OPINION
This matter comes before this Court on a motion by defendant PPG Industries, Inc. (“Defendant” or “PPG”) for summary judgment, pursuant to Federal Rule of Civil Procedure 56(c), or, alternatively, for abstention, or a stay, against plaintiffs Interfaith Community Org., Inc., Graco Community Org., and Natural Resources Defense Council, Inc. (collectively, “Plaintiffs”). For the reasons set forth below, Defendant’s motion shall be denied.
I. BACKGROUND
Plaintiffs bring this suit under the Resource Conservation and Recovery Act (“RCRA”), alleging that Defendant PPG contributed to chromium waste that may present an imminent and substantial endangerment to health or the environment.
Beginning in the mid-1920s, a chrome production facility was operated at 880 Garfield Avenue, Jersey City, New Jersey (“Garfield Site”). (Def. PPG Indus., Inc.’s Statement of Material Facts Not in Dispute in Supp. of its Mot. for Summ. J. (“Def.’s 56.1”) ¶ 1.) From 1954 to 1963, this facility was utilized by PPG. (Id. ¶¶ 2-3.) The chrome production generated waste by-products on the site, one of which is a toxic chemical called hexavalent chromium. (Pis.’ Response to Def.’s Statement of Material Facts and Pis.’ Statement of Additional Material Facts in Opp. to Def.’s Mot. for Summ. J. (“Pis.’ 56.1”) ¶ 35; Def. PPG Indus. Inc.’s Resp. to Pis.’ Statement of Additional Material Facts (“Def.’s 56.1 Reply”) ¶ 35.)
The contamination caused by chromium production sites, including the Garfield Site, became the subject of litigation in New Jersey state court when the New Jersey Department of Environmental Protection (“DEP”) filed an action against PPG, and other chrome production facility operators, in 2005. 2 (Def.’s 56.1 ¶¶ 5-6.) The DEP sought remediation of the chromium waste, pursuant to the New Jersey Spill Compensation and Control Act (the “Spill Act”), N.J. Stat. Ann. 58:10-23.11 to 23.24. (Certification of Joseph F. Lagrotteria, Esq. in Support of Mot. for *299 Summ. J., Jul. 7, 2009 (“Lagrotteria Cert”), Ex. 2.)
On February 19, 2009, a proposed settlement was announced between the DEP and PPG, and a Consent Judgment was ultimately entered (“Consent Judgment”). 3 (Def.’s 56.1 ¶ 18; Pis.’ 56.1 ¶ 51; Def.’s 56.1 Reply ¶ 51.) The Garfield Site is included among the site remediations required under the Consent Judgment. (Def.’s 56.1 ¶ 14.) The Consent Judgment provides, among other things, that PPG shall remediate, with a five-year goal for completion, the soils and sources of contamination at the relevant sites. (Id. ¶¶ 17-18.) The remediation is governed by the terms of the Consent Judgment and the “Applicable Remedial Provisions,” meaning all applicable statutes, regulations, and laws, including the DEP Commissioner’s Chromium Policy (as it now exists or may be adopted in the future). (Id. ¶ 19.) Currently, the most stringent standard for chromium levels, as expressed in the Chromium Policy, is 20 parts per million (“ppm”). (See Pis.’ 56.1 ¶¶ 42, 55; Def.’s 56.1 Reply ¶55.)
The Consent Judgment also has a claim release provision, releasing the DEP’s RCRA claims against PPG:
Plaintiffs and Jersey City covenant not to sue and agree not to assert any claim against PPG or to take any further administrative, legal or equitable action available ... regarding any discharge or release of Hazardous Substances ... or any imminent and substantial endangerment posed by any discharge or release ... under the Spill Act, CERCLA [Comprehensive Environmental Response, Compensation, and Liability Act], RCRA, common law, and any other local law or state or federal statute, regulation, or other authority.
(Def.’s 56.1 ¶ 15)
After the DEP had commenced its state court action, Plaintiffs filed a notice of intent to sue under the RCRA, in February of 2006. (Id. ¶ 8.) Three years later, on February 3, 2009, shortly before the Consent Judgment was announced, 4 Plaintiffs initiated this suit. (Docket Entry No. 1.)
The imminent and substantial endangerment citizen suit provision of the RCRA provides, in pertinent part,
any person may commence a civil action on his own behalf ... against any person, including the United States and any other governmental instrumentality or agency ... who has contributed or 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.
42 U.S.C. § 6972(a)(1)(B).
Plaintiffs seek to require Defendant to remediate the Garfield Site proportional to Defendant’s historical share of waste production. (Def.’s 56.1 ¶¶ 10-11; Pis.’ 56.1 ¶¶ 10-11.) In particular, Plaintiffs seek a full delineation of chromium hazards, permanent removal of all contaminated soils, remediation of all indoor contamination, and complete remediation of contaminated groundwater. (See Docket Entry No. 1.)
*300 Plaintiffs’ allegations of an imminent and substantial danger is based, at least in part, on recently released information regarding hexavalent chromium. Particularly relevant is the “finalized risk assessment,” formulated by the DEP’s Division of Science, Research & Technology, and sent to the DEP Commissioner in April of 2009. (Pis.’ 56.1 ¶ 52; Def.’s 56.1 Reply ¶ 52; Decl. of Richard Webster in Opposition to Def.’s Mot. for Summ. J., Jul. 30, 2009 (“Webster Decl.”), Ex. 12.) The risk assessment concludes that a human cancer slope factor corresponds to a soil remediation criterion for hexavalent chromium of 1 ppm. 5 (Webster Decl., Ex. 12.)
