nathan M. Edelstein, Jose A. Berlanga, and Grant Van Horne; and for Rollins Environmental Services (NJ) Inc., by William H. Lewis, Jr.
Briefs of amici curiae urging affirmance were filed for the United States by Solicitor General Fried, Acting Assistant Attorney General Hookano, Deputy Solicitor General Wallace, Jeffrey P. Minear, and David C. Shilton; for the State of Alabama et al. by John K. Van de Kamp, Attorney General of California, Roderick E. Walston and Allene C. Zanger, Deputy Attorneys General, Don Siegelman, Attorney General of Alabama, Joseph I. Lieberman, Attorney General of Connecticut, Robert E. Walsh, Assistant Attorney General, Warren Price III, Attorney General of Hawaii, James E. Tierney, Attorney General of Maine, Philip Ahrens, Deputy Attorney General, Frank J. Kelley, Attorney General of Michigan, Louis J. Caruso, Solicitor General, William L. Webster, Attorney General of Missouri, Louis W. Rose, Special Assistant Attorney General of New Mexico, T. Travis Medlock, Attorney General of South Carolina, W. J. Michael Cody, Attorney General of Tennessee, Jeffrey L. Amestoy, Attorney
Briefs of amici curiae were filed for Bethlehem Steel Corporation et al. by Benjamin Rosenberg; and for Mid-Atlantic Legal Foundation Inc., et al. by Richard B. McGlynn.
JUSTICE MARSHALL delivered the opinion of the Court.
In this case, we must decide whether
I
The Clean Water Act (Act), 86 Stat. 816,
One of these specified sections is § 402, which establishes the National Pollutant Discharge Elimination System (NPDES).
The holder of a federal NPDES permit is subject to enforcement action by the Administrator for failure to comply
The Commonwealth of Virginia established a federally approved state NPDES program administered by the Virginia State Water Control Board (Board).
Between 1981 and 1984, petitioner repeatedly violated the conditions of the permit by exceeding effluent limitations on five of the seven pollutants covered. These violations are chronicled in the Discharge Monitoring Reports that the permit required petitioner to maintain. See 9 Record, Exh. 10. The most substantial of the violations concerned the pollutants fecal coliform, chlorine, and total Kjeldahl nitrogen (TKN). Between October 27, 1981, and August 30, 1984, petitioner violated its TKN limitation 87 times, its chlorine limitation 34 times, and its fecal coliform limitation 31 times. 9 Record, Stipulation, p. 3. Petitioner installed new equipment to improve its chlorination system in March 1982, and its last reported chlorine violation occurred in October 1982.
Respondents Chesapeake Bay Foundation and Natural Resources Defense Council, two nonprofit corporations dedicated to the protection of natural resources, sent notice in February 1984 to Gwaltney, the Administrator of EPA, and the Virginia State Water Control Board, indicating respondents’ intention to commence a citizen suit under the Act based on petitioner‘s violations of its permit conditions. Respondents proceeded to file this suit in June 1984, alleging that petitioner “has violated . . . [and] will continue to violate its NPDES permit.” 1 Record, Doc. No. 1, p. 5. Respondents requested that the District Court provide declaratory and injunctive relief, impose civil penalties, and award attorney‘s fees and costs. The District Court granted partial summary judgment for respondents in August 1984, declaring Gwaltney “to have violated and to be in violation” of the Act. No. 84-0366-R (ED Va. Aug. 30, 1984). The District Court then held a trial to determine the appropriate remedy.
