Opinion for the Court filed by Circuit Judge RANDOLPH.
No one may engage in surface coal mining without a permit issued pursuant to the Surface Mining Reclamation and Control Act, 30 U.S.C. § 1201 et seq., and the regulations thereunder. Under the Act, States administer permit programs approved by the Secretary of the Interior as consistent with federal laws and regulations. See National Mining Ass’n v. United States Dep’t of the Interior,
Some of the original regulations stemmed from a consent decree requiring the Interior Department to “establish and maintain a computerized system” to track applicants and violators, in order to enforce 30 U.S.C. § 1260(c). See Save Our Cumberland Mountains v. Clark, No. 81-2134,
In compliance with the consent decree, the Interior Department’s Office of Surface Mining created the Applicant/Violator System (“AVS”). The AVS is a computerized database “programmed to identify ‘links’ between known violators and applicants, individuals, and corporations.” Sam P. Burchett, The Applicant Violator System in Transition, 21 N. Ky. L. Rev. 555 n.5 (1994). The Office of Surface Mining operates the database and makes it available to the public on dedicated terminals and the Internet. See Office of Surface Mining, Access, at http://www. avs. osmre.gov/pubaccess. htm (last visited Dec. 5, 2000).
The National Mining Association (NMA) brought this action to set aside aspects of the AVS and related regulations. NMA objected to the AVS rules both because of the information required of applicants and because of what is purportedly done with the information. The district court granted summary judgment in favor of the Interior Department, sustaining all of the regulations.
The case was argued before us in November 2000. In December 2000, the Interior Department published a rule, effective January 18, 2001, replacing the AVS
I.
To determine whether anything remains of NMA’s case, we need to identify which regulations NMA challenged and whether the new rules altered those regulations. This is no small task. NMA, in its complaint, did not see fit to provide citations to all of the regulations. it thought invalid. Even in its briefs in this court, NMA is content to refer generally to “the rules” without, in many instances, providing any citations to the C.F.R. Perhaps this results from NMA’s habit of describing what “the rules” prohibit when in fact NMA’s real complaint is that “the rules” do not affirmatively require what NMA desires.
At any rate, by our count NMA specifically argued against the following old AVS rules issued by the Office of Surface Mining: 30 C.F.R. §§ 773.5, 773.20(c), 773.23(b), 773.24, 773.25 & 778.14(c) (1999). In its supplemental brief, NMA agrees with the government that the new AVS rules moot its challenges to §§ 773.20(c), 773.23(b), 773.24 & 773.25. See Supplemental Brief of Appellant at 4, 11. NMA also agrees that its contention about the lack of any provision to allow provisional permits is moot because the new rules fill the gap. See AVS Rules,
As to NMA’s remaining challenges to the regulations, some are also moot and the rest are meritless.
A.
NMA mounted a scattershot due process attack on the old AVS rules. Its main objections were that the rules did not give notice, and did not give applicants the chance to contest links to them on the AVS before these were posted and used to deny applications. NMA brought the case as a facial challenge to the rules. Yet NMA conceded at oral argument that even by its lights, “the rules” could be constitutionally applied in some cases. Whether that concession should have ended this aspect of the case under the doctrine that a law valid in some of its applications cannot be struck down as invalid on its face is a question we leave to another day. Compare United States v. Salerno,
In order to evaluate a procedural due process claim, a court must evaluate the “risk of an erroneous deprivation of [a property] interest through the procedures used, and the probable value, if any, of additional or substitute procedural safeguards.” Mathews v. Eldridge, 424 U.S.
B.
NMA argued that the definition of “owned and controlled” in § 773.5 of the old regulations was unconstitutionally vague and that the Office of Surface Mining should have adopted substantive rebuttal standards to overcome the presumptions set forth in the definition. See Brief of Appellant at 39-40. The new rules eliminate the presumptions and, in place of the former definition of “owned or controlled,” substitute two new definitions of “own, owner, or ownership” and “control or controller.” See AVS Rules,
C.
Section 778.14(c) of the old rules required applicants to submit “[a] list of all violation notices received by the applicant during the three-year period preceding the application date, and a list of all outstanding violation notices received prior to the date of the application by any surface coal mining operation that is deemed to be owned or controlled by the applicant.” 30 C.F.R. § 778.14(c) (1999). Because the new version of § 778.14(c) is to the same effect, see AVS Rules,
Under the Act, applicants must list all “notices of violations ... incurred by the applicant in connection with any surface coal mining operation during the three-year period prior to the date of application.” 30 U.S.C. § 1260(c). The rule, NMA points out, seeks information beyond the three-year cutoff-namely, “a list of all outstanding violation notices received prior to the date of the application by any surface coal mining operation that is deemed to be owned or controlled by the applicant” regardless of the date. This is true, but not determinative. NMA fails to appreciate the distinction between violations incurred by the applicant and violations incurred by entities owned or controlled by the applicant. The three-year cutoff in § 1260(c) of the Act applies only to violations by the applicant itself; it does not place any time limit on the other information § 778.14(c) of the regulations requires. We have held that “the Act’s ex
D.