Based on this risk assessment, Plaintiffs filed a Petition for Rulemaking, requesting that the DEP promulgate a soil remediation standard for hexavalent chromium of 1 ppm. (Pis.’ 56.1 ¶ 53.) Plaintiffs also petitioned for a remediation standard of 6 ppm, a standard Plaintiffs derived from the DEP risk assessment. (Id. ¶ 54.) The DEP denied both requests in June of 2009. (Id. ¶ 55.)
II. LEGAL STANDARD
Summary judgment is appropriate under Federal Rule of Civil Procedure 56(c), when the moving party demonstrates that there is no genuine issue of material fact and the moving party is entitled to judgment as a matter of law.
Celotex Corp. v. Catrett,
When the moving party has the burden of proof on an issue at trial, that party has “the burden of supporting their motions ‘with credible evidence ... that would entitle [them] to a directed verdict if not controverted at trial.’ ”
In re Bressman,
Once the moving party has satisfied its initial burden, the party opposing the motion must establish that a genuine issue as to a material fact exists.
Jersey Cent. Power & Light Co. v. Lacey Twp.,
III. ANALYSIS
Defendant asserts several grounds for bringing this suit to a halt, with either the grant of summary judgment, or, alternatively, the grant of abstention or a stay.
A. Mootness
In the first instance, Defendant contends that summary judgment should be granted because this action is moot as a result of the Consent Judgment. This Court disagrees.
The mootness principle draws from “Article III of the Constitution, ‘under which the exercise of judicial power depends upon the existence of a case or controversy.’ ”
DeFunis v. Odegaard,
PPG argues that because the Consent Judgment expressly resolved — through the claim release provision — all of the DEP’s RCRA claims against PPG, Plaintiffs’ claims are now moot. This overlooks the central issue in mootness: the availability of remedies.
Plaintiffs seek remedies outside of those provided in the Consent Judgment. Although the Consent Judgment addresses the same concern which underlies Plaintiffs’ suit here — hazardous waste at the Garfield Site — it does not provide for all of the remedies that Plaintiffs seek, or that this Court may provide. Under the RCRA, this Court may order Defendant “to take such [ ] action as may be necessary” to resolve an imminent and substantial endangerment. 42 U.S.C. § 6972(a);
see also United States v. Price,
*302
PPG relies heavily on
Ohio
Valley, in which a district court found that a citizen suit was rendered partially moot by the West Virginia Department of Environmental Protection’s (“WVDEP”) prosecution.
Ohio Valley Environmental Coalition, Inc. v. Hobet Mining, LLC,
No. 3:08-0088,
Ohio Valley is easily distinguished. In Ohio Valley, the defendant had already agreed to do what, substantively, the plaintiffs’ sought to require it to do: cease permit violations. 7 The consent decree provided the full remedy that the plaintiffs sought. 8
Here, PPG has not agreed to provide all the remedies which Plaintiffs seek. Furthermore, in contrast with permitting cases, PPG’s liability cannot be established simply by establishing “compliance” or “non-compliance” with preexisting state standards and regulations. Rather, the extent of Defendant’s liability, if any, must be determined by a court. Therefore, PPG, unlike Hobet Mining, may be liable under the RCRA even if it complies with the state standards incorporated in the Consent Judgment.
See Honeywell,
There remains effectual relief that this Court may grant outside of the scope of relief provided for in the Consent Judgment. 9 This case is not moot.
B. Res Judicata/Full Faith & Credit
Defendant also argues that summary judgment should be granted because the Consent Judgment must be afforded Full Faith & Credit, and is, in essence, a res judicata bar to this suit. Plaintiffs counter that Full Faith and Credit is not required because New Jersey’s res judicata rules would not preclude this action.
The issues of res judicata and Full Faith and Credit are related here, as both speak
*303
to the circumstances under which a lawsuit will be precluded as a result of a prior court’s jurisdiction. “‘[R]es judicata’ refers broadly to the common-law doctrine barring relitigation of claims or issues that have already been adjudicated.”
Velasquez v. Franz,
Federal courts use the Full Faith and Credit Act to apply the principles of res judicata (claim preclusion) and collateral estoppel (issue preclusion) to matters that have been previously decided in state courts.
Kremer v. Chem. Constr. Corp.,
This Court must look to New Jersey’s res judicata rules to determine whether Plaintiffs’ RCRA suit is barred.
1. New Jersey Res Judicata
New Jersey’s res judicata jurisprudence has three basic elements: (1) the judgment in the prior action must be valid, final, and on the merits; (2) the parties in the later action must be identical to or in privity with those in the prior action; and (3) the claim in the later action must grow out of the same transaction or occurrence as the claim in the earlier one.
Watkins v. Resorts Int’l Hotel and Casino, Inc.,
This Court finds that New Jersey preclusion rules also include a jurisdictional requirement. Under the prior jurisdictional competency rule, a judgment in one court will not preclude a claim over which it lacks jurisdiction, when that claim is later advanced in a second court.
See, e.g., Nanavati v. Burdette Tomlin Memorial Hosp.,
In
Nanavati,
the Third Circuit closely examined New Jersey preclusion laws to determine whether a New Jersey state court judgment would preclude a subsequent action that was based in federal antitrust laws.
See generally Nanavati,
This Court agrees with, and must adhere to, the Third Circuit regarding its determination that New Jersey preclusion rules require prior jurisdictional competency.
See also PCC Constr. Inc. v. Star Ins. Co.,
2. Prior Jurisdictional Competency
Plaintiffs and Defendant dispute whether the prior jurisdictional competency requirement is satisfied here because they disagree as to whether federal courts have exclusive jurisdiction over RCRA actions. If federal courts have exclusive jurisdiction, this Court need not reach the other elements of res judicata to determine whether Full Faith and Credit precludes this action. The Supreme Court established that when “state preclusion law includes this requirement of prior jurisdictional competency ... a state judgment will
not
have claim preclusive effect on a cause of action within the exclusive jurisdiction of the federal courts.”