Before the District Court reached a decision, Gwaltney moved in May 1985 for dismissal of the action for want of subject-matter jurisdiction under the Act. Gwaltney argued that the language of § 505(a), which permits private citizens to bring suit against any person “alleged to be in violation” of the Act,1 requires that a defendant be violating the Act at
The District Court rejected Gwaltney‘s argument, concluding that § 505 authorizes citizens to bring enforcement actions on the basis of wholly past violations. The District Court found that “[t]he words ‘to be in violation’ may reasonably be read as comprehending unlawful conduct that occurred solely prior to the filing of the lawsuit as well as unlawful conduct that continues into the present.” 611 F. Supp. 1542, 1547 (ED Va. 1985). In the District Court‘s view, this construction of the statutory language was supported by the legislative history and the underlying policy goals of the Act. Id., at 1550. The District Court held in the alternative that respondents satisfied the jurisdictional requirements of § 505 because their complaint alleged in good faith that Gwaltney was continuing to violate its permit at the time the suit was filed. Id., at 1549, n. 8.
Subsequent to the issuance of the Fourth Circuit‘s opinion, the First Circuit also had occasion to construe § 505. It took a position different from that of either the Fourth or the Fifth Circuit, holding that jurisdiction lies under § 505 when “the citizen-plaintiff fairly alleges a continuing likelihood that the defendant, if not enjoined, will again proceed to violate the Act.” Pawtuxet Cove Marina, Inc. v. Ciba-Geigy Corp., 807 F. 2d 1089, 1094 (1986). The First Circuit‘s approach precludes suit based on wholly past violations, but permits suit when there is a pattern of intermittent violations, even if there is no violation at the moment suit is filed. We granted certiorari to resolve this three-way conflict in the Circuits. 479 U. S. 1029 (1987). We now vacate the Fourth Circuit‘s opinion and remand the case.
II
A
It is well settled that “the starting point for interpreting a statute is the language of the statute itself.” Consumer Product Safety Comm‘n v. GTE Sylvania, Inc., 447 U. S. 102, 108 (1980). The Court of Appeals concluded that the “to be in violation” language of § 505 is ambiguous, whereas petitioner asserts that it plainly precludes the construction
Respondents urge that the choice of the phrase “to be in violation,” rather than phrasing more clearly directed to the past, is a “careless accident,” the result of a “debatable lapse of syntactical precision.” Brief for Respondents 8. But the prospective orientation of that phrase could not have escaped Congress’ attention. Congress used identical language in the citizen suit provisions of several other environmental statutes that authorize only prospective relief. See, e. g.,
Although this argument has some initial plausibility, it cannot withstand close scrutiny and comparison of the two statutory provisions. The Administrator‘s ability to seek civil penalties is not discussed in either
“Section 1319 [§ 309] does not intertwine equitable relief with the imposition of civil penalties. Instead each kind of relief is separably authorized in a separate and distinct statutory provision. Subsection (b), providing injunctive relief, is independent of subsection (d), which provides only for civil penalties.” Tull v. United States, 481 U. S. 412, 425 (1987).
In contrast, § 505 of the Act does not authorize civil penalties separately from injunctive relief; rather, the two forms of relief are referred to in the same subsection, even in the same sentence.
B
Our reading of the “to be in violation” language of § 505(a) is bolstered by the language and structure of the rest of the citizen suit provisions in § 505 of the Act. These provisions together make plain that the interest of the citizen-plaintiff is primarily forward-looking.
One of the most striking indicia of the prospective orientation of the citizen suit is the pervasive use of the present tense throughout § 505. A citizen suit may be brought only for violation of a permit limitation “which is in effect” under the Act.
Any other conclusion would render incomprehensible § 505‘s notice provision, which requires citizens to give 60 days’ notice of their intent to sue to the alleged violator as well as to the Administrator and the State.
