Lead Opinion
Petitioners are twelve states, three cities, an American territory, and numerous environmental organizations. They are opposed by the Environmental Protection Agency as respondent, and ten states and several trade associations as intervenors. The controversy is about EPA’s denial of a petition asking it to regulate carbon dioxide (CO2) and other greenhouse gas emissions from new motor vehicles under § 202(a)(1) of the Clean Air Act, 42 U.S.C. § 7521(a)(1). EPA concluded that it did not have statutory authority to regulate greenhouse gas emissions from motor vehicles and that, even if it did, it would not exercise the authority at this time. 68 Fed.Reg. 52,922 (Sept. 8, 2003).
I.
We should say a few words about our jurisdiction under the Clean Air Act to review an EPA denial of a petition for rulemaking. Section 307(b)(1), 42 U.S.C. § 7607(b)(1), gives this court exclusive jurisdiction over “nationally applicable regulations promulgated, or final action taken, by the Administrator” under chapter 85 of the Act. The district courts, on the other hand, have jurisdiction over citizen suits to compel EPA to perform nondiscretionary acts or duties. 42 U.S.C. § 7604(a)(2); see Sierra Club v. Thomas,
Another, related, point needs to be mentioned. Several of the petitions for judicial review treated a memorandum of EPA’s General Counsel, Robert Fabricant, as “final action taken, by the Administrator” under § 307(b)(1). The memorandum, dated August 28, 2003, and addressed to the EPA Administrator, was entitled “EPA’s Authority to Impose Mandatory Controls to Address Global Climate Change under the Clean Air Act.” The General Counsel, after analyzing § 202(a)(1) of the Clean Air Act, and other legislative and executive actions, stated his belief that the Act “does not authorize regulation to address global climate change.” He therefore withdrew a contrary memorandum issued in 1998 by one of his predecessors.
The Fabricant memorandum, consisting of legal advice to the EPA Administrator, did not in itself constitute “final action” of the Administrator. To be sure, the Administrator adopted the “General Counsel’s opinion” and relied on its analysis as one of the alternative grounds for rejecting the rulemaking petition. See 68 Fed.Reg. at 52,925. The Administrator’s explanation incorporated many of the memorandum’s passages verbatim, rephrased and reordered others, and expanded on the General Counsel’s reasoning. Still, it is the Administrator’s denial of the rulemaking petition, with the accompanying explanation, that represents the “final action” of the Administrator subject to judicial review under § 307(b)(1). The significance of the General Counsel’s opinion, as set forth in his memorandum, is the Administrator’s reliance on his reasoning in deciding the matter now before us.
There is an additional jurisdictional issue presented, but not under the Clean Air Act. EPA claims that petitioners lack standing under Article III of the Constitution. Standing exists only if the complainant has suffered an injury in fact, fairly traceable to the challenged action, and likely to be redressed by a favorable decision. See Lujan v. Defenders of Wildlife,
In anticipation of this argument, petitioners filed two volumes of declarations with the court, some containing lengthy exhibits. The declarations, from scientists, engineers, state officials, homeowners, users of the nation’s recreational resources, and other individuals, predict catastrophic consequences from global warming caused by greenhouse gases, including loss of or damage to state and private property, frequent intense storm surge floods, and increased health care costs. Brief for Petitioners at 2-4.
For the causation and redressability aspects of standing, petitioners cite two of their declarations. One, from a climatologist, states that reductions in C02 and other greenhouse gases from vehicles in the United States would alone have a meaningful impact and would “delay and moderate many of the adverse impacts of global warming.” He adds .that if EPA took action to reduce such emissions, other countries would likely follow suit. The climatologist bases his predictions about future climate change on climate models and on “quantitative scenarios generated
We have held that, to establish standing, a petitioner challenging agency action has the same burden of production as “a plaintiff moving for summary judgment in the district court: it must support each element of its claim to standing ‘by affidavit or other evidence.’ ” Sierra Club v. EPA
Steel Co. v. Citizens for a Better Environment,
We have decided to follow the third course. Steel Co. endorses this approach with respect to questions of statutory-standing. The Court explained that “the merits inquiry and the statutory standing inquiry often overlap” and “are sometimes identical, so that it would be exceedingly artificial to draw a distinction between the two.”
II.
Greenhouse gases trap energy, much like the glass panels of a greenhouse. The earth’s surface is warmed by absorbing solar energy (visible light). The earth, in turn, radiates infrared energy (heat) back into space. A portion of the infrared radiation is trapped by greenhouse gas molecules,’ resulting in additional warming of the lower atmosphere and the earth’s surface. This “greenhouse effect” is a natural phenomenon, without which the planet would be significantly colder and life as we know it would not be possible. EPA, Global Warming — Climate, at http://yosemite.epa.gov/oar/globalwarming.nsPcontenVclimateJhtml.
Petitioners sought to have EPA regulate, under § 202(a)(1) of the Clean Air Act, carbon dioxide (CO2), and three other greenhouse gases: methane (CH4), nitrous oxide (N2O), and hydrofluorocarbons (HFCs).
In denying the rulemaking petition, EPA found that the scientific comments petitioners and others submitted rested on information already in the public domain and did not add significantly to the body of knowledge available to the National Research Council when it prepared the report cited above. Since none of the comments caused EPA to question the Council’s report, EPA decided to rely on the Council’s “objective and independent assessment of the relevant science.” 68 Fed.Reg. at 52,930.
The National Research Council concluded that “a causal linkage” between greenhouse gas emissions and global warming “cannot be unequivocally established.” National Research Council, Climate Change Science, at 17. The earth regularly experiences climate cycles of global cooling, such as an ice age, followed by periods of global warming. Id. at 7. Global temperatures have risen since the industrial revolution, as have atmospheric levels of carbon dioxide. But an increase in carbon dioxide levels is not always accompanied by a corresponding rise in global temperatures. For example, although carbon dioxide levels increased steadily during the twentieth century, global temperatures decreased between 1946 and 1975. Id. at 16. Considering this and other data, the National Research Council concluded that “there is considerable uncertainty in current understanding of how the climate system varies naturally and reacts to emissions of greenhouse gases.” Id. at 1. This uncertainty is compounded by the possibility for error inherent in the assumptions necessary to predict future climate change.