Marrese,
This Court finds that the RCRA places exclusive jurisdiction in federal courts for suits brought under § 6972. RCRA states: “Any action under paragraph (a)(1) of this subsection shall be brought in a district court for the district in which the alleged violation occurred or the alleged endangerment may occur.” 42 U.S.C. § 6972(a) (emphasis added).
The overwhelming number of courts to consider the issue have likewise held that RCRA actions are exclusively federal.
See, e.g., Fletcher v. United States,
Defendant argues that Congress did not intend federal courts to have exclusive jurisdiction because it did not say, as it did in the Comprehensive Environmental Response, Compensation, and Liability Act (“CERCLA”), that “district courts shall have exclusive original jurisdiction over all controversies arising under this Act.” 42 U.S.C. § 9613(b).
The only court to hold that concurrent jurisdiction exists under the RCRA is the Sixth Circuit.
See Davis v. Sun Oil,
*305 This Court declines to follow Davis, and agrees with the majority of courts that the RCRA confers exclusive jurisdiction on the federal courts.
3. Preclusive Effect of Consent Judgment
Since federal courts have exclusive jurisdiction over RCRA suits, New Jersey’s prior jurisdictional competency rule indicates that the Consent Judgment does not preclude Plaintiffs’ suit. However, Defendant holds that the Supreme Court’s decision in
Matsushita
stands for the notion that “exclusive jurisdiction would have no impact on the preclusive effect of the Consent Judgment.” (Def.’s Reply Br. at 6.) This view of
Matsushita
misses the mark.
See generally Matsushita,
In
Matsushita,
the Supreme Court squarely confronted a question similar to that which is presented here: “whether a federal court may withhold full faith and credit from a state-court judgment approving a class-action settlement simply because the settlement releases claims within the exclusive jurisdiction of the federal courts.”
Matsushita,
In reversing the Ninth Circuit Court of Appeals, the
Matsushita
court held that courts could not “employ their own rules” to withhold Full Faith and Credit “simply” because the claims advanced were exclusively federal.
Id.
at 373-74,
Proceeding to analyze relevant state law, the
Matsushita
court found that while Delaware originally had a prior jurisdictional competency requirement, its courts later developed an exception for class settlements with claim releases.
Id.
at 376-77,
Matsushita is applicable here, but Delaware law is not. As discussed above, New Jersey preclusion rules require prior jurisdictional competency. Therefore, under the analysis of Marrese and Matsushita, this Court concludes that the Consent Judgment, which released exclusively federal RCRA actions, does not preclude Plaintiffs’ RCRA suit, under the Full Faith *306 and Credit Act or common-law principles of res judicata. 13
C. Abstention
Defendant posits, alternatively, that this Court should abstain from exercising jurisdiction in this case. “Abstention is a judicially created doctrine under which a federal court will decline to exercise its jurisdiction so that a state court or agency will have the opportunity to decide the matters at issue. The doctrine is rooted in concerns for the maintenance of the federal system and represents an extraordinary and narrow exception to the virtually unflagging obligation of the federal courts to exercise the jurisdiction given to them.”
Hi Tech Trans, LLC v. New Jersey,
PPG asserts that abstention is appropriate under the Colorado River doctrine, the Bwrford doctrine, and the doctrine of primary jurisdiction. See id. (“[Ajbstention is justified only in the exceptional circumstances .... Those circumstances are loosely gathered under discrete concepts of abstention named after leading Supreme Court cases, viz., ‘Pullman,’ ‘Bwrford’ ‘YoungeP and ‘Colorado River.’ ” (internal quotation marks and citations omitted).) This Court finds abstention is inapt here.
1. Colorado River
PPG argues that abstention is appropriate under
Colorado River
because of the ongoing enforcement of the Consent Judgment in state court.
See Colorado River Water Conservation District v. United States,
The
Colorado River
doctrine, underpinned by considerations of “wise judicial administration ... and comprehensive disposition of litigation,” delineates limited circumstances in which federal courts may abstain because of an ongoing parallel state proceeding.
Id.
at 817,
A two-part inquiry is required to warrant abstention: (1) whether there is a parallel state proceeding that raises “substantially identical claims [and] nearly identical allegations and issues;” and (2) whether there are “extraordinary circumstances” meriting abstention.
Nationwide Mut. Fire Ins. v. George V. Hamilton, Inc.,
Because federal courts have exclusive jurisdiction over RCRA actions, the first requirement of the
Colorado River
doctrine — that there be a parallel state proceeding — is not satisfied. The Third Circuit has noted precisely this, stating, “there can be no possible basis for abstaining [under
Colorado River
] if the state court to which the federal court defers lacks jurisdiction over the claim. If the [plaintiffs’] claims are not subject to review in a state forum, there can be no ‘parallel’ state court litigation.... ”
Univ. of Maryland at Baltimore v. Peat Marwick Main & Co.,
Defendant’s argument that the “continuing enforcement” of the Consent Judgment constitutes a parallel action is unavailing. Indeed, in emphasizing the narrow application of
Coloradlo River,
the Third Circuit reiterated that “[t]he general rule regarding simultaneous litigation ... is that both actions may proceed until one has come to judgment, at which point that judgment may create a res judicata ... effect on the other action.”
Spring City,
Nonetheless, even if the continuing enforcement of the Consent Judgment were a parallel proceeding to this federal action, the multi-factor test for “extraordinary circumstances” weighs against abstention. Most significantly, the fifth and sixth factors lean heavily against abstention. The RCRA is a federal statute, thus, with regard to the fifth factor, this case is controlled by federal, not state, law. “[T]he presence of federal-law issues must always be a major consideration weighing against surrender.”
