OPINION
Plaintiffs are timber companies who submitted the winning bids on certain timber sales offered by the Bureau of Land Management (“BLM”) in FY 1990 and 1991. They seek declaratory and injunctive relief against the BLM and United States Fish and Wildlife Service (“FWS”) with respect to alleged violations of the interagency cooperation provisions of the Endangered Species Act (“ESA”), 16 U.S.C. § 1531, 1536, and the implementing regulations for that section, 50 C.F.R. Subpart 402, and alleged violations of BLM regulations governing the sale of timber, 43 C.F.R. Part 54.
*437 BACKGROUND
A federal agency must ensure that any action it authorizes, funds, or carries out is not likely to jeopardize the continued existence of any endangered or threatened species or result in the destruction or adverse modification of critical habitat of such species. 16 U.S.C. § 1536(a)(2). When a federal agency proposes to take an action that may affect a threatened or endangered species or its critical hаbitat, that agency must consult with the FWS and obtain a biological opinion from the FWS as to whether the proposed action is likely to résult in a violation of the ESA.
Id.,
50 C.F.R. Subpart 402. Although the agency is technically not bound by findings of the FWS biological opinion,
Sierra Club v. Marsh,
Nine of the timber sales at issue here are part of the BLM’s FY 1990 timber sale program. On July 18, 1990, the BLM initiated consultation on the FY 1990 timber sale program. Five days later, the northern spotted owl was listed as a threatened species. The FWS issued a draft biological opinion on August 17, 1990, and a final “no jeopardy” biological opinion on November 23, 1990. Subsequently, the BLM obtained new information suggеsting the proposed actions would have an adverse affect upon the northern spotted owl. By law, the BLM was required to reinitiate consultations. 50 C.F.R. § 402.16(b). Accordingly, on March 20, 1991, the BLM modified and resubmitted for individual consultation some of the FY 1990 sales, including the nine sales at issue here. On September 19, 1991, the FWS issued final “non-jeopardy” opinions for five of the sales at issue here, but reportedly deferred issuance of final opinions for the other four sales at the requеst of the BLM.
On February 14, 1992, the FWS designated critical habitat for the northern spotted owl, an event that required a new round of consultation. 50 C.F.R. § 402.16. The parties dispute the date on which this new round commenced. Plaintiffs assert the crucial date is January 23,1992, when the BLM sent a letter to the FWS requesting the initiation of formal consultation. Defendants assert the letter was defective because it omitted much of the information required by 50 C.F.R. § 402.14(c), and formal consultation therefore did not commence until April 29, 1992, when the BLM finally supplied the requested information.
Effective September 28, 1992, the Washington, Oregon, and California populations of the marbled murrelet were listed as a threatened species. Only five of the nine sales were in areas that might contain marbled murrelets. Consultation on those sales was commenced December 9, 1992. On December 17, 1992, plaintiffs gave formal notice of their intent to file suit against the FWS to force completiоn of the consultation process. That lawsuit was filed on July 28, 1993. Final biological opinions in those nine sales were issued no later than September 3, 1993 (there is some dispute over the precise date of one of the opinions).
In addition to the nine FY 1990 sales, the BLM and FWS were consulting on a number of FY 1991 timber sales, including six at issue here. The BLM initiated consultation on these sales regarding the listing of the spotted owl on February 4 and March 4, 1991. That consultation was completеd on June 17, 1991. As with the FY 1990 sales, a new round of consultation was initiated in 1992 to address the impact of those sales upon critical habitat for the owl. The parties similarly dispute whether formal consultation commenced on January 23 or April 29, 1992. A final biological opinion was issued on September 22, 1993, with respect to three of the sales. The BLM elected to withdraw the other three sales from consultation.
The original complaint asked this court to either (a) deсlare the FWS lacked jurisdiction to continue consultation and order the BLM to award the sales to plaintiffs, or (b) to compel defendants to terminate consultation and issue the biological opinions, Plaintiffs also sought declaratory relief establish *438 ing time limits upon the length of consultation, and a declaration that the FWS violated 50 C.F.R. § 402.14(g)(5) by failing to discuss certain information with plaintiffs prior to issuing the draft biological opinion.
After the FWS issued the biological opinions, plaintiffs filed an amended complaint seeking additional relief including an order declaring the biological opinions void, declaratory relief establishing procedures to be used in preparing the biological opinions, and other relief to address an assortment of grievances against the BLM and the FWS. Plaintiffs move for summary judgment. Defendants move to dismiss on jurisdictional grounds, or in the alternative for summary judgment. Plaintiffs also seek leave to file a secоnd amended complaint.
DISCUSSION
1. Mootness:
Plaintiffs originally brought this action to compel the FWS to issue biological opinions on specific timber sales. Since the opinions have now been issued, those claims are moot. There is no point in my ordering the FWS to perform an act that has already occurred. Plaintiffs also seek declaratory relief establishing time limits upon the length of consultation, and requiring the FWS to obtain plaintiffs’ consent to extend those deadlines, but since there is presently no dispute between the parties such a declaration would constitute an advisory opinion which federal courts lack jurisdiction to issue.