Relying on Ethyl Corp. v. EPA,
The EPA Administrator’s analysis, although it did not mention Ethyl, is entirely consistent with the case. In addition to the scientific uncertainty about the causal effects of greenhouse gases on the future climate of the earth, the Administrator relied upon many “policy” considerations that, in his judgment, warranted regulatory forbearance at this time. 68 Fed.Reg. at 52,929. New motor vehicles are but one of many sources of greenhouse gas emissions; promulgating regulations under § 202 would “result in an inefficient, piecemeal approach to the climate change issue.” 68 Fed.Reg. at 52,931. The Administrator expressed concern that unilateral regulation of U.S. motor vehicle emissions could weaken efforts to persuade developing countries to reduce the intensity of greenhouse gases thrown off by their economies. Id. Ongoing research into scientific uncertainties and the Administration’s programs to address climate change — including voluntary emission reduction programs and initiatives with private entities to develop new technology — also played a role in the Administrator’s decision not to reguláte. 68 Fed.Reg. at 52,931-33. The Administrator pointed to efforts to promote “fuel cell and hybrid vehicles” and ongoing efforts to devеlop “hydrogen as a primary fuel for cars and trucks.” 68 Fed.Reg. at 52,931. The Administrator also addressed the matter of remedies. Petitioners offered two ways to reduce C02 from new motor vehicles: reduce gasoline consumption and improve tire performance: As to the first, the Department of Transportation — the agency in charge of fuel efficiency standards — recently issued new standards requiring greater fuel economy, as a result of which millions of metric tons of C02 will never reach the stratosphere. Id. As to tire efficiency, EPA doubted its authority to regulate this subject as an “emission” of an air pollutant. Id. “With respect to the other [greenhouse gases]— CH4, N20, and HFCs — petitioners make no suggestion as to how those emissions might be reduced from motor vehicles.” Id.
It is therefore not accurate to say, as petitioners do, that the EPA Administrator’s refusal to regulate rested entirely on scientific uncertainty, or that EPA’s decision represented an “open-ended invocation of scientific uncertainty to justify refusing to regulate,” Brief for Petitioners at 51. A “determination of endangerment to public health,” the court said in Ethyl, “is necessarily a question of policy that is to be based on an assessment of risks and that should not be bound by either the procedural or the substantive rigor proper for questions of fact.” Ethyl,
We thus hold that the EPA Administrator properly exercised his discretion under § 202(a)(1) in denying the petition for rule-making. The petitions for review in Nos. 03-1365, 03-1366, 03-1367, and 03-1368 are dismissed, and the petitions for review
So ordered.
Notes
. Relying on FDA v. Brown & Williamson Tobacco Corp.,
. The rulemaking request and the papers submitted to this court focus on the effects of CO2.
. "As the NRC explained, predicting future climate change necessarily involves a complex web of economic and physical factors including: Our ability to predict future global anthropogenic emissions of GHGs and aerosols; the fate of these emissions once they enter the atmosphere (e.g., what percentage are absorbed by vegetation or are taken up by the oceans); the impact of those emissions that remain in the atmosphere on the radiative properties of the atmosphere; changes in critically important climate feedbacks (e.g., changes in cloud cover and ocean circulation); changes in temperature characteristics (e.g., average temperatures, shifts in daytime and evening temperatures); changes in other climatic parameters (e.g., shifts in precipitation, storms); and ultimately the impact of such changes on human health and welfare (e.g., increases or decreases in agricultural productivity, human health impacts). The NRC noted, in particular, that ‘[t]he understanding of the relationships between weather/climate and human health is in its infancy and therefore the health consequences of climate change are poorly understood' (p. 20). Substantial scientific uncertainties limit our ability to assess each of these factors and to separate out those changes resulting from natural variability from those that are directly the result of increases in anthropogenic GHGs.” 68 Fed.Reg. at 52,930.
Concurrence in Part
dissenting in part and concurring in the judgment.
As the majority’s opinion observes, courts of the United States must resolve jurisdictional questions, including “Article III standing questions, before proceeding to the merits of a case.” Opinion of Judge Randolph at 53 (citing Steel Co. v. Citizens for a Better Environment,
I. Injury
As the Supreme Court has stated quite directly and succinctly:
It is an established principle that to entitle a private individual to invoke the judicial power to determine the validity of executive or legislative action he must show that he has sustained or is immediately in danger of sustaining a direct injury as the result of that action and it is not sufficient that he has merely a general interest common to all members of the public.
Ex Parte Levitt,
Thus, the courts “have consistently held that a plaintiff raising only a generally available grievance about government— claiming only harm to his and every citizen’s interest in proper application of the Constitution and laws, and seeking relief that no more directly and tangibly benefits him than it does the public at large — does not state an Article III case or controversy.” Lujan,
Petitioners’ allegations and affidavits, and petitioners’ argument and briefs, are all well made and sincere. Nonetheless, even in the light most favorable to the petitioners, in the end they come down to this: Emission of certain gases that the EPA is not regulating may cause an increase in the temperature of the earth — a phenomenon known as “global warming.” This is harmful to humanity at large. Petitioners are or represent segments of humanity at large. This would appear to me to be neither more nor less than the sort of general harm eschewed as insufficient to make out an Article III controversy by the Supreme Court and lower courts.
The courts under Article III stand ready to adjudicate and redress the particularized injuries of plaintiffs, when all other elements of jurisdiction are present. But “when the plaintiff is not himself the object of the government action or inaction he challenges, [although] standing is not precluded, ... it is ordinarily ‘substantially more difficult’ to establish.” Lujan,
Therefore, I would reject and dismiss all the petitions before us. This is not to say that petitioners’ complaints are wrong. This is not to say they are without redress. This is to say only that the question is not justiciable in its present form with its present champions in the present forum. A case such as this, in which plaintiffs lack particularized injury is particularly recommended to the Executive Branch and the Congress. Because plaintiffs’ claimed injury is common to all members of the public, the decision whether or not to regulate is a policy call requiring a weighing of costs against the likelihood of success, best made by the democratic branches taking into account the interests of the public at large. There are two other branches of government. It is to those other branches that the petitioners should repair.
II. Concurrence in the Judgment
My conclusion leaves a slight problem. No problem exists as to the petitions for review of nonfinal action which Judge Randolph’s opinion orders dismissed. I would dismiss those as well, on either his ground or mine. The problem vexes only as to petitions for review in Nos. 03-1361, 03-1362, 03-1363, and 03-1364, which Judge Randolph would deny and Judge Tatel would grant. I would dismiss those as well, as I would hold that we have no jurisdiction to either deny or grant them. How then are we to reach a judgment?
The Supreme Court has suggested a way, or at least Justices of the Supreme Court have. Most recently, in Hamdi v.
The majority today holds that we have jurisdiction to render judgment on four of the petitions before us. Although I disagree, I will accept the decision of the majority as dictating the law of this case. Having so accepted the law of the case, I will then join Judge Randolph in the issuance of a judgment closest to that which I myself would issue. With that explanation, I join in the decision to order denying the four petitions from final action of the Environmental Protection Agency.