Adopting respondents’ interpretation of § 505‘s jurisdictional grant would create a second and even more disturbing anomaly. The bar on citizen suits when governmental enforcement action is under way suggests that the citizen suit is meant to supplement rather than to supplant governmental action. The legislative history of the Act reinforces this view of the role of the citizen suit. The Senate Report noted that “[t]he Committee intends the great volume of enforcement actions [to] be brought by the State,” and that citizen suits are proper only “if the Federal, State, and local agencies fail to exercise their enforcement responsibility.” S. Rep. No. 92-414, p. 64 (1971), reprinted in 2 A Legislative History of the Water Pollution Control Act Amendments of 1972, р. 1482 (1973) (hereinafter Leg. Hist.). Permitting citizen suits for wholly past violations of the Act could undermine the supplementary role envisioned for the citizen suit. This danger is best illustrated by an example. Suppose that the Administrator identified a violator of the Act and issued a compliance order under § 309(a). Suppose further that the
C
The legislative history of the Act provides additional support for our reading of § 505. Members of Congress frequently characterized the citizen suit provisions as “abatement” provisions or as injunctive measures. See, e. g., Water Pollution Control Legislation, Hearings before the Subcommittee on Air and Water Pollution of the Senate Committee on Public Works, 92d Cong., 1st Sess., pt. 1, p. 114 (1971) (staff analysis of S. 523) (“Any person may sue a polluter to abate a violation . . .“); id., pt. 2, at 707 (Sen. Eagleton) (“Citizen suits . . . are brought for the purpose of abating pollution“); H. R. Rep. No. 92-911, p. 407 (1972), 1 Leg. Hist. 876 (additional views of Reps. Abzug and Rangel) (“[C]itizens may institute suits against polluters for the purpose of halting that pollution“); 118 Cong. Rec. 33693 (1972), 1 Leg. Hist. 163 (Sen. Muskie) (“Citizen suits can be brought to enforce against both continuous and intermittent violations“); id., at 33717, 1 Leg. Hist. 221 (Sen. Bayh) (“These sorts of citizen suits—in which a citizen can obtain an injunction but cannot obtain money damages for himself—are a very useful additional tool in enforcing environmental protection laws“).
Respondents make much of the fact that Senator Muskie, one of the principal authors and sponsors of the bill, deviated from this formulation at one point, expressing the view that “a citizen has a right under section 505 to bring an action for an appropriate remedy in the case of any person who is alleged to be, or to have been, in violation.” 118 Cong. Rec. 33700 (1972), 1 Leg. Hist. 179 (emphasis added). When viewed in context, however, Senator Muskie‘s statement does not support respondents’ contention that § 505 authorizes citizen suits for wholly past violations. The full context of the Senator‘s remarks is as follows:
“This 60-day [notice] provision was not intended, however, to cut off the right of action a citizen may have [with respect] to violations that took place 60 days ear-
lier but which may not have been continuous. As in the original Senate bill, a citizen has a right under section 505 to bring an action for an approprate remedy in the case of any person who is alleged to be, or to have been, in violation, whether the violation be a continuous one, or an occasional or sporadic one.” Ibid.
The surrounding text strongly suggests that Senator Muskie used the past tense in order to make clear that an intermittent polluter—one who violates permit limitations one month out of every three—is just as much “in violation” of the Act as a continuous violator. His reference to “occasional or sporadic” violations cannot fairly be read to include “wholly past” violations, as respondents contend. Our understanding of Senator Muskie‘s written remarks is supported by the Senator‘s oral summary of his written views for his colleagues. In summarizing, Senator Muskie stated merely that “[c]itizen suits can be brought to enforce against both continuous and intermittent violations.” Id., at 33693, 1 Leg. Hist. 163. Noticeably lacking here, too, is any reference to wholly past violations. Senator Muskie‘s remarks cannot bear the weight that respondents place on them.4
III
Our conclusion that § 505 does not permit citizen suits for wholly past violations does not necessarily dispose of this lawsuit, as both lower courts recognized. The District Court found persuasive the fact that “[respondents‘] allegation in the complaint, that Gwaltney was continuing to violate its NPDES permit when plaintiffs filed suit[,] appears to have been made fully in good faith.” 611 F. Supp., at 1549, n. 8. On this basis, the District Court explicitly held, albeit in a footnote, that “even if Gwaltney were correct that a district court has no jurisdiction over citizen suits based entirely on unlawful conduct that occurred entirely in the past, the Court would still have jurisdiction here.” Ibid. The Court of Appeals acknowledged, also in a footnote, that “[a] very sound argument can be made that [respondents‘] allegations of continuing violations were made in good faith,” 791 F. 2d, at 308, n. 9, but expressly declined to rule on this alternative holding. Because we agree that § 505 confers jurisdiction over citizen suits when the citizen-plaintiffs make a good-faith allegation of continuous or intermittent violation, we remand the case to the Court of Appeals for further consideration.