Moses H. Cone,
Although the third factor, the desirability of avoiding piecemeal litigation, first sounds in favor of abstention, it is not. This factor is not to be “so broad that it swallows up the century-old principle ... that the pendency of an action in the state court is no bar to proceedings concerning the same matter in the Federal court having jurisdiction.”
Ryan v. Johnson,
Piecemeal litigation was a paramount consideration in
Colorado River
because the Supreme Court found that the McCarran Amendment, 43 U.S.C. § 666, evinced a “clear federal policy” that the state court systems were the preferred means for adjudication of water rights in Colorado.
Colorado River,
There is no indication of such a federal policy in the RCRA. While the statute explicitly precludes citizen suits when an agency brings its own suit under RCRA or CERCLA, it makes no mention of preclusion when an agency brings a state action.
See Middlesex,
The fourth factor is the only factor clearly in favor of abstention, because the state court action began first. However, this Court does not attribute significant weight to this bare fact.
See Moses H. Cone,
Lastly, the first and second factors are not especially relevant here. PPG’s argument that the state court has exercised jurisdiction over the Garfield site is incorrect because this is not an
in rem
proceeding.
See Morton College Bd. of Trustees of Illinois Comm. College District No. 527 v. Town of Cicero,
On balance, even if the Consent Judgment were considered a “parallel state proceeding,” this Court finds no exceptional circumstances warranting Colorado River abstention.
2. Burford
PPG also argues that
Burford
provides an independent basis for abstention in this case.
See Burford v. Sun Oil Co.,
Burford
abstention is appropriate when “federal adjudication would disrupt an important and complex state regulatory scheme.”
Lac D’Amiante du Quebec, Ltee v. Am. Home Assurance Co.,
(1) when there are difficult questions of state law bearing on policy problems of substantial public import whose importance transcends the result in the case then at bar; or (2) where the exercise of federal review of the question in a ease and in similar cases would be disruptive of state efforts to establish a coherent policy with respect to a matter of substantial public concern.”
New Orleans Pub. Serv., Inc. v. Council of New Orleans,
In
Riley,
the Third Circuit reversed a district court’s application of abstention by drawing attention to the importance of the threshold requirement that a plaintiff have available “timely and adequate state-court review” of his claims.
Riley v. Simmons,
As in
Riley,
state courts lack jurisdiction over the RCRA claims at issue here. Additionally, this Court finds that the RCRA is distinct from the Spill Act, under which the DEP brought its suit. Specifically, the Spill Act has no imminent and substantial endangerment provision. Plaintiffs did not have available a functionally equivalent state cause of action.
Cf. Dalicandro v. Legalgard,
No. 99-3778,
Furthermore, even if there existed timely review, the circumstances warranting
Burford
abstention are not present here. New Jersey’s ability to create a coherent environmental policy would not be disrupted by this Court’s exercise of jurisdiction.
14
See Morton College,
PPG relies on
Space Age Fuels, Inc. v. Standard Oil Co.,
No. 95-1637,
Space Age is inapposite. Unlike Plaintiffs here, the court found that Space Age had timely and adequate state court review available for its reimbursement claims. 16
*310
Also, Space Age asked the court to enjoin defendants against whom the state agency had distinctly chosen not to pursue formal enforcement actions. This case does not require the court to question, challenge, or otherwise contradict the DEP’s enforcement proceedings.
See Morton College,
The other cases that Defendant cites also involve agency regulatory processes.
See, e.g., Sugarloaf Citizens v. Montgomery County,
Under Riley, and precedents applying Burford, there is no basis for declining jurisdiction over this RCRA suit.
3. Primary Jurisdiction
Next, Defendant argues that this Court should dismiss this case under the doctrine of primary jurisdiction. Like Colorado River and Burford, abstention is not justified on this basis.
The doctrine of primary jurisdiction is “concerned with promoting the proper relationships between the courts and administrative agencies charged with particular regulatory duties.”
United States v. W. Pac. R.R. Co.,
Although “[n]o fixed formula exists” for the application of primary jurisdiction, many courts have considered four factors helpful in determining whether the “reasons for the existence of the doctrine are present and whether the purposes it serves will be aided by its application in the particular litigation.” Id. As this Court has previously set forth, these factors are:
*311 (1) [w]hether the question at issue is within the conventional experience of judges or whether it involves technical or policy considerations within the agency’s particular field of expertise; (2) whether the question at issue is particularly within the agency’s discretion; (3) whether there exists a substantial danger of inconsistent rulings; and (4) whether a prior application to the agency has been made.
Global Naps v. Bell Atlantic-New Jersey,
It would be counterintuitive, where Congress has created a private cause of action to respond to imminent and substantial endangerment, to require plaintiffs to defer, indefinitely, to a state agency once the agency becomes involved. Many courts agree that abstention “would be an end run around RCRA” given that “Congress has
specified
the conditions under which the pendency of other proceedings bars suit under RCRA....”
PMC, Inc. v. Sherwin-Williams Co.,
Defendant’s contention that the remediation of hazardous substances and potential health impacts of chromium contamination is not “within the conventional experience of judges” is true only to this extent: judges do not consistently and frequently engage in environmental matters, but, rather, have varied subject-matter experience. Congress clearly contemplated that the environmental issues posed here are within the competency of the courts when it created a citizen suit provision.
See, e.g., Me. People’s Alliance v. Mallinckrodt, Inc.,
The issues in this case are also not particularly within the DEP’s discretion.
18
The questions before this Court arise under the language of the RCRA, a statute which the DEP has no discretion to interpret.