Dissenting Opinion
dissenting in Nos. 03-1361, 03-1362, 03-1363, and 03-1364.
Petitioners claim that motor vehicle emissions of greenhouse gases contribute to global warming and that global warming in turn is causing a host of serious problems, likely including increased flash flood potential in the Appalachians, degraded water quality and reduced water supply in the Great Lakes, sea-ice melting and permafrost thawing in Alaska, reduced summer snow-pack runoff in the Rockies, extreme water resource fluctuations in Hawaii, and rising sea levels combined with higher storm surges along the coasts of Puerto Rico, the Virgin Islands, and some eastern states. See Pet’rs Br. at 8-10 (summarizing U.S. Dep’t of State, U.S. Climate Action Report 2002, at 110). Concerned about such problems, petitioners asked EPA to regulate these emissions under Clean Air Act section 202(a)(1), which provides: “The Administrator shall by regulation prescribe ... standards applicable to the emission of any air pollutant from ... new motor vehicles ... which in his judgment cause, or contribute to, air pollution which may reasonably be anticipated to endanger public health or welfare.” 42 U.S.C. § 7521(a)(1). EPA denied the petition on two grounds — that it lacked statutory authority to regulate such emissions and that even given such authority it would not exercise it — and petitioners sought review in this court.
My colleagues agree that the petitions for review should not be granted, but they do so for quite different reasons. Judge Sentelle thinks that petitioners lack standing and would dismiss the petitions for that reason. Judge Randolph does not resolve whether petitioners have standing and would deny the petitions based on one of EPA’s two given reasons.
I have yet a different view. Unlike Judge Sentelle, I think at least one petitioner has standing, as I explain in Part II. Unlike Judge Randolph, I think EPA’s order cannot be sustained on the merits. EPA’s first given reason — that it lacks statutory authority to regulate emissions based on their contribution to welfare-endangering climate change, 68 Fed.Reg. 52,-922, 52,925-29 (Sept. 8, 2003) — fails, as I explain in Part III, because the statute
In short, EPA has failed to offer a lawful explanation for its decision. I would accordingly grant the petitions for review and send the matter back to EPA either to make an endangerment finding or to come up with a reasoned basis for refusing to do so in light of the statutory standard.
I.
“Greenhouse gases are accumulating in Earth’s atmosphere as a result of human activities, causing surface air temperatures and subsurface ocean temperatures to rise.” So begins page one of the National Research Council’s 2001 report, Climate Change Science: An Analysis of Some of the Key Questions (“NRC Report”), the scientific document EPA “rel[ied]” on in denying the petition for rulemaking, see 68 Fed.Reg. at 52,930.
As the NRC Report explains, greenhouse gases (GHGs) trap heat radiated from earth, and their atmospheric concentrations are increasing “as a result of human activities.” NRC Rep. at 1, 9. For example, “[h]uman activities ... responsible for the increase” in atmospheric concentrations of carbon dioxide (C02) — the chief GHG — include “[t]he primary source, fossil fuel burning,” as well as “[t]ropical deforestation.” Id. at 2; see also id. at 10, 12. The resulting increases are striking. In the 400,000 years prior to the Industrial Revolution, atmospheric C02 concentrations “typically ranged between 190” parts per million by volume (ppmv) “during the ice ages to near 280 ppmv during the warmer ‘interglacial’ periods.” Id. at 11. By 1958, atmospheric concentrations were 315 ppmv (12.5% above the pre-IndustrialRevolution high of 280 ppmv), and by 2000 they had risen to 370 ppmv (17% above the 1958 level). Id. at 10. Similarly, prior to the Industrial Revolution, , atmospheric concentrations of methane (CH4), another GHG, ranged from .3 ppmv to .7 ppmv; now, “current values are around 1.77 ppmv.” Id. at 11. Atmospheric concentrations of other GHGs like nitrous oxide (N20) have also risen. Id. at 2. Notably, GHGs not only disperse throughout the lower atmosphere, but also linger there at length: “Reductions in the atmospheric concentrations of these gases following possible lowered emissions rates in the future will stretch out over decades for methane, and centuries and longer for carbon dioxide and nitrous oxide.” Id. at 10.
Increаsed GHG atmospheric concentrations are causing “climate forcings” — “imposed perturbation^] of Earth’s energy balance” measured in terms of units of watts per square meter (W/m2). Id. at 6. Drawing from another report — an Intergovernmental Panel on Climate Change (IPCC) report with which the NRC “generally agrees,” id. at 1 — the NRC Report quantifies these climate forcings. C02, “probably the most important climate forcing agent today,” has “caus[ed] an in
CO2 climate forcing is likely to become more dominant in the future as fossil fuel use continues. If fossil fuels continue to be used at the current rate, the added CO2 forcing in 50 years will be about 1 W/m2. If fossil fuel use increases by 1-1.5% per year for 50 years, the added CO2 forcing instead will be about 2 W/m2.
Id. at 12-13. Thus, by 2050, the total C02 forcing since 1750 could be from 2.4-3.4 W/m2. The other GHGs “together cause a climate forcing approximately equal to that of CO2,” or more if one includes certain indirect effects of increased CH4 emissions. Id. at 13. While atmospheric GHG increases are not the only causes of climate forcings — for example, changes in solar irradiance and in concentrations of tropospheric ozone also appear to have caused climate forcings, and atmospheric concentration changes in aerosols like sulphates appear to have caused negative (cooling) climate forcings — all other forcings are less certain and appear less substantial than those caused by GHGs. See id.
The extent to which these forcings affect average global temperatures depends on the climate’s sensitivity, a condition that is not precisely known. Id. at 7. “Well-documented climate changes ... imply that the climate sensitivity is near ... 3°C” (5.4°F) for a 4 W/m2 forcing — a number a bit above the total CO2 forcing predicted by 2050 — “but with a range from 1.5°C to 4.5°C (2.7 to 8.1°F).” Id.
Turning to the practical effects of GHG climate forcings, the NRC Report observes that a “diverse array of evidence points to a warming of global surface temperatures.” Id. at 16. Though the “rate of warming has not been uniform,” measurements “indicate that global mean surface air temperature warmed by about ,4-.8°C (,7-1.5°F) during the 20th century.” Id. The report notes that “[t]he Northern Hemisphere as a whole experienced a slight cooling from 1946-75,” — a statement Judge Randolph erroneously reads for the proposition that “global temperatures decreased between 1946 and 1975,” op. of Randolph, J., at 57 (emphasis added)— possibly due to the widespread burning of high sulfur coal and resultant sulfate emissions or to changes in ocean circulation in the Atlantic. NRC Rep. at 16. The report also observes that, as the IPCC report points out, the “warming of the Northern Hemisphere during the 20th century is likely to have been the largest of any century in the past thousand years.” Id.