Petitioner argues that citizen-plaintiffs must prove their allegations of ongoing noncompliance before jurisdiction attaches under § 505. Brief for Petitioner 37-43. We cannot agree. The statute does not require that a defendant “be in violation” of the Act at the commencement of suit; rather, the statute requires that a defendant be “alleged to be in violation.” Petitioner‘s construction of the Act reads the word “alleged” out of § 505. As petitioner itself is quick
Petitioner contends that failure to require proof of allegations under § 505 would permit plaintiffs whose allegations of ongoing violation are reasonable but untrue to maintain suit in federal court even though they lack constitutional standing. Petitioner reasons that if a defendant is in complete compliance with the Act at the time of suit, plaintiffs have suffered no injury remediable by the citizen suit provisions of the Act. Petitioner, however, fails to recognize that our standing cases uniformly recognize that allegations of injury are sufficient to invoke the jurisdiction of a court. In Warth v. Seldin, 422 U. S. 490, 501 (1975), for example, we made clear that a suit will not be dismissed for lack of standing if there are sufficient “allegations of fact“—not proof—in the complaint or supporting affidavits.5 This is not to say,
however, that such allegations may not be challenged. In United States v. SCRAP, 412 U. S. 669, 689 (1973), we noted that if the plaintiffs’ “allegations [of standing] were in fact untrue, then the [defendants] should have moved for summary judgment on the standing issue and demonstrated to the District Court that the allegations were sham and raised no genuine issue of fact.” If the defendant fails to make such a showing after the plaintiff offers evidence to support the allegation, the case proceeds to trial on the merits, where the plaintiff must prove the allegations in order to prevail. But the Constitution does not require that the plaintiff offer this proof as a threshold matter in order to invoke the District Court‘s jurisdiction.
Petitioner also worries that our construction of § 505 would permit citizen-plaintiffs, if their allegations of ongoing noncompliance become false at some later point in the litigation because the defendant begins to comply with the Act, to continue nonetheless to press their suit to conclusion. According to petitioner, such a result would contravene both the prospective purpose of the citizen suit provisions and the “case or controversy” requirement of Article III. Longstanding principles of mootness, however, prevent the maintenance of suit when “there is no reasonable expectation that the wrong will be repeated.” United States v. W. T. Grant Co., 345 U. S. 629, 633 (1953) (quoting United States v. Aluminum Co. of America, 148 F. 2d 416, 448 (CA2 1945)). In seeking to have a case dismissed as moot, however, the defendant‘s burden “is a heavy one.” 345 U. S., at 633. The defendant must demonstrate that it is “absolutely clear that the allegedly wrongful behavior could not reasonably be expected to recur.” United States v. Phosphate Export Assn., Inc., 393 U. S. 199, 203 (1968) (emphasis added). Mootness doctrine thus protects defendants from the mainte-
Because the court below erroneously concluded that respondents could maintain an action based on wholly past violations of the Act, it declined to decide whether respondents’ complaint contained a good-faith allegation of ongoing violation by petitioner. We therefore remand the case for consideration of this question. The judgment of the Court of Appeals is vacated, and the case is remanded for further proceedings consistent with this opinion.
It is so ordered.
JUSTICE SCALIA, with whom JUSTICE STEVENS and JUSTICE O‘CONNOR join, concurring in part and concurring in the judgment.
I join Parts I and II of the Court‘s opinion. I cannot join Part III because I believe it misreads the statute to create a peculiar new form of subject-matter jurisdiction.