19
See, e.g., Heightened Independence
*312
and Progress v. Port Auth. of New York and New Jersey,
No. 07-2982,
The third factor, inconsistent rulings, is not a significant concern. The fact that PPG may be subject to a more stringent remediation standard than it is under the Consent Judgment is not a reason to invoke the primary jurisdiction doctrine. “Extra burden is not what [the primary jurisdiction] doctrine is meant to circumvent; additional obligation is not incompatible with nor does it undermine the agency-driven process.”
Me. People’s Alliance v. Holtrachem Mfg. Co., L.L.C.,
No. 00-69-B-C,
While the last factor — -whether prior application has been made to the agency— likely weighs in favor of Defendant, this factor alone is insufficient to invoke primary jurisdiction.
Defendant’s argument relies primarily on
Davies.
The
Davies
court applied primary jurisdiction, and
Burford
abstention, by deciding, in part, that matters of hazardous waste remediation were within the special expertise of the state agency.
Davies,
This Court declines to follow
Davies’
application of primary jurisdiction abstention.
See Davies,
4. Collateral Attack 21
Defendant also argues that this Court should preclude Plaintiffs’ action as an impermissible collateral attack on the New Jersey state court case, the Consent *313 Judgment, and the DEP. Plaintiffs’ suit is not an improper collateral attack.
The collateral attack doctrine, like res judicata and Full Faith and Credit, promotes finality in litigation by upholding judgments of other courts.
See, e.g., Daniels v. U.S.,
PPG maintains that Plaintiffs’ improper intent is evidenced by the three year gap between Plaintiffs’ notice to file suit and its commencement of this action, which occurred when the Consent Judgment was in its final stages. According to PPG, Plaintiffs should have intervened when they thought the DEP was inadequately representing them rather than “[sitting] on the sidelines” while the Consent Judgment was negotiated.
Defendant relies on the language in two Third Circuit cases that suggest that an “unjustified or unreasonable failure to intervene can serve to bar a later collateral attack.”
See Soc’y Hill Civic Ass’n v. Harris,
Moreover, Defendant’s argument fails for three independent reasons. First, Plaintiffs could not have brought their exclusively federal RCRA suit in state court. Barring their suit for their failure to intervene would undermine the goal of fairness that is served by the jurisdictional competency requirement in preclusion rules. Second, under the plain language of the RCRA, there is no requirement that Plaintiffs intervene in a separate state proceeding. See 42 U.S.C. § 6972. Third, the RCRA has no express limits on the time for the filing of a complaint, other than the requirement that it be, at minimum, 90 days after a notice of intent to sue. 23 See § 6972(b)(2)(A). Defendant’s collateral attack argument, like the other grounds for abstention, merely seeks an “end run” around the RCRA citizen suit.
Defendant also reasons that Plaintiffs’ improper purpose is evidenced by the substance of Plaintiffs’ claims, which attack the DEP’s past actions, the DEP standards for remediation, and the results of the Consent Judgment. 24 PPG attempts to analogize this case to three cases that were dismissed as collateral attacks by the plaintiffs. Each of those cases applies Burford abstention in the context of agency permitting decisions, and each ema *314 nates from within the Fourth Circuit. None is applicable here.
In
Palumbo,
the Court of Appeals for the Fourth Circuit found that the RCRA suit brought by a city and state, as plaintiffs, was, “at bottom,” a collateral attack on the federal EPA’s permitting decisions regarding an incinerator in the neighboring state of Ohio.
Palumbo v. Waste Techs. Indus.,
Defendant also relies on
Sugarloaf Citizens Ass’n v. Montgomery County,
No. 93-2475,
Lastly, Defendant finds support in
Jamison,
where the plaintiffs challenged a permitting decision made by the West Virginia Division of Air Quality.
Jamison,
Palumbo, Sugarloaf, and Jamison are inapposite. Unlike the plaintiffs in those cases, Plaintiffs here are not circumventing a prescribed appeals process for permits that have been issued through a regulatory process. Defendant is correct, in some sense, that Plaintiffs are “attacking” the DEP’s actions and standards. Yet, this the very nature of an imminent and substantial endangerment citizen suit: it allows citizens to seek judicial remedies where, allegedly, an agency has failed to protect people or the environment from danger. To abstain on the basis of collateral attack here would defeat Plaintiffs’ statutory right to a citizen suit.
Many of Defendant’s collateral attack arguments are policy based. 26 PPG ar *315 gues, “[t]he RCRA citizen suit provision is ‘not intended to enable citizens to commandeer the federal enforcement machinery. ... A citizen’s role is secondary to the ‘preeminent role’ of the government in environmental enforcement.” (Def.’s Br. at 32-33.) Defendant contends that once an agency acts to enforce environmental laws, a citizen suit is barred, especially because government agency enforcement is preferred over citizen suits. (Id. at 33.) Defendant urges that the court is not the proper avenue for Plaintiffs to express dissatisfaction with, or challenge, the Consent Judgment. (Id. 34, 39.)
“While defendant’s concern for duplicitous litigation is certainly well founded and understandable, it appears that Congress took no steps to bar a RCRA citizen suit for any other reason than that referred to [in the statute].”
Middlesex,
D. Stay
Finally, Defendant presents a cursory argument that a stay of this action, until PPG fulfills its obligations under the Consent Judgment, is necessary to prevent two conflicting orders from -two different courts. (Def.’s Br. at 40.)
This Court declines to stay Plaintiffs’ suit. The indiscernible risk of two conflicting orders does not warrant a stay for five or more years, until the completion of the Consent Judgment provisions. Mere speculation that orders will conflict will not overcome Plaintiffs’ right to adjudicate their federal claims.
Cf. Davies,
Defendant is unpersuasive in its attempt to have this Court refrain from acting until it can be seen whether the case is rendered moot by the eventual performance of the Consent Judgment. Such a lengthy stay would defeat the purpose of an environmental provision seeking to remediate
imminent
and substantial endangerment and run contrary to this Court’s unflagging obligation to exercise its jurisdiction.