This brings us to NMA’s claim that the old rules violate “state primacy.” By “state primacy,” NMA refers to the Act’s giving power to state agencies to issue permits pursuant to federally-approved state programs. See 30 U.S.C. § 1260(a). The Department of the Interi- or is empowered to approve or disapprove state programs, see 30 U.S.C. § 1253(b), and to establish regulatory requirements for these programs, see 30 U.S.C. § 1251(b). But once the Secretary approves a program, permits are to be issued and revoked by the designated “regulatory authority,” rather than the Interior Department. See also Bragg v. West Virginia Coal Ass’n,
According to NMA, the old rules “effectively strip[ped] the state of its exclusive permitting authority under § 510 [of the Act], prohibiting the state from issuing a permit if the applicant [was] shown in the AVS as linked to: unabated violations issued by other states; or violations issued by OSM.” See Brief of Appellant at 51. The offending rules were § 773.23(b) and §§ 773.24-.25, which NMA described as prohibiting a “state from allowing the applicant to demonstrate that : (1) it is not linked by ownership/control to the alleged violator(s); (2) that the violations have been abated; or (3) that the violations are invalid.” Id. In its supplemental brief NMA admits that the rule (30 C.F.R. § 773.25(b)(3)(i)) giving the Office of Surface Mining “plenary authority” over information on the AVS has been removed. We think the rest of NMA’s state primacy challenge is also moot.
NMA also contended that state primacy was undercut by 30 C.F.R. § 773.23(b)(2) (1999), which, it claimed, barred states from issuing permits when the AVS showed links to unabated violations issued by other states or by OSM. It is by no means clear that the new regulations continue this practice. Under the new § 773.11(a), a regulatory authority is required to review information from the AVS as well as “any other available information” to establish an applicant’s compliance history. AVS Rules,
Because rules of the Interior Department’s Office of Hearing and Appeals (OHA) were not changed by the new rule-making, NMA’s original challenge to those rules — 43 C.F.R. §§ 4.1374 and 4.1384— presents a live controversy. Both rules place the “burden of persuasion” on those challenging the validity of a decision to rescind a permit as improvidently granted (§ 4.1374(b)), and to those challenging decisions of the Office of Surface Mining regarding an ownership or control link in the AVS or the status of a violation reported there (§ 4.1384(b)).
When it originally promulgated these regulations, the Office of Surface Mining thought that such an allocation of the burden of proof was permitted by § 7(c) of the Administrative Procedure Act. See Use of the Applieant/Violator System in Surface Coal Mining and Reclamation Permit Approval; Standards and Procedures for Ownership and Control Determinations, 59 Fed. Reg. 54,306, 54,360 (Oct. 28, 1994) [hereinafter Use of the AVS] (citing APA § 7(c), 5 U.S.C. § 556(d)). Relying on our decision in Environmental Defense Fund, Inc. v. EPA,
Section 7(c) says that “[e]xcept as otherwise provided by statute, the proponent of a rule or order has the burden of proof.” 5 U.S.C. § 556(d). In Environmental Defense Fund, we interpreted “burden of proof’ to mean only the burden of production or “going forward.” See Environmental Def Fund,
NMA argues that the regulations cannot be valid because they shift the burden of proof, in violation of the Administrative Procedure Act. But this argument only succeeds if one ignores the other language in § 7(c). The statute says that the proponent of an order bears the burden of proof “[ejxcept as otherwise provided by statute.” 5 U.S.C. § 556(d) (emphasis added). We have already concluded that the power to suspend permits that were improvidently granted derives from OSM’s power to “order the suspension, revocation, or withholding of any permit for failure to comply with any of the provisions of this chapter or any rules and regulations adopted pursuant thereto.” 30 U.S.C. § 1211(c)(1); National Mining Ass’n v. United States Dep’t of the Interior,
43 C.F.R. § 4.1374 covers only decisions to rescind improvidently granted permits. But the same allocation of burdens of proof is made in 43 C.F.R. § 4.1384 (1999), which governs review of OSM’s decisions regarding the existence and status of ownership and control links in the AVS. NMA contends that OSM should bear the burden of proving that a linkage should be entered into the AVS at all. To NMA, the OSM is the “proponent” of an administrative order to enter information into the AVS, and § 4.1384 is invalid even if § 4.1374 is valid. But this view distorts the statute: 30 U.S.C. § 1260(c) places the burden of proof on the applicant, and no one else. The regulatory authority deciding whether to issue a permit uses the AVS as a source of information about potential violations. If NMA’s view were correct, then the question whether the permit should be issued would shift from a proceeding before a state regulatory agency where the applicant bears the burden of proof to a federal proceeding over the accuracy of the AVS information where OSM bears the burden of proof. That result is inconsistent with the statute.
It is true that the Interior Department did not explicitly rely on the foregoing rationale in its preamble to the OHA rules. Ordinarily, when an agency reaches the proper conclusion for the wrong reasons, the courts remand the rule to the agency for further consideration. See SEC v. Chenery Corp.,
II.
We therefore vacate the district court’s judgment with regard to the following challenges: (1) the due process challenge to “the rules” as a whole; (2) the challenge to the rules’ lack of provisional permits; (3) the challenge to 30 C.F.R. § 773.5 (1999) as vague as well as the lack of rebuttal standards; (4) the claim that the rules — specifically, 30 C.F.R. §§ 773.23, 773.24 & 773.25 (1999) — violated the Act’s “state primacy” requirement. With regard to each of these challenges, we order that the district court dismiss them as moot. We affirm the district court’s ruling that 30 C.F.R. § 778.14 (1999) does not impermissibly require extra information, and that the Office of Hearing and Appeals rules, 43 C.F.R. §§ 4.1374, 4.1384 (1999), do not improperly shift the burden of proof.
So ordered.
