Opinion for the Court by Circuit Judge ROGERS.
The Helicopter Association International, Inc. (“HAI”), challenges the authority of the Federal Aviation Administration (“FAA”) to issue a rule requiring helicopter pilots to use a route one mile off the north shore of Long Island, New York for the purpose of noise abatement in residential areas. Because this challenge fails, and because HAI’s other contentions regarding the lack of substantial evidence, deviation from FAA policy, and a flawed Regulatory Flexibility Act certification are unpersuasive, we deny the petition for review.
I.
Prior to 2008, helicopter pilots flying between New York City and eastern Long Island typically chose between three routes: (1) the northern coast of Long Island; (2) the Long Island Expressway through the middle of the island; or (3) the southern coast of Long Island. Many pilots preferred to travel the north shore route when traveling to south shore destinations like the Hamptons, because that route was faster and less likely to encounter weather delays common along the
When elected officials and FAA’s Flight Standards District Office continued to receive complaints about helicopter noise on the north shore, the FAA in 2010 proposed to make the North Shore Route mandatory. See Notice of Proposed Rulemaking, 75 Fed.Reg. 29,471, 29,472 (May 26, 2010) (“NPRM”). Upon receiving approximately 900 comments — from residents, local government, citizen groups, businesses, and various trade associations — the FAA determined that “[s]lightly more than a third of the total number of commenters complained about the levels of helicopter noise that they are exposed to, particularly during the summer months,” and issued the final rule in 2012. The New York North Shore Helicopter Route, 77 Fed.Reg. 39,-911, 39,913 (July 6, 2012) (“Final Rule ”).
The FAA found that “residents along the north shore of Long Island emphatically agreed that helicopter overflights during the summer months are unbearable and negatively impact their quality of life.” Id. at 39,913. Assisted by the John A. Volpe National Transportation Systems Center in analyzing data from the Performance Data Analysis and Reporting System (“PDARS”), the FAA “modeled noise from approximately 15,600 flight operations, based on an average of 42.8 operations per day over 11 days around Memorial Day and July 4, 2011,” two of the busiest helicopter traffic weekends of the year. Id. at 39,914, 39,916 n. 7. This data was used to calculate north shore day-night average sound levels (“DNLs”), which consist of “the 24-hour average sound level, in decibels, for the period from midnight to midnight, obtained after the addition of ten decibels to sound levels for the periods between midnight and 7 a.m., and between 10 p.m., and midnight, local time.” 14 C.F.R. § 150.7. The FAA found that the sound levels, which were below DNL 45 dB, were “below levels at which homes are significantly impacted.” Final Rule, 77 Fed.Reg. at 39,916.
In promulgating the Final Rule, the FAA did not change the existing route that had been in use for several years but explained that “[mjaximizing the utilization of the existing route by making it mandatory will secure and improve upon the decreased levels of noise that have been voluntarily achieved.” Final Rule,
II.
HAI challenges the Final Rule on four grounds, contending first that the FAA lacks authority to alter air traffic patterns for the sole purpose of reducing the impact of aircraft noise on residential communities. As authority for the rule, the FAA relied on 49 U.S.C. § 40103 and § 44715. Section 40103(b) addresses “the use of the navigable airspace” and provides in subsection (b)(2) that “[t]he Administrator shall prescribe air traffic regulations on the flight of aircraft (including regulations on safe altitudes) for ... protecting individuals and property on the ground.” Section 44715 authorizes the FAA to set standards to measure aircraft noise and to prescribe regulations to control and abate aircraft noise. 49 U.S.C. § 44715(a)(1)(A)© & (ii).
In HAI’s view, Congress has established a relatively narrow framework under which the FAA can regulate noise. HAI maintains that the FAA’s general authority under § 40103 is limited by its focus on safety in subsection (b)(1), and by other provisions that address the FAA’s authority to regulate noise through technology certification, see id. § 44715(a)(1), and in and around airports, see id. §§ 47501 et seq., § 47521 et seq. Viewing these provisions together, HAI concludes that the FAA cannot escape the limits on its jurisdiction to regulate noise by relying on its general authority in § 40103.