In evaluating the relationship between GHG atmospheric increases and twentieth-century temperature increases, the NRC Report states that due to the
large and still uncertain level of natural variability inherent in the climate record and the uncertainties in the time histories of various forcing agents (and particularly aerosols), a causal linkage between the buildup of greenhouse gases in the atmosphere and the observed climate changes during the 20th century cannot be unequivocally established.
Id. at 17. Although Judge Randolph seizes on this uncertainty — and portrays it as applying to global warming generally rather than to twentieth-century warming, see op. of Randolph, J., at 56 — read in context, it appears little more than an application of the principle that, as the NRC Report later puts it, “Confidence limits and probabilistic information, with their basis, should always be considered as an integral part of the information that climate scientists provide to policy and decision makers,” NRC Rep. at 22. Indeed,
The NRC Report further suggests that uncertainties about future warming relate chiefly to its scope.
Climate change simulations for the period of 1990 to 2100 based on IPCC emissions scenarios yield a globally-averaged surface temperature increase by the end of the century of 1.4 to 5.8°C (2.5 to 10.4°F) relative to 1990. The wide range of uncertainty in these estimates reflects both the different assumptions about future concentrations of greenhouse gases and aerosols in the various scenarios considered by the IPCC and the differing climate sensitivities of the various climate models used in the simulations. The range of climate sensitivities implied by these predictions is generally consistent with previously reported values.
Id. at 3. These numbers, of course, are averages: the “predicted warming is higher over higher latitudes than low latitudes, especially during winter and spring, and larger over land than over sea.” Id.
With this warming will come secondary effects. Predicted impacts in the United States include increased likelihood of drought, greater heat stress in urban areas, rising sea levels, and disruption to many U.S. ecosystems. Id. at 19-20. The likelihood and scope of these impacts vary depending on the magnitude of future temperature increases. See id.; see also id. at 4. Because the “predicted temperature increase is sensitive to assumptions concerning future concentrations of greenhouse gases and aerosols,” which in turn depend on future emissions, “national policy decisions made now and in the longer-term future will influence the extent of any damage suffered by vulnerable human populations and ecosystems later in this century.” Id. at 1.
II.
EPA claims petitioners lack standing to bring this case. To reach the merits, however, we need determine only that one petitioner has standing. See, e.g., Nuclear Energy Inst., Inc. v. EPA,
Among other things, Massachusetts claims injury — the “substantial probability that local conditions will be adversely affected,” Sierra Club v. EPA,
Given these declarations, I disagree that no petitioner suffers “harm particularized to” itself. See op. of Sentelle, J., at 60. The Commonwealth of Massachusetts claims an injury — namely, loss of land within its sovereign boundaries — that “affects [it] in a personal and individual way,” Lujan,
As to causation, the declaration of Michael MacCracken, the senior scientist on global change at the Office of the U.S. Global Change Research Program from 1993-2002, states that global warming is causing sea level increases like those in Massachusetts. “[T]he warming of the oceans and the increased melting of many mountain glaciers around the world ... were the major contributions to the rise in global sea level by 10-20 cm (4 to 8 inches) observed over the past century” and the “environmental impacts of projected global warming will include ... an increase in sea level at an average rate of about .5 to 3.5 inches per decade, reaching 4-35 inches by the end of the century (with the most likely value being, in my expert opinion, near or above the middle of this range).” MacCracken Decl. ¶ 5(c)-(d); see also id. ¶ 23. MacCracken further states that global warming is chiefly triggered by human-caused GHG emissions, see id. ¶¶ 5(a)-(b), 12-19, with “the U.S. transportation sector (mainly automobiles) ... responsible for about 7% of global fossil fuel emissions,” id. ¶ 31.
Finally, as to redressability, MacCracken emphasizes that “[a]chievable reductions in emissions of C02 and other [GHGs] from U.S. motor vehicles would ... delay and moderate many of the adverse impacts of global warming.” Id. ¶ 5(e). Elaborating, he states that “[given the large emissions of C02 and other [GHGs] from motor vehicles in the United States and the lead time needed to economically introduce changes into the motor vehicle fleet, emission reductions must be initiated in the near future in order to significantly reduce and delay the impacts of global warming.” Id. ¶ 31. Because the extent of damage to the Massachusetts coastline depends on the magnitude of the rise in sea level, a reduction in this projected adverse consequence of global warming would partially redress Massachusetts’s injury. See Tozzi v. U.S. Dep’t of Health & Human Servs.,
Judge Randolph, accepting that the declarations “do ‘support each element’ of standing,” nonetheless questions whether this is enough. See op. of Randolph, J., at 55 (quoting Sierra Club,
The issue is fascinating, but we need not confront it. Given that the burdens of production here are comparable to those at summary judgment, see
Indeed, if anything, the order under review appears to support petitioners’ standing. While, drawing on the NRC Report, EPA observes that “there continue to be important uncertainties in our understanding of the factors that may affect future climate change,” 68 Fed.Reg. at 52,930, EPA never denies the “substantial probability,” see Sierra Club,
III.
As to the merits, the threshold question is this: does the Clean Air Act authorize EPA to regulate emissions based on their effects on global climate? Taking a constricted view, EPA insists it has no authority to regulate GHG emissions even if they contribute to substantial and harmful global warming. By contrast, petitioners claim that Congress has plainly given EPA the authority it says it lacks.
“If a court, employing traditional tools of statutory construction, ascertains that Congress had an intention on the precise question at issue, that intention is the law and must be given effect.” Chevron U.S.A., Inc. v. Natural Res. Def. Council, Inc.,
The Administrator shall by regulation prescribe ... standards applicable to the emission of any air pollutant from any class or classes of new motor vehicles or new motor vehicle engines which in his judgment cause, or contribute to, air pollution which may reasonably be anticipated to endanger public health or welfare.
42 U.S.C. § 7521(a)(1). This language plainly authorizes regulation of (1) any air pollutants emitted from motor vehicles that (2) in the Administrator’s judgment cause, or contribute to, air pollution which may reasonably be anticipated to endanger public health or welfare. EPA’s claimed lack of authority relates to the first of these two elements. According to EPA, GHGs like C02, CH4, N20, and hydrofluorocarbons (HFCs) “are not air рollutants.” 68 Fed.Reg. at 52,928.