I
The Court concludes that subject-matter jurisdiction exists under § 505 if there is a good-faith allegation that the defendant is “in violation.” Thereafter, according to the Court‘s in-
Section 505(a) states that “any citizen may commence a civil action on his own behalf . . . against any person . . . who is alleged to be in violation . . .” (emphasis added). There is of course nothing unusual in the proposition that only an allegation is required to commence a lawsuit. Proof is never required, and could not practicably be required, at that stage. From this clear and unexceptionable language of the statute, one of two further inferences can be made: (1) The inference the Court chooses, that the requirement for commencing a suit is the same as the requirement for maintaining it, or (2) the inference that, in order to maintain a suit the allegations that are required to commence it must, if contested, be proved. It seems to me that to favor the first inference over the second is to prefer the eccentric to the routine. It is well ingrained in the law that subject-matter jurisdiction can be called into question either by challenging the sufficiency of the allegation or by challenging the accuracy of the jurisdictional facts alleged. See, e. g., Land v. Dollar, 330 U. S. 731, 735, n. 4 (1947); Thomson v. Gaskill, 315 U. S. 442, 446 (1942); KVOS, Inc. v. Associated Press, 299 U. S. 269, 278 (1936); McNutt v. General Motors Acceptance Corp., 298 U. S. 178, 189 (1936). Had Congress intended us to eliminate the second form of challenge, and to create an extraordinary regime in which the jurisdictional fact consists of a good-faith belief, it seems to me it would have delivered those
In my view, therefore, the issue to be resolved by the Court of Appeals on remand of this suit is not whether the allegation of a continuing violation on the day suit was brought was made in good faith after reasonable inquiry, but whether petitioner was in fact “in violation” on the date suit was brought. The phrase in § 505(a), “to be in violation,” unlike the phrase “to be violating” or “to have committed a violation,” suggests a state rather than an act—the opposite of a state of compliance. A good or lucky day is not a state of compliance. Nor is the dubious state in which a past effluent problem is not recurring at the moment but the cause of that problem has not been completely and clearly eradicated. When a company has violated an effluent standard or limitation, it remains, for purposes of § 505(a), “in violation” of that standard or limitation so long as it has not put in place remedial measures that clearly eliminate the cause of the violation. It does not suffice to defeat subject-matter jurisdiction that the success of the attempted remedies becomes clear months or even weeks after the suit is filed. Subject-matter jurisdiction “depends on the state of things at the time of the action brought“; if it existed when the suit was brought, “subsequent events” cannot “ous[t]” the court of jurisdiction. Mollan v. Torrance, 9 Wheat. 537, 539 (1824); see, e. g., Smith v. Sperling, 354 U. S. 91, 93, n. 1 (1957); St. Paul Mercury Indemnity Co. v. Red Cab Co., 303 U. S. 283, 289-290 (1938). It is this requirement of clarity of cure for a past violation, contained in the phrase “to be in violation,” rather than a novel theory of subject-matter jurisdiction by good-faith allegation, that meets the Court‘s concern for “the practical difficulties of detecting and proving chronic episodic violations,” ante, at 65, quoting Brief for United States as Amicus Curiae 18.
Thus, I think the question on remand should be whether petitioner had taken remedial steps that had clearly achieved
II
Even if the Court were correct that no evidence of a state of noncompliance has to be produced to survive a motion for dismissal on grounds of subject-matter jurisdiction, such evidence would still be required in order to establish the plaintiff‘s standing. While Gwaltney did not seek certiorari (or even appeal to the Court of Appeals) on the denial of its motion to dismiss for lack of standing, it did raise the standing issue before us here, see Reply Brief for Petitioner 17-18, and we in any event have an independent obligation to inquire into standing where it is doubtful, see Bender v. Williamsport Area School Dist., 475 U. S. 534, 541 (1986). If it is undisputed that the defendant was in a state of compliance when this suit was filed, the plaintiffs would have been suffering no remediable injury in fact that could support suit. The constitutional requirement for such injury is reflected in the statute itself, which defines “citizen” as one who has “an interest which is or may be adversely affected.”
Accordingly, even on the Court‘s theory of this case it seems to me that the remand should require the lower court to consider not just good-faith allegation of a state of violation