In support of its position, HAI relies on American Petroleum Institute v. EPA,
Whether the FAA has exceeded congressional limits on its authority is a question of statutory construction to which the familiar two step analysis in Chevron, U.S.A., Inc. v. Natural Resources Defense Council, Inc.,
Under the plain text of § 40103, the FAA has authority to “prescribe air traffic regulations ... [to] protect[ ] individuals and property on the ground.” 49 U.S.C. § 40103(b)(2). This is exactly what the FAA did here. Responding to the noise complaints of Long Island residents, the FAA prescribed new air traffic regulations
HAI has pointed to no express limitations on the FAA’s general authority to protect individuals on the ground from aircraft, including the noise created by their operation. Although the noise-related provisions HAI cites refer to discrete areas, for example, to noise reduction in or near airports, see, e.g., 49 U.S.C. §§ 47521 et seq., or to technology certification, see id. § 44715(a)(2), neither their substance (as interpreted by HAI) nor their structure suggest that Congress intended to narrow its broad authorization to the FAA to regulate the use of navigable airspace, much less to restrict the FAA’s capacity to manage aircraft noise to these limited contexts. As regards the safety limitation emphasized by HAI, neither § 40103 when read as a whole nor the plain text of § 40103(b)(2) requires that air safety be the primary goal of all FAA regulations. The “Federal Aviation Act requires a delicate balance between safety and efficiency and the protection of persons on the ground.” City of Burbank v. Lockheed Air Terminal Inc.,
HAI does not dispute that reducing noise through altering flight routes can protect property on the ground by preventing “interference with the interest in the private use and enjoyment of the land.” Souders v. Wash. Metro. Area Transit Autk,
The interpretation of § 40103(b)(2) as encompassing protection from aircraft
Because we conclude that the FAA acted within its authority under § 40103(b)(2) in promulgating the Final Rule, we need not address whether § 44715 could serve as an independent source of such authority.
III.
We turn to HAI’s contentions that the FAA’s finding that there is a noise problem is unsupported by substantial evidence in the record and that the Final Rule was an impermissible deviation from longstanding FAA policy. Under the Administrative Procedure Act, the court will “hold unlawful and set aside agency action, findings, and conclusions” that are “arbitrary [and] capricious.” 5 U.S.C. § 706(2) & (2)(A). Again, our standard of review is highly deferential. See City of South Bend, Ind. v. Surface Transp. Bd.,
A.
According to HAI, public complaints about noise are not evidence of a noise problem absent objective, corroborating data and the FAA’s justification for the Final Rule is without foundation. It relies on Safe Extensions, Inc. v. FAA,
In promulgating the Final Rule, the FAA relied on a host of externally generated complaints from elected officials and commercial and private residents of Long
HAI claims, however, that the FAA acknowledged the existence of scientific evidence that demonstrates there is no significant noise problem, thereby undermining the reliability of the complaints and by extension its decision to act on those complaints. The Volpe study commissioned by the FAA revealed that DNLs on and around the two busiest helicopter traffic weekends of the year (Memorial Day and Fourth of July weekends) were less than 45 dB along the north shore of Long Island, see Final Rule, 77 Fed.Reg. at 39,916 & n.7, well below the DNL 65 dB ceiling set by the FAA to mark noise levels compatible with residential land use near airports. See 14 C.F.R. pt. 150, app. A, tbl. 1. According to HAI, this reveals that the FAA’s own study shows that the basis of the rule, a noise problem, did not exist.
HAI has not identified any statutory or regulatory provision that sets 65 dB as the minimum noise level that must be reached before the FAA can regulate the impact of aircraft noise on residential populations. Neither has it shown that the area addressed in the Final Rule is near an airport. The FAA’s Airport Noise Compatibility Program, where the 65 dB level appears, states that “[t]he designations contained in this table do not constitute a Federal determination that any use of land covered by the program is acceptable or unacceptable under Federal, State, or local law.” 14 C.F.R. pt. 150, app. A, tbl. 1 n.*. That level was established for use in mapping noise exposure within the vicinity of airports, not residential areas far removed from an airport environment. See id., app. A, pt. A § A150.1(a). It serves as a reference point from which the FAA can reasonably deviate when determining whether a particular noise reduction intervention is in the public interest. See Environmental Impacts: Policies and Procedures, 69 Fed.Reg. 33,778, 33,780-81 (June 16, 2004). Here, based on its evaluation of the complaints and the results of the Volpe study, the FAA concluded that noise levels below DNL 45 dB were adversely impacting the north shore’s residential population to a degree that further control was warranted, at least on a provisional basis. The FAA explained that maximizing the use of the existing North Shore Route would “secure and improve ■upon the decreased levels of noise that have been voluntarily achieved.” Final Rule, 77 Fed.Reg. at 39,914.
To the extent HAI maintains the FAA relied on faulty evidence and methods because it failed to use a larger data set and a particular data analysis method, i.e., the Integrated Noise Model, HAI ventures unsuccessfully into areas of agency expertise. See U.S. Air Tour Ass’n v. FAA,
B.