Congress, however, left EPA little discretion in determining what are “air pollutants.” Added in 1970 and amended in 1977, CAA section 302(g) defines the term as follows:
The term ‘air pollutant’ means any air pollution agent or combination of such agents, including any physical, chemical, biological, radioactive ... substance or matter which is emitted into or otherwise enters the ambient air.
42 U.S.C. § 7602(g). This exceedingly broad language plainly covers GHGs emitted from motor vehicles: they are “physical [and] chemical ... substance[s] or matter ... emitted into ... the ambient air.” Indeed, in one CAA provision, added in 1990, Congress explicitly included C02 in a partial list of “air pollutants.” Section 103(g) instructs the Administrator to research “nonregulatory strategies and technologies for preventing or reducing multiple air pollutants, including sulfur oxides, nitrogen oxides, heavy metals, PM-10 (particulate matter), carbon monoxide, and carbon dioxide.” Id. § 7403(g) (emphasis added). Faced with such language, a court — as well as an agency — would normally end the analysis here and conclude
Unswayed by what it calls “narrow semantic analyses,” Resp’t Br. at 55 — but what courts typically call Chevron step one — EPA claims that a “more holistic analysis ... [of] the text, structure, and history of the CAA as a whole, as well as the context provided by other legislation that is specific to climate change,” justifies its conclusion that it cannot regulate GHGs like C02 for their effects on climate change, id. at 25-26. To disregard the Act’s plain text in this way, EPA needs an “extraordinarily convincing justification.” Appalachian Power Co. v. EPA,
EPA offers four reasons for abandoning the Act’s text. First, it suggests that since the 1965, 1970, and 1977 Congresses were not specifically concerned with global warming, the Act cannot apply to GHGs. Second, it claims that for both practical and policy reasons, global pollution should be tackled through specific statutory provisions rather than general ones. Third, relying on FDA v. Brown & Williamson Tobacco Corp.,
EPA first suggests that because the 1965, 1970, and 1977 Congresses showed little concern about the specific problem of global warming, reading the CAA’s language to cover such problems would be like finding “an elephant in a mousehole.” Tr. of Oral Arg. at 32; see also Resp’t Br. at 23 (quoting Whitman v. Am. Trucking Ass’ns,
EPA’s second reason for its interpretation — that for practical and policy reasons global warming should be dealt with through specifically tailored statutes — likewise fails to trump Congress’s plain language. It may well be that a statute aimed solely at global warming would deal with the problem more effectively than one aimed generally at air pollution. But an agency may not “avoid the Congressional intent clearly expressed in the [statutory] text simply by asserting that its preferred approach would be better policy.” Engine Mfrs. Ass’n,
EPA also attempts an unworkability argument. Its argument goes like this: another part of the CAA provides that the Administrator shall maintain a list of air pollutants that, among other things, “in [the Administrator’s] judgment, cause or contribute to air pollution which may reasonably be anticipated to endanger public health or welfare.” Id. § 7408(a)(1)(A). Once pollutants go on this list, the Administrator must set national ambient air quality standards (NAAQS) for them, i.e., ambient air concentration levels that, in the Administrator’s judgment, “are requisite to protect the public health” and in some areas are “requisite to protect the public welfare.” Id. § 7409(b); see also id. §§ 7407, 7410(a)(1). States must submit plans explaining how they will achieve these NAAQS. Id. § 7410. According to
This unwieldy argument fails. Even assuming that states’ limited ability to meet C02 NAAQS renders these provisions unworkable as to CO2, but see id. § 7509a(а) (providing a safe harbor for states that fail to meet NAAQS due to emissions emanating from outside the country), the absurd-results canon would justify at most an exception limited to the particular unworkable provision, i.e., the NAAQS provision. See Mova Pharm. Corp. v. Shalala,
In support of its third justification for abandoning the plain text of sections 202(a)(1) and 302(g), EPA relies on later congressional action (and inaction). Specifically, EPA points out (1) that all direct references to CO2 or global warming in the 1990 CAA amendments appear in nonregulatory provisions; (2) that other congressional acts such as the 1978 National Climate Program Act, the 1987 Global Climate Protection Act, the 1990 Global Change Research Act, and the 1992 Energy Policy Act, as well as several appropriations riders, touch specifically on the issue of global warming, typically by instructing agencies to study the issue; and (3) that Congress has considered and rejected many bills specifically tailored to GHG emissions regulation since at least 1990. One might well wonder what all this has to do with whether GHGs are “ah’ pollutants” within the meaning of CAA section 302(g). But relying almost exclusively on Brown & Williamson,
In Brown & Williamson, the Court considered whether the FDA had authority to regulate tobacco products. Although the Food, Drug, and Cosmetic Act’s broad language suggested that it did, the Court, acknowledging that “a specific policy embodied in a later federal statute should control our construction of the [earlier] statute, even though it ha[s] not been expressly amended,”
EPA’s reliance on Brotun & Williamson is misplaced. To begin with, I am unconvinced by EPA’s contention that its jurisdiction over GHG emissions would be as significant as FDA jurisdiction over tobacco. Acting under the CAA, EPA already extensively regulates the energy and transportation industries, whereas the FDA had no prior authority over the tobacco industry. Moreover, EPA jurisdiction would lead only to regulation of GHGs — with, in the case of section 202, regulation taking effect only after “such period as the Administrator finds necessary” for development of technology, “giving appropriate consideration to the cost of compliance,” 42 U.S.C. § 7521(a)(2). By contrast, FDA jurisdiction over tobacco would have triggered a total product ban. But even assuming the implications are equally significant, this is not an “extraordinary” case where “common sense,” see Brown & Williamson,
Perhaps most significantly, no conflict exists between EPA’s section 202(a)(1) authority to regulate GHGs and subsequent global warming legislation. Whereas an FDA ban on tobacco would have directly conflicted with congressional intent that tobacco remain on the market, EPA regulation of GHGs would be fully compatible with statutes proposing additional research and other nonregulatory approaches to climate change. Take the three 1990 CAA additions referencing carbon dioxide or global warming. Section 103(g) calls for “nonregulatory strategies and technologies” for reducing pollutants like sulpher oxides, carbon monoxide, and carbon dioxide. 42 U.S.C. § 7403(g). While the section also provides that “[njothing in this stibsection shall be construed to authorize the imposition on any person of air pollution control requirements,” id. (emphasis added), it nowhere suggests that EPA lacks authority to regulate carbon dioxide — or, for that matter, sulpher oxides, carbon monoxide, and other pollutants— under different parts of the Act. Section 602(e) is similar. One sentence requires the Administrator to “publish the global warming potential” of certain listed substances, and the next sentence notes that “[t]he preceding sentence shall not be construed to be the basis of any additional regulation under this chapter.” Id. § 7671a(e). Once again, nothing in this provision bars regulation under other parts of the Act. The third provision — an uncodified section- — merely requires sources subject to the Act’s Title V to “monitor carbon dioxide emissions,” and says nothing about regulation one way or the other. Pub.L. No. 101-549, § 821, 104 Stat. 2399, 2699 (1990). Other climate-related acts similarly demonstrating congressional intent that global climate issues receive study and attention are likewise perfectly compatible with GHG regulation. See generally National Climate Program Act of 1978, Pub.L. No. 95-367, 92 Stat. 601; Global Climate Protection Act of 1987, Pub.L. No. 100-204, §§ 1101-1106,
Furthermore, and unlike subsequent tobacco legislation that “effectively ratified the FDA’s previous position,” Brown & Williamson,
EPA has one last argument, applicable to C02 emissions alone, for claiming it lacks the authority the language of sections 202(a)(1) and 302(g) expressly bestow upon it. According to EPA, the only practical way to regulate C02 emissions from motor vehicles is to require increased fuel economy, since C02 is a byproduct of fuel combustion and “[n]o technology currently exists or is under development that can capture and destroy or reduce” C02 “emissions from motor vehicle tailpipes.” 68 Fed.Reg. at 52,929. Such regulation, EPA reasons, would overlap substantially with DOT’S authority under the 1975 Energy Policy and Conservation Act (EPCA) to set average fuel economy standards for certain classes of motor vehicles. See Pub.L. No. 94-163, § 502, 89 Stat. 871, 902-07 (1975). Though rеcognizing that no direct conflict would occur since both agencies would set minimum standards, EPA concludes that “any EPA effort to set C02 tailpipe emissions under the CAA would either abrogate EPCA’s regime (if the standards were effectively more stringent than the applicable [DOT] standard) or be meaningless (if they were effectively less stringent).” 68 Fed.Reg. at 52,929.