See DMJ Assoc.,
IY. CONCLUSION
For the reasons stated above, Defendant’s motion seeking summary judgment, an abstention, or a stay, is denied.
*316 MEMORANDUM OPINION
This matter comes before the Court upon the motion of Defendant PPG Industries, Inc. (“PPG”) for reconsideration of the March 26, 2010 order entered by the Hon. Joseph A. Greenaway, Jr., U.S.C.J., that denied PPG’s motion for summary judgment. 1 (Doc. No. 43.) PPG’s present motion is opposed by Plaintiffs Interfaith Community Org., Graco Community Org., and Natural Resources Defense Council, Inc. (collectively “Plaintiffs”). The Court has considered the parties’ submissions and decided this matter without oral argument pursuant to Federal Rule of Civil Procedure 78. For the reasons stated below, the Court will deny PPG’s motion for reconsideration.
I. BACKGROUND
This case arises from a complaint filed by Plaintiffs under the imminent and substantial endangerment citizen suit provision of the Resource Conservation and Recovery Act (“RCRA”). (Am. Compl.; Doc. No. 25) The complaint alleges PPG contributed to chromium waste from 1954 to 1963 at a chrome production facility operated at 880 Garfield Avenue, Jersey City, New Jersey (“Garfield Site”). (JAG Mem. Op. 2; Doc. No. 41) The Garfield Site and other areas contaminated by chromium waste were the subject of litigation in New Jersey state court after the New Jersey Department of Environmental Protection (“DEP”) sought remediation of the chromium waste under the New Jersey Spill Compensation and Control Act (“Spill Act”). (Id.) Ultimately, in early 2009, PPG and the DEP agreed to terms on a Consent Judgment that resolved the litigation between those entities. 2 (Id.)
On February 3, 2009, at approximately the same time PPG and the DEP agreed to the Consent Judgment, Plaintiffs filed the complaint that gave rise to this case. An amended complaint followed on June 24, 2009. Shortly thereafter, on July 7, 2009, PPG filed its underlying motion for summary judgment, or alternatively, for abstention or a stay of this case. On March 26, 2010, Judge Greenaway (the “Court”) denied PPG’s motion. In the accompanying opinion, the Court addressed the spectrum of issues raised by PPG and ruled against PPG. Of import here, the Court ruled that circumstances which might warrant abstention under various doctrines are not present in this case. PPG’s instant motion seeks reconsideration of the Court’s determination that abstention pursuant to the Burford and primary jurisdiction doctrines are were not warranted. Alternatively, PPG seeks leave to file an interlocutory appeal.
II. DISCUSSION
PPG’s motion for reconsideration asserts that there is new evidence available that might have altered the Court’s March 26 decision not to abstain pursuant to either the Burford or primary jurisdiction doctrines. (Def.’s Br. 4; Doc. No. 43.) In general, PPG laments that it “did not focus the Court’s attention enough on the factual and legal significance of the [DEP] en *317 forcement action under the [NJSA] and other applicable environmental laws in the earlier and ongoing New Jersey Superior Court ease.” 3 (Def.’s Br. 1; Doc. No. 43.) In particular, PPG advances evidence that purportedly demonstrates the Consent Judgment is being implemented and contamination of the Garfield Avenue site is being addressed. (Id. at 5.)
If PPG’s forgoing arguments for reconsideration fail, PPG asks the Court to modify the March 26 decision to provide for interlocutory appeal pursuant to 28 U.S.C. § 1292(b). (Def.’s Br. 13; Doc. No. 43.) In support of this request, PPG asserts that abstention under the Burford and primary jurisdiction doctrines are controlling questions of law, upon which there is a substantial ground for difference of opinion, and that an immediate appeal could materially advance the ultimate termination of the litigation. (Id.)
In opposition to PPG’s motion for reconsideration, Plaintiffs argue that the evidence PPG advances is immaterial and is not new. (Pis.’ Opp. Br. 3; Doc. No. 45.) Additionally, Plaintiffs argue that there is no clear error of law or manifest injustice that renders reconsideration of the March 26 decision appropriate, and that interlocutory appeal should not be allowed. (Id. at 5.)
A. Standard of Review
In the District of New Jersey, motions for reconsideration are governed by Fed. R. Civ. P. 59(e) and L. Civ. R. 7.1. The Third Circuit has made clear that motions for reconsideration should only be granted in three situations: (1) when an intervening change in controlling law has occurred; (2) when new evidence becomes available; or (3) when reconsideration is necessary to correct a clear error of law, or to prevent manifest injustice.
N. River Ins. Co. v. CIGNA Reinsurance Co.,
B. APPLICATION
1. Whether Material New Evidence is Available
PPG moves for reconsideration on the grounds that additional material facts are now available that were not when PPG filed its motion for summary judgment. To permit reconsideration when new evidence becomes available, the moving party must present new evidence that would alter the disposition of the case.
Church & Dwight Co. v. Abbott Labs.,
PPG contends the evidence it advances indicates that Burford abstention should apply. PPG argues this “new” evidence demonstrates the Consent Judgment is being implemented and contamination addressed, and therefore that a complex state regulatory scheme exists. (Def.’s Br. 5; Doc. No. 43.) The Court finds that the evidence submitted by PPG does not alter the disposition of this case, and therefore reconsideration is not warranted. In his March 26 opinion, Judge Greenaway declined to abstain under Burford because, among other reasons, “New Jersey’s ability to create a coherent environmental policy would not be disrupted by this Court’s exercise of jurisdiction.” (Op. 20-21; Doc. No. 41.) Judge Greenaway supported his finding by noting “the mere fact that a state agency has taken some action on the waste at issue here does not make this Court’s subsequent involvement a disruptive intrusion into the state’s capacity to create a coherent policy.” (Id. at 21.) Furthermore, Judge Greenaway found that there is “no regulatory process at issue” that justifies abstention. (Id. at 23.) The evidence advanced by PPG simply does not alter Judge Greenaway’s findings. Plainly, Judge Greenaway was aware of the nature and history of PPG’s agreement with the DEP at the time of the March 26 opinion and did not find the Consent Judgment reason to abstain. (Id. 2-3.) The largely ministerial details advanced by PPG regarding the Consent Judgment do not justify reconsideration of Judge Green-away’s March 26, 2010 decision.