HAI also fails to support its objection that the Final Rule is arbitrary and capricious because the FAA reversed its longstanding policy of not altering air traffic patterns for the sole purpose of noise abatement. HAI identifies no prior FAA policy that conflicts with the Final Rule while the FAA identified three instances where it promulgated rules altering air traffic patterns for the purpose of reducing noise over particular sites, see Final Rule, 77 Fed.Reg. at 39,917 & n. 11 (citing 62 Fed.Reg. 1192 (Jan. 8,1997) (Rocky Mountain National Park); 35 Fed.Reg. 5466 (Apr. 2, 1970) (President Washington’s home at Mount Vernon); 33 Fed.Reg. 11,-748 (Aug. 20, 1968) (Oberlin Conservatory of Music)). Additionally, a September 2004 FAA Advisory Circular set forth recommendations for pilot use of the navigable airspace for the purpose of reducing the impact of flights on “noise-sensitive areas,” such as “residential” zones, citing 49 U.S.C. § 40103 for its authority to make policy of this type. FAA Advisory Circular, Visual Flight Rules (VFR) Flight Near Noise-Sensitive Areas, AC No: 91-36D (Sept. 17, 2004). Rather than reversing past policy, the FAA has acted in accordance with a longstanding, if infre
C.
The Regulatory Flexibility Act provides, in relevant part:
When an agency promulgates a final rule under section 558 of this title, after being required by that section or any other law to publish a general notice of proposed rulemaking, ... the agency shall prepare a final regulatory flexibility analysis.
5 U.S.C. § 604(a). The analysis must include a description and estimate of the “number of small entities to which the rule will apply or an explanation of why no such estimate is available” and “a description of the steps the agency has taken to minimize the significant economic impact on small entities----” Id. § 604(a)(4) & (6). If, however, the “head of the agency certifies that the rule will not ... have a significant economic impact on a substantial number of small entities,” then no final regulatory flexibility analysis need be published. Id. § 605(b). The FAA made that certification. NPRM, 75 Fed.Reg. at 29,473; Final Rule, II Fed.Reg. at 39,919-20. Our review is highly deferential, “particularly ... with regard to an agency’s predictive judgments about the likely economic effects of a rule,” Nat’l Telephone Coop. Ass’n v. FCC,
The FAA found that the cost increase per flight was minimal and concluded it was likely to be passed on to customers. See Final Rule, II Fed.Reg. at 39,919. Given that the high cost of helicopter flights to eastern Long Island suggests paying customers place a significant premium on their time, the FAA reasoned that paying customers would not choose far slower modes of transportation because of relatively small price increases. See id. Since the operators would not need to purchase new equipment to retrofit their helicopters, the FAA determined that the Final Rule would impose minimal costs on regulated small entities and that a regulatory flexibility analysis was not required. See id. at 39,919-20.
HAI objects, first, that the Final Rule would require small commercial operators to purchase expensive avionics to comply with the FAA’s safety recommendations for safe flight along the North Shore Route, and that the FAA did not take these costs into consideration when certifying that a regulatory flexibility analysis was not needed. The North Shore Route, however, contemplates that pilots would be operating under visual flight rules. Id. at 39.912. The FAA concluded that operators would not be required to purchase any new equipment, see id., because pilot deviations from the North Shore Helicopter Route are permitted when aircraft cannot be operated safely along the route with existing equipment, see 14 C.F.R. § 93.103(b); Final Rule, II Fed.Reg. at 39.912, 39,914. HAI presents no basis to doubt FAA’s certification on this ground.
Second, HAI objects that the FAA used an incorrect fuel price in concluding that the economic impact of increased fuel costs associated with longer flight times would not be significant because the small commercial helicopter operators would be able to pass on the minimal extra cost to their customers. The FAA found that helicopter flights from New York City to the east end of Long Island cost between $3,500 and $9,500 per trip, and initially calculated that the increased cost per flight would be $150, using the estimated ten minute time increase per flight proposed by the Council as the basis for this figure. See Final Rule, II Fed.Reg. at 39,918-19.
ELAI further objects that the FAA used an incorrect estimate of the number of small entities that would be affected by the Final Rule. The FAA estimated that 35 small entities would be affected based on the number of commercial helicopter operators who were members of the Council. Final Rule, 77 Fed.Reg. at 39,919. According to FAA counsel, the Council is the “large membership organization for ... helicopter operators in this region,” Oral Arg. Tr. at 29, and the Council presented to the FAA that it “currently represents over 94% of the helicopter operators and businesses supporting helicopters in the New York Tri-State area, the majority of whom will be impacted directly by the proposed rule,” Comments of the Eastern Region Helicopter Council at 1 n. 1 (June 25, 2010). The Council estimated over 100 small entities used the North Shore Route, see id. at 15-16, but then, as now, provided no evidence of how it arrived at that figure. An unsubstantiated estimate is insufficient to call the FAA’s figure into question.
To the extent HAI contends that the FAA violated Executive Order 12,866, 58 Fed.Reg. 51,735 (Sept. 30, 1993), and Department of Transportation Order 2100.5 (May 22, 1980), both of which require that the agency perform cost benefit analyses for each proposed regulation, neither creates private rights, nor is an agency’s failure to comply with these orders subject to judicial review. See Meyer v. Bush,
Accordingly, we deny HAI’s petition for review.