EPA may well be correct that setting standards for fuel economy (rather than for capturing tailpipe emissions) represents its only currently practical option for regulating CO2 emissions. But cf. 42 U.S.C. § 7521(a)(2) (requiring section 202(a)(1) regulation to take effect only “after such period as the Administrator finds necessary to permit the development and application of the requisite technology”). But given that the two regulatory regimes — one targeted at fuel conservation and the other at pollution prevention — are overlapping, not incompatible, there is no reason to assume that Congress exempted CO2 from the meaning of “air pollutant” within the CAA, particularly since section 103(g) explicitly calls C02 an “air pollutant.” Where two “statutes are ‘capable of co-existence,’ it becomes the duty of this court ‘to regard each as effective’ — at least absent clear congressional intent to the contrary.” FTC v. Ken Roberts Co., 276
In sum, GHGs plainly fall within the meaning of “air pollutant” in section 302(g) and therefore in section 202(a)(1). If “in [the Administrator’s] judgment” they “cause, or contribute to, air pollution which may reasonably be anticipated to endanger public health or welfare,” 42 U.S.C. § 7521(a)(1), then EPA has authority — indeed, the obligation — to regulate their emissions from motor vehicles.
IV.
EPA’s second reason for refusing to act — what EPA’s counsel termed “the fallback argument,” Tr. of Oral Arg. at 41 — is that even if GHGs are air pollutants, the agency gave appropriate reasons and acted within its discretion in denying the petition for rulemaking. EPA stresses that our “arbitrary and capricious” standard of review is particularly deferential in reviewing an agency refusal to institute rulemaking. See Resp’t Br. at 11-12; cf. Motor Vehicle Mfrs. Ass’n v. EPA,
In my view, EPA has failed to satisfy this standard. Indeed, reading the relevant sections of EPA’s petition denial — one titled “No Mandatory Duty,” another “Different Policy Approach,” and a third “Administration Global Climate Change Policy,” see 68 Fed.Reg. at 52,929, 52,931 — I find it difficult even to grasp the basis for EPA’s action. In its brief, EPA describes the petition denial as claiming that if the agency thinks regulating GHGs is a bad idea, the Administrator has discretion to withhold making a “judgment,” known as an “endangerment finding,” that GHG emissions “cause, or contribute to, air pollution which may reasonably be anticipated to endanger public health or welfare,” see 42 U.S.C. § 7521(a)(1). Yet the denial it
EPA’s Discretion to Make an Endangerment Finding
In the petition denial, EPA states:
[T]he CAA provision authorizing regulation of motor vehicle emissions does not impose a mandatory duty on the Administrator to exercise her judgment. Instead, section 202(a)(1) provides the Administrator with discretionary authority to address emissions .... While section 202(a)(1) uses the word ‘shall,’ it does not require the Administrator to act by a specified deadline and' it conditions authority to act on a discretionary exercise of the Administrator’s judgment regarding whether motor vehicle emissions cause or contribute to air pollution that may reasonably be anticipated to endanger public health or welfare.
68 Fed.Reg. at 52,929. Expounding on this passage, EPA argues in its brief that “[t]he ICTA Petition Denial reflects EPA’s decision not to make any endangerment finding — either affirmative or negative— under section 202(a)(1).” Resp’t Br. at 62-63. In EPA’s view, “the Agency’s authority to make the threshold finding is discretionary” and petitioners err in suggesting that “if the statutory test for making the finding is met, EPA has no choice but to set standards.” Id. at 57 (internal quotation marks omitted).
EPA’s brief also turns several policy concerns raised in other portions of its petition denial into rationales for holding off examining endangerment. These concerns include the following: (1) “there continue to be important uncertainties in our understanding of the factors that may affect future climate change and how it should be addressed”; (2) petitioners identified no technologies for reducing CH4, N2 O, and HFC emissions, and technologies for reducing C02 emissions either overlap with DOT’S authority or require further development; (3) regulation “would also result in an inefficient, piecemeal approach to addressing the climate change issue,” as the “U.S. motor vehicle fleet is one of many sources of GHG emissions both here and abroad”; (4) “[ujnilateral EPA regulation of motor vehicle GHG emissions could also weaken U.S. efforts to persuade key developing countries to reduce the GHG intensity of their economies”; and (5) “EPA disagrees with the regulatory approach urged by petitioners,” instead preferring “a number of nonregulatory approaches to reducing GHG emissions” in line with “the President’s global climate change policy” of “support[ing] vital global climate research and lay[ing] the groundwork for future action by investing in science, technology, and institutions.” See 68 Fed.Reg. at 52,929-33.