2. Whether the Court Focused on Key Matters Justifying Abstention
In its motion for reconsideration, PPG also argues the Court did not focus on key matters justifying abstention under Bur-ford or the primary jurisdiction doctrine. PPG argues: (1) abstention is proper under Burford because Plaintiffs had timely and adequate state court review available; and (2) the Court should reconsider PPG’s primary jurisdiction argument and find that the Court should abstain from exercising jurisdiction.
With regard to the first argument, the Court found Plaintiffs do not have a timely and adequate state court review available to them because state courts lack jurisdiction over the RCRA and that the RCRA is not the functional equivalent to the Spill Act. (Op. at 20.) Although PPG again argues these laws are functionally equivalent, this issue was previously briefed and has been decided by Judge Greenaway. PPG’s disagreement with Judge Greenaway’s conclusion on that issue is not a valid ground for reconsideration.
Next, PPG argues that
Maine People’s Alliance v. Holtrachem Mfg. Co.,
No. 00-69-B-C,
In sum, the Court finds there is no clear error of law present and no manifest injustice will result from this Court’s declination to reconsider Judge Greenaway’s pri- *319 or decision on these issues. 4
S. Defendants’ Alternative Request for Certification for Interlocutory Appeal
In the alternative, PPG seeks certification for interlocutory appeal. (Def.’s Br. 13; Doc. No. 43.) The Court may grant certification under 28 U.S.C. § 1292(b) provided that the issue Defendants raise for reconsideration: (1) involves a controlling question of law upon which there is; (2) substantial grounds for difference of opinion as to its correctness; and (3) if appealed immediately, may materially advance the ultimate termination of the litigation.
Katz,
In this case, there is not a substantial grounds for difference of opinion as to the legal standard for abstention. “Mere disagreement with the district court’s ruling does not constitute a ‘substantial ground for difference of opinion’ within the meaning of § 1292(b).”
Kapossy v. McGraw-Hill, Inc.,
Finally, PPG argues that interlocutory appeal is appropriate because Judge Greenaway declined to follow certain cases in other districts and circuit courts of appeal that are not controlling on this Court. Those arguments are not meritorious because the Court has no duty to follow non-controlling law. Because PPG has not shown there is a substantial difference of opinion as to a legal standard used by this Court to decide this case, certification for interlocutory appeal is not appropriate.
III. CONCLUSION
For the foregoing reasons, PPG’s motion for reconsideration will be denied. (Doc. No. 43) An appropriate form of order is filed herewith.
Notes
. Sitting by designation on the District Court.
. The New Jersey Attorney General and the Administrator of the New Jersey Spill Compensation were also named plaintiffs.
. In April of 2009, two of the Plaintiffs, Interfaith and the NRDC, filed comments recommending changes to the proposed Consent Judgment. (Lagrotteria Cert., Exs. 7-8.)
. Defendant avers that a settlement was reached between the DEP and PPG on January 16, as evidenced by a letter the parties sent to the state court. (Def.’s 56.1 Reply ¶ 51.) The February 19, 2009 date refers to the date the settlement was announced on the New Jersey Attorney General's website. (Id.)
. This risk assessment was based a National Toxicology Program ("NTP”) study indicating that hexavalent chromium was carcinogenic when consumed by mice and rats in drinking water. (Pis.’ 56.1 ¶¶ 43, 45; Def.’s 56.1 Reply ¶¶ 43, 45.) Plaintiffs claim that prior to this study, the carcinogenic effects of hexavalent chromium were known only with regard to exposure through inhalation. (Pis.’ 56.1 ¶ 43.)
. While state standards may be "relevant and useful” information in the determination of whether an endangerment exists, the Third Circuit has clearly articulated that they are not controlling for purposes of liability in a RCRA imminent and substantial endangerment suit.
Interfaith Community Org. v. Honeywell Int’l, Inc.,
. Defendant also cites to
Pub. Interest Research Group of N.J., Inc. v. Hercules, Inc.,
which is similarly inapposite. Nos. 89-2291, 93-2381,
. The
Ohio Valley
court found the case was moot even though plaintiffs sought a different schedule for injunctive relief than was provided in the defendant's consent decree because the court held the schedule in the consent decree was reasonable.
Ohio Valley,
This does not change the mootness analysis here. "Reasonableness” is not a relevant inquiiy here. It is unlikely that claims seeking frivolous, or unreasonable, modifications to the Consent Judgment would survive. Such complaints would likely fail to meet the threshold inquiry of whether the conditions alleged pose an "imminent and substantial endangerment to health or the environment.”
. Plaintiffs also argue that mootness is avoided because "there is no assurance that the Consent Judgment will be implemented as written.” (Pis.’ Br. at 14.) This speculative argument need not be addressed. This Court finds that mootness is not necessarily avoided, at least at this stage of litigation, even if Defendant complies with the Consent Judgment.
. Although the preclusive effect of a judgment is determined by the law of the judgment rendering court, the Supreme Court recognized that a state’s preclusion law could never clearly establish the preclusive effect of a state court decision on an exclusively federal action.