Church of Scientology of California v. United States,
— U.S.-,-,
Plaintiffs contend this case presents one of the “exceptional situations where the plaintiff can reasonably show that he will again be subject to the same injury”.
Sample v. Johnson,
Defendants admit the consultation process was unacceptably attenuated in the present case, but attribute those delays to the unprecedented number of requests for consultation generated by the listings of the spotted owl and marbled murrelet. Defendants also note that on several occasions rapidly unfolding events forced the agеncies to reinitiate consultation and issue a revised biological opinion. The FWS biologists were also stretched thin by other demands on their time, which included responding to legal challenges that sought to enjoin timber sales throughout the Pacific Northwest, and helping to prepare Forest Management Plan Option 9 (“Option 9”) and other forest management-plans. Finally, although public attention and considerable agency resources were devotеd to the spotted owl and marbled murrelet, those are just two of the many species for which the FWS biologists are obliged to conduct studies and issue biological opinions.
Defendants have furnished affidavits detailing the steps that have been taken to avoid a repetition of these delays, including hiring more biologists to assist with the production of biological opinions, developing an interagency database, and tiering consultation on specific projects to consultations con *439 ducted for larger forest planning strategies so the FWS need not reinvent the wheel for each individual consultation. Plaintiffs question whether those measures will be sufficient to prevent future delays, given the growing number of potential candidates for the endangered species list. Nonetheless, there are several factors that lead me to conclude this is not an appropriate instance to invoke the “caрable of repetition” exception to the mootness doctrine.
First, the claims here are not the type that are inherently mooted by the passage of time before review may be had.
Cf. Ackley v. Western Conference of Teamsters,
Plaintiffs also argue that the effects of the challenged delays hаve not been “completely and irrevocably eradicated”,
Luckie v. EPA,
2. Failure to Give Notice:
Plaintiffs have now received their long-sought biological opinions, but are unhappy with the conclusions of those reports. Accordingly, they seek to void the opinions on grounds (a) thе opinions were issued late, so the FWS was without jurisdiction to issue an opinion, (b) the FWS failed to use the best
*440
scientific and commercial data available during the consultation period, (c) the FWS failed to discuss its tentative findings with plaintiffs before issuing its draft biological opinion, (d) the FWS failed to give due consideration to plaintiffs’ proposed project modifications or mitigation, and (e) the biological opinions relied upon a critical habitat designatiоn that was struck down by Judge Hogan because the FWS had not prepared an Environmental Impact Statement on the affects of that designation.
See Douglas County v. Lujan,
Defendants move to dismiss these claims because plaintiffs failed to file the required 60-day notice оf intent to sue. 16 U.S.C. § 1540. The 60-day notice is jurisdictional, and failure to comply with that requirement is an absolute bar to bringing an action under this statute.
See Hallstrom v. Tillamook County,
Plaintiffs contend that the notice (dated Decеmber 17,1992) filed in connection with the first group of claims is sufficiently broad to cover the new claims. I disagree. The December 17 notice complained of the FWS’s failure to timely issue the biological opinions, and threatened to sue if the FWS didn’t promptly release those opinions. The new claims challenge the opinions themselves, and the process by which those opinions were developed. These are separate claims wholly apart from the first group, and require a new notice of intent to sue. Accordingly, these claims should be dismissed without prejudice. 3
The only one of these five claims that was arguably encompassed by the December 17 notice is plaintiffs’ contention that the biological opinion is void because the FWS’s authority to act expired with the passing of the consultation deadlines. Assuming these deadlines apply here, that contention still lacks merit. Given the absolutist terms in which thе ESA has been construed,
see TVA v. Hill,
In any event, invalidation of the biological opinion would not clear the way for the BLM to proceed with these timber sales. The BLM has an independent duty to ensure that any action it authorizes, funds, or carries out does not jeopardize the continued existence of any endangered or threatened species or result in the destruction or adverse modification of critical habitat of such species. 16 U.S.C. § 1536(a)(2). The purpose of consultation is to allow the agenсy to utilize the expertise of the FWS in assessing the impact of the proposed project and the feasibility of adopting reasonable alternatives. Consultation is not an end in itself, but merely the means to reach a reasoned decision. The BLM cannot ignore the information provided by the FWS merely because the opinion was allegedly delivered late. A decision by the BLM to proceed with these sales in the face of reliable information that the sales will adversely impact protected species would be arbitrary and capricious, and contrary to law.
Hill,
3. Claims Against the BLM:
Plaintiffs complain that the BLM erred by adjusting the contract price to reflect the value of the timber in 1993 dollars instead of 1990 dollars, which is when the contract was first bid. Defendants argue that this dispute is within the exclusive jurisdiction of the Court of Claims. I agree.
See Murphy Timber Co. v. Turner,
Next, plaintiffs seek an injunction requiring the BLM to immediately award any sale for which a biological opinion has been issued. The BLM chose to withdraw some of the sales in light of the draft biological opinions. Plaintiffs contend the BLM should have modified the sale instead of canceling it outright. This court has no jurisdiction to compel an agency to proceed with a project the agency no longer desires to pursue. To the extent plaintiffs are asserting a claim for breach of contract or failure to award a contract, that claim must be filed in the Court of Claims. Id.; 28 U.S.C. §§ 1346(a)(2) and 1491(a)(3).