EPA’s reasoning is simply wrong. In effect, EPA has transformed the limited discretion given to the Administrator under section 202 — the discretion to determine whether or not an air pollutant causes or contributes to pollution which may reasonably be anticipated to endanger public health or welfare — into the discretion to withhold regulation because it thinks such regulation bad policy. But Congress did not give EPA this broader authority, and the agency may not usurp it.
Section 202(a)(l)’s language — the “Administrator shall by regulation prescribe
But section 202(a)(1) plainly limits the Administrator’s discretion — his judgment — to determining whether the statutory standard for endangerment has been met. The Administrator has no discretion either to base that judgment on reasons unrelated to this standard or to withhold judgment for such reasons. In claiming otherwise, EPA not only ignores the statute’s language, but also fails to reckon with this circuit’s related precedent.
Our en banc decision in Natural Resources Defense Council, Inc. v. EPA,
Similarly, in Ethyl Corp. v. EPA,
In yet another case, Her Majesty the Queen in Right of Ontario v. EPA,
In short, EPA may withhold an endangerment finding only if it needs more information to determine whether the statutory standard has been met. Similarly, for EPA to find no endangerment (as Judge Randolph, going beyond the agency’s own arguments, appears to claim happened here, see op. of Randolph, J., at 57, 58), it must ground that conclusion in the statutory standard and may not rely on unrelated policy considerations.
The statutory standard, moreover, is precautionary. At the time we decided Ethyl, section 202(a)(1) and similar CAA provisions either authorized or required the Administrator to act on finding that emissions led to “air pollution which endangers the public health or welfare.” See
Given this framework, it is obvious that none of EPA’s proffered policy reasons justifies its refusal to find that GHG emissions “contribute to air pollution which may reasonably be anticipated to endanger public health or welfare.” Unlike in Her Majesty the Queen, EPA’s proffered reasons for refusing to make an endangerment finding have no connection to the statutory standard. Instead, as in Natural Resources Defense Council (where we found EPA to have acted arbitrarily and capriciously), EPA has “ventured into a zone of impermissible action” by “simply substitut[ing]” freestanding policy concerns for the sort of evaluation required by the statute. See
First, EPA claims that global warming still has many scientific uncertainties associated with it. See 68 Fed.Reg. at 52,930-31; see also op. of Randolph, J., at 11-13. In this regard, EPA makes much of the NRC’s statements that a link between human-caused atmospheric GHG concentration increases and this past century’s warming “cannot be unequivocally established”; that “a wide range of uncertainty” remains “inherent in current model predictions” due to imprecise variables like future emissions rates, climate sensitivity, and the forcing effects of aerosols; and that “current estimate [sic] of the magnitude of future warming should be regarded as tentative and subject to future adjustments (either upward or downward).” See 68 Fed.Reg. at 52,930 (quoting NRC Rep. at 1, 17); see also op. of Randolph, J., at 56-58. But the CAA nowhere calls for proof. It nowhere calls for “unequivocal” evidence. Instead, it calls for the Administrator to determine whether GHGs “contribute to air pollution which may reasonably be anticipated to endanger” welfare. EPA never suggests that the uncertainties identified by the NRC Report prevent it from determining that GHGs “may reasonably be anticipated to endanger” welfare. In other words, just as EPA failed in Natural Resources Defense Council to explain its chosen emissions level in light of the statutory standard, so the agency has failed here to explain its refusal to find endangerment in light of the statutory standard.
EPA’s silence on this point is telling. Indeed, looking at the NRC Report as a whole, I doubt EPA could credibly conclude that it needs more research to determine whether GHG-caused global warming “may reasonably be anticipated to endanger” welfare. Though not offering certainty, the report demonstrates that matters are well within the “frontiers of scientific knowledge,” see op. of Randolph, J., at 58
The U.S. National Assessment of Climate Change Impacts, augmented by a recent NRC report on climate and health, provides a basis for summarizing the potential consequences of climate change. The National Assessment directly addresses the importance of climate change of various magnitudes by considering climate scenarios from two well-regarded models (the Hadley model of the United Kingdom and the Canadian Climate Model). These two models have very different globally-averaged temperature increases (2.7 and 4.4°C (4.9 and 7.9°F), respectively) by the year 2100. A key conclusion from the National Assessment is that U.S. society is likely to be able to adapt to most of the climate change impacts on human systems, but these adaptations may come with substantial cost. The primary conclusions from these reports are summarized for agriculture and forestry, water, human health, and coastal regions.
In the near term, agriculture and forestry are likely to benefit from C02 fertilization effects and the increased water efficiency of many plants at higher atmospheric C02 concentrations. Many crop distributions will change, thus requiring significant regional adaptations. Given their resource base, the Assessment concludes that such changes will be costlier for small farmers than for large corporate farms. However, the combination of the geographic and climatic breadth of the United States, possibly augmented by advances in genetics, increases the nation’s robustness to climate change. These conclusions depend on the climate scenario, with hotter and drier conditions increasing the potential for declines in both agriculture and forestry. In addition, the response of insects and plant diseases to warming is poorly understood. On the regional scale and in the longer term, there is much more uncertainty.
Increased tendency towards drought, as projected by some models, is an important concern in every region of the United States even though it is unlikely to be realized everywhere in the nation. Decreased snow pack and/or earlier season melting are expеcted in response to warming because the freeze line will be moving to higher elevations. The western part of the nation is highly dependent on the amount of snow pack and the timing of the runoff. The noted increased rainfall rates have implications for pollution run-off, flood control, and changes to plant and animal habitat. Any significant climate change is likely to result in increased costs because the nation’s investment in water supply infrastructure is largely tuned to the current climate.
Health outcomes in response to climate change are the subject of intense debate. Climate change has the potential to influence the frequency and transmission of infectious disease, alter heat— and cold-related mortality and morbidity, and influence air and water quality. Climate change is just one of the factors that influence the frequency and transmission of infectious disease, and hence the assessments view such changes as highly uncertain. This said, changes in agents that transport infectious diseases (e.g., mosquitoes, ticks, rodents) are likely to occur with any*311 significant change in precipitation and temperature. Increases in mean temperatures are expected to result in new record high temperatures and warm nights and an increase in the number of warm days compared to the present. Cold-related stress is likely to decline whereas heat stress in major urban areas is projected to increase if no adaptation occurs. The National Assessment ties increases in adverse ah' quality to higher temperatures and other air mass characteristics. However, much of the United States appears to be protected against many different adverse health outcomes related to climate change by a strong public health system, relatively high levels of public awareness, and a high standard of living. Children, the elderly, and the poor аre considered to be the most vulnerable to adverse health outcomes. The understanding of the relationships between weather/climate and human health is in its infancy and therefore the health consequences of climate change are poorly understood. The costs, benefits, and availability of resources for adaptation are also uncertain.