See Marrese,
. The Supreme Court identified that the preclusion analysis begins with the law of the rendering state, and, "[i]f state law indicates that the particular claim or issue would be barred from litigation in a court of that state, then the federal court must next decide whether, ‘as an exception to § 1738,' it ‘should refuse to give preclusive effect to [the] state court judgment.' ”
Matsushita,
. The court also found, under the second step of the preclusion analysis, that the Securities Exchange Act did not provide any explicit or implied exceptions to § 1738.
Matsushita,
. Though this Court has focused on the Full Faith and Credit Act, the same result is required under res judicata, as both are dependent on state preclusion laws. (See Def.'s Br. 15-24 (arguing res judicata); Def.’s Reply Br. (arguing Full Faith and Credit).) Defendant argues that res judicata applies because the basic elements — a valid and final judgment, privity, and common occurrence — are satisfied. However, because New Jersey law also requires prior jurisdictional competency, res judicata does not preclude this suit.
See Nanavati,
. This is the only plausible basis for Burford abstention in this case. Defendant does not contend that the other possible use of Burford abstention, for circumstances involving "difficult questions of state law,” applies here.
. PPG also relies on
Davies
v.
Nat’l Cooperative Refinery Assoc.,
in which a district court relied on the doctrine of primary jurisdiction for abstention, and passingly approved of
Bur-ford
abstention on the same grounds.
. Additionally, it is clear that Space Age sought to use RCRA as an alternate to its contribution and indemnification claims.
See id. *2
(asserting contribution and indemnification claims). In fact, it is not clear whether Space Age brought its action under the imminent and substantial endangerment provision or another RCRA section.
See Space Age,
. Defendant relies on four factors established by a state court ruling. (Def.’s Br. at 29.) The factors are worded slightly differently but appear to be equivalent to those identified by this Court.
. The four factor test relied on by Defendant requires that a matter be “peculiarly within the agency's discretion, or requiref] agency expertise.” (Def.'s Br. at 29.) Defendant relies on the "agency expertise” clause in its argument. {Id.) This need not be separately addressed as it is essentially an inverse of the first factor, which asks whether a matter is within the conventional experiences of judges.
. In fact, statutory interpretation is within the conventional experience of judges.
See Heightened Independence,
. In
Davies,
the plaintiffs sought to enjoin the defendant from pumping an aquifer, as that pumping was causing hazardous waste to migrate into the aquifer on plaintiffs' property.
Davies,
. The collateral attack doctrine has little precedent in civil cases as a distinct ground for abstention. Defendant identifies the collateral attack doctrine as an individual argument in its moving brief, but later argues that "this Court should abstain from entertaining Plaintiffs’ collateral attack under the primary jurisdiction, Colorado River, and Burford abstention doctrines.” (Def.’s Reply Br. at 14.) This section addresses collateral attack to the extent that Defendant intended to employ collateral attack as a separate ground for abstention.
.
Martin v. Wilks
was superseded by an amendment to the Civil Rights Act, with regard specifically to challenging consent decrees in employment-related claims.
See
42 U.S.C. § 2000e-2(n). It appears the general principle underlying
Wilks
remains — that the "linchpin of the ‘impermissible collateral attack’ doctrine — the attribution of preclusive effect to a failure to intervene — is therefore quite inconsistent with [Federal Rule of Civil Procedure] 19 and Rule 24.”
Wilks,
. Plaintiffs complied with the 90 day notice requirement.
. Defendant additionally points to the fact that two of the Plaintiffs had filed proposed changes to the Consent Judgment.
. The
Palumbo
plaintiffs had appealed the EPA's permit modification to the Environmental Appeals Board, were denied, and then failed to appeal that decimation to an appropriate circuit court, as required by the RCRA.
Palumbo,
The court also found
Buiford
abstention was warranted on the plaintiffs’ challenge of the state of Ohio’s permitting decisions because the plaintiffs were awaiting a decision on the issue from the Ohio EPA's Board of Review.
Palumbo,
. Under the umbrella of "collateral attack,” Defendant also passingly declares that the Consent Judgment is a statutory bar to Plaintiffs’ RCRA citizen suit. In light of the Full Faith and Credit Act and New Jersey’s prior jurisdictional competency requirement, the Consent Judgment cannot constitute a statutory bar. The statute precludes citizen suits essentially only when the agency brings a *315 RCRA or CERCLA suit. See 42 U.S.C. § 6972(b)(2)(C).
. Defendant attempts to distinguish Middle-sex because it involved pending litigation in state courts, whereas this case involves a judgment. However, to the extent this difference is important, it has already been addressed — for example, by addressing the applicability of Full Faith and Credit and res judicata.
. When PPG’s underlying summary judgment motion was filed, Judge Greenaway presided over this case as a United States District Judge. Before PPG’s motion for summary judgment motion was decided, however, Judge Greenaway was elevated to the United States Court of Appeals for the Third Circuit. For purposes of deciding PPG’s summary judgment motion, Judge Greenaway sat on tibe District Court by designation. After PPG’s summary judgment motion was decided, the case was reassigned to the undersigned.
. Further detail on the background of this matter is available in Judge Greenaway’s March 26, 2010 Opinion.
. The Court notes that this phraseology, which is repeated at several points throughout PPG's moving brief, appears to signal a collateral attack on the March 26 decision. Local Civil Rule 7.1, of course, does not contemplate simple re-litigation of issues already decided. Given the Court’s ultimate denial of this motion on other grounds, however, the Court shall not discuss this issue further.
. In reaching this conclusion the Court briefly acknowledges the supplemental letters submitted by the parties that address the recent opinion of Judge Joel A. Pisano, U.S.D.J., in
Raritan Baykeeper, Inc. v. NL Indus.
Inc.,F.Supp. -,