Plaintiffs also seek a declaration that “defendant BLM has authority to replace lost timbеr volume within the contract area for purposes of developing reasonable and prudent alternatives.” The BLM declined plaintiffs’ request on grounds that action would violate agency regulations governing competitive bidding on timber sales. 43 C.F.R. Subparts 5401 and 5402. The complaint identifies the relief plaintiffs seek, but fails to identify any legal basis for granting that relief. Since plaintiffs do not contend the BLM is under any legal obligation to make up the lost volume, this is tantamount tо a request for an advisory opinion telling the BLM it has the power to take the requested action if it chooses to do so. Federal courts cannot issue advisory opinions.
Church of Scientology,
— U.S. at-,
In subsequent briefs, plaintiffs suggested that the proposed declaratory relief is an appropriate remedy for defendants’ alleged violations of the ESA, particularly the failure to properly consider plaintiffs’ proposed reasonable and prudent alternativеs. However, I have already determined that this claim must be dismissed for failure to comply with the notice requirements. Alternatively, compensation for lost volume might be a remedy under a contract theory, but 28 U.S.C. § 1491(a)(3) deprives the district courts of jurisdiction over pre-award government contract claims.
J.P. Francis & Associates, Inc. v. United States,
At oral argument, plaintiffs suggested this claim is actually founded upon the Administrative Procedure Act, on the theory that the BLM acted arbitrarily and capriciously by refusing to consider plaintiffs’ proposal due to an erroneous interpretation of the agency’s regulations. Such a claim would likely fall outside the exclusive jurisdiction of the Court of Claims.
See North Side Lumber Co. v. Block,
Assuming I have jurisdiction to сonsider that claim, it nonetheless fails on the merits. An agency’s construction of its own regulations is entitled to substantial deference.
Payne,
4. Motion for Leave to Amend Complaint:
Plaintiffs filed an eleventh hour motion seeking leave to file a second amended complaint adding a new claim alleging defendants violated § 318 of the Department of the Interior and Related Agencies Appropriations Act, 1990, Pub.L. No. 101-121, 103 Stat. 701, 745. Once the defendant has filed a responsive pleading, the decision to permit the filing of an amended complaint is committed to the sound discretion of the trial court. Fed.R.Civ.P. 15;
Foman v. Davis,
CONCLUSION
Plaintiffs’ motion (# 13-1) for summary judgment is DENIED. Plaintiffs’ motion (# 50-1) for leave to file a second amended complaint is DENIED without prejudice to refile the Section 318 claim as a separate action. Defendants’ motion" (# 24—1) to dismiss is GRANTED as to Claims One, Four, Five, Six, and Seven, and also Claim Three to the extent that claim is founded upon either a contract or a violation of the ESA, without prejudice to plaintiffs’ right to refile those claims that were dismissed for failure to comply with the notice requirements of 16 U.S.C. § 1540. Defendants’ motion (# 24-2) for summary judgment is GRANTED as to Claim Two and also as to Claim Three to the extent that claim challenges the BLM’s interpretation of 43 C.F.R. Subparts 5401 and 5402.
Notes
. Although defendants traditionally bore the burden of demonstrating that a case was moot, the Supreme Court’s decision in
Lyons
appears to have shifted that burden towards the plaintiff, at least with respect to demonstrating that the controversy is likely to reсur.
Sample,
. The authorizing statute speaks only of an applicant for a "permit or license”. 16 U.S.C. §§ 1532(12), 1536. The regulations expressly distinguish the granting of a "contract” from the granting of a "permit or license”. 50 C.F.R. § 402.02 ("Action”). Although the term "Applicant” is arguably given a somewhat broader definition in § 402.02, the regulations often revert to the term "permit or license applicant". See, e.g., 50 C.F.R. §§ 402.01(a), 402.08, 402.11(a), (f) and 402.12(f). Without exploring the legislative history and timber sale procedures in greater depth than the limited excerpts furnished with the parties’ briefs, I cannot determine whether the term "permit or license applicant" is intended to refer to any person proposing an "action” or only to an applicant for a "permit or license”, nor can I be certain whether the high bidder on a timber sale contract should be considered an applicant for a "permit or license" for purposes of the ESA and these regulations.
. Plaintiffs’ reliance upon
Sierra Pacific Industries,
. Plaintiffs suggest the BLM has applied its regulations inconsistently, but have failed to refute defendant's explanation that the sales described by plaintiffs were covered by express exclusions within § 5402. Plaintiffs also argue that the Forest Service has adopted a different interpretation of its regulations, but that is a different agency and different regulations. Even if the regulatiоns were identical, there can be more than one reasonable interpretation of a given regulation. Plaintiffs’ exhibits also reveal that the Forest Service has adopted detailed rules governing replacement volume sales. The source of those Forest Service rules is unclear, but they are more than a mere restatement or implementation of the policies enumerated in Subparts 5401 and 5402. There is no evidence in the record that suggests the BLM has adopted its own version of these rules.