Fifty-three percent of the U.S. population lives within the coastal regions, along with billions of dollars in associated infrastructure. Because of this, coastal areas are more vulnerable to increases in severe weather and sea level rise. Changes in storm frequency and intensity are one of the more uncertain elements of future climate change prediction. However, sea level rise increases the potential damage to coastal regions even under conditions of current storm intensities and can endanger coastal ecosystems if human systems or other barriers limit the opportunities for migration.
In contrast to human systems, the U.S. National Assessment makes a strong case that ecosystems are the most vulnerable to the projected rate and magnitude of climate change, in part because the available adaptation options are very limited. Significant climate change will cause disruption to many U.S. ecosystems, including wetlands, forests, grasslands, rivers, and lakes. Ecosystems have inherent value, and also supply the country with a wide variety of ecosystem services.
The impacts of these climate changes will be significant, but their nature and intensity will depend strongly on the region and timing of the occurrence. At a national level, the direct economic impacts are likely to be modest. However, on a regional basis the level and extent of both beneficial and harmful impacts will grow. Some economic sectors may be transformed substantially and there may be significant regional transitions associated with shifts in agriculture and forestry. Increasingly, climate change impacts will have to be placed in the context of other stresses associated with land use and a wide variety of pollutants. The possibility of abrupt or unexpected changes could pose greater challenges for adaptation.
Even the mid-range scenarios considered in the IPCC result in temperatures that continue to increase well beyond the end of this century, suggesting that assessments that examine only the next 100 years may well underestimate the magnitude of the eventual impacts. For example a sustained and progressive drying of the land surface, if it occurred, would eventually lead to desertification of regions that are now marginally arable, and any substantial melting or breaking up of the Greenland and Antarctic ice caps could cause widespread coastal inundation.
EPA similarly fails to link its second policy justification — that setting fuel economy standards represents the only currently available way to regulate C02 emissions and petitioners “make no suggestion[s]” for how to reduce CH4, N20, and HFC emissions, 68 Fed.Reg. at 52,-931 — with the statutory standard. As discussed earlier, supra at 72-73, the fact that DOT sets fuel economy standards pursuant to the EPCA in no way prevents EPA from setting standards pursuant to the CAA. It is true that DOT has recently increased fuel economy standards for light trucks, see 68 Fed.Reg. at 52,931; see also op. of Randolph, J., at 58 — a fact EPA did not even bother to mention in its brief — but unless DOT’s action affects whether GHGs “contribute to air pollution which may reasonably be anticipated to endanger, public health or welfare,” it provides no support for EPA’s decision.
As to EPA’s point about other GHGs, it may well be that no current technologies exist for reducing' their emissions. But once again, this has nothing at all to do with the statutory endangerment standard. Indeed, in section 202(a)(2), Congress has made it crystal clear that endangerment findings must not wait on technology.
Any regulation prescribed under paragraph (1) of this subsection (and any revision thereof) shall take effect after such period as the Administrator finds necessary to permit the development and application of the requisite technology, giving appropriate consideration to the cost of compliance within such period.
42 U.S.C. § 7521(a)(2). As the Senate Report explained, EPA “is expected to press for the development and application of improved technology rather than be limited by that which exists.” S.Rep. No. 91-1196, at 24 (1970); see also Natural Res. Def. Council, Inc. v. EPA,
EPA’s final policy reasons likewise fail. Because other domestic and foreign sources contribute to atmospheric GHG concentrations, GHG regulation might well “result in an inefficient, piecemeal approach to addressing the climate change issue,” 68 Fed.Reg. at 52,931. But again, Congress has expressly demanded such an approach. Section 202(a)(1) requires EPA to regulate if it judgеs that U.S. motor vehicle emissions “cause, or contribute to, air pollution,” 42 U.S.C. § 7521(a)(1) (emphasis added); see also Ethyl,
In short, EPA has utterly failed to relate its policy reasons to section 202(a)(l)’s standard. Indeed, nowhere in its policy discussion does EPA so much as mention this standard — “may reasonably be anticipated to endanger public health or welfare.” See 68 Fed.Reg. at 52,929-33 (the sections titled “Different Policy Approach” and “Administration Global Climate Change Policy”). EPA apparently dislikes the fact that section 202(a)(1) says the Administrator “shall” regulate — rather than “may” regulate — on making an endangerment finding. But EPA cannot duck Congress’s express directive by declining to evaluate endangerment on the basis of policy reasons unrelated to the statutory standard. Although EPA is free to take its policy concerns to Congress and seek a change in the Clean Air Act, it must obey the law in the meantime.
EPA’s Discretion After Making an Endangerment Finding
Alternatively, EPA may have believed that even if it made an endangerment finding, it had no obligation to regulate GHG emissions. The petition denial states,
EPA also disagrees with the premise of the petitioners’ claim — that if the Administrator were to find that GHGs, in general, may reasonably be anticipated tо endanger public health or welfare, she. must necessarily regulate GHG emissions from motor vehicles. Depending on the particular problem, motor vehicles may contribute more or less or not at all. An important issue before the Administrator is whether, given motor vehicles’ relative contribution to a problem, it makes sense to regulate them.... The discretionary nature of the Administrator’s section 202(a)(1) authority allows her to consider these important policy issues and decide to regulate motor vehicle emissions as appropriate to the air pollution problem being addressed. Accordingly, even were the Administrator to make a formal finding regarding the potential health and welfare effects of GHGs in general, section 202(a)(1) would not require her to regulate GHG emission from motor vehicles.
68 Fed.Reg. at 52,929. This passage is puzzling. Motor vehicles emit GHGs in significant quantities, see U.S. Dep’t of State, U.S. Climate Action Report 2002, at 40 — a point EPA nowhere contests. The statute clearly states that the Administrator “shall by regulation prescribe ... standards” governing the emissions of air pollutants from motor vehicles if the Administrator makes an endangerment finding regarding these pollutants. 42 U.S.C. § 7521(a)(1) (emphasis added). Compare id. § 7545(c)(1)(A) (using “may”). Refusing to regulate following an endangerment finding would violate the law. Indeed, EPA appears to have abandoned this argument. In a (rare) concession to the Act’s text, EPA counsel acknowledged at oral argument, “I don’t think that we
V.
Although this case comes to us in the context of a highly controversial question — global warming — it actually presents a quite traditional legal issue: has the Environmental Protection Agency complied with the Clean Air Act? For the reasons given above, I believe that EPA has both misinterpreted the scope of its statutory authority and failed to provide a statutorily based justification for refusing to make an endangerment finding. I would thus grant the petitions for review.
