UNION OF CONCERNED SCIENTISTS, Petitioner,
v.
UNITED STATES NUCLEAR REGULATORY COMMISSION and United
States of America, Respondents,
Nuclear Utility Backfitting and Reform Group, Intervenor.
No. 88-1561.
United States Court of Appeals,
District of Columbia Circuit.
Argued March 31, 1989.
Decided July 25, 1989.
Diane Curran, with whom Andrea C. Ferster, Anne Spielberg, and Dean Tousley, Washington, D.C., were on the brief, for petitioner.
Steven F. Crockett, Attorney, U.S. Nuclear Regulatory Com'n, with whom Peter R. Steenland, Jr., Chief, Appellate Section, Jacques B. Gelin and Sarah P. Robinson, Attys., U.S. Dept. of Justice, Washington, D.C., and William C. Parler, Gen. Counsel, Rockville, Md., William H. Briggs, Jr., Sol., E. Leo Slaggie, Deputy Sol., and Rochelle M. Gunner, Atty., U.S. Nuclear Regulatory Com'n, Washington, D.C., were on the brief, for respondents.
Nicholas S. Reynolds, with whom Daniel F. Stenger and James W. Moeller, Washington, D.C., were on the brief, for intervenor. Barton Z. Cowan, Pittsburgh, Pa., and Robert W. Bishop, for amicus curiae Nuclear Management and Resources Council, Inc., were also on the brief for intervenor.
Before MIKVA, SILBERMAN, and D.H. GINSBURG, Circuit Judges.
Opinion for the Court filed by Circuit Judge MIKVA.
MIKVA, Circuit Judge:
The Union of Concerned Scientists ("UCS") petitions for review of the U.S. Nuclear Regulatory Commission's ("Commission") "backfit rule," 10 C.F.R. Sec. 50.109, 53 Fed.Reg. 20,603 (1988), revised in response to this court's remand in Union of Concerned Scientists v. Nuclear Regulatory Commission,
In UCS I, this court vacated the Commission's 1985 backfit rule on the ground that it permitted costs to be considered in the establishment of the "adequate-protection" standard, in violation of section 182(a) of the Atomic Energy Act ("Act"), 42 U.S.C. Sec. 2232(a). On remand and after notice and comment, the Commission promulgated a revised rule that made explicit its policy that costs were not to be considered either when backfitting is necessary to ensure adequate protection of public health and safety or when the Commission defines or redefines the adequate-protection standard. See 10 C.F.R. Sec. 50.109(a)(4).
We hold that the Commission's revised backfit rule survives petitioner's facial challenge. In doing so, we of course do not foreclose petitioner from future challenges to the Commission's application of the rule.
I.
"Backfitting" refers to the imposition of new or modified safety requirements on nuclear power plants previously licensed for construction or operation. See UCS I,
UCS petitioned for review of the 1985 rule, and in UCS I this court held that "the Act precludes the NRC from taking costs into account in establishing or enforcing the level of adequate protection, but allows the NRC to consider costs in devising or administering requirements that offer protection beyond that level." UCS I,
We nevertheless vacated the 1985 rule in its entirety, even though we found that "[w]e conceivably could read the terms of this rule to comply with the statutory scheme,"
On June 6, 1988, after notice and comment, the Commission issued a revised rule in response to this court's remand in UCS I. The 1988 rule expressly stated the Commission's policy that "[i]n defining, redefining, or enforcing [the Act's] statutory standard of adequate protection, the Commission will not consider economic costs." 53 Fed.Reg. 20,604 (1988). In addition, the Commission reasserted its authority to "impose additional safety requirements not needed for adequate protection and to consider economic costs in doing so." Id.
The structure of the 1988 rule is substantially the same as that of the 1985 rule. The heart of the 1988 rule is paragraph (a)(3), which imposes a cost-benefit test for backfits generally:
Except as provided in paragraph (a)(4) of this section, the Commission shall require the backfitting of a facility only when it determines, based on the analysis described in paragraph (c) of this section, that there is a substantial increase in the overall protection of the public health and safety or the common defense and security to be derived from the backfit and that the direct and indirect costs of implementation for that facility are justified in view of the increased protection.
10 C.F.R. Sec. 50.109(a)(3) (emphasis added).
As with the 1985 rule, the 1988 rule contains three exceptions to the use of the cost-benefit test of paragraph (a)(3). The major difference between the two rules is that the revised rule makes clear that the cost-benefit test is not to be used to establish the level of protection defined as adequate. The first exception is where "a modification is necessary to bring a facility into compliance with a license or the rules or orders of the Commission * * *." Sec. 50.109(a)(4)(i). The second exception is where "regulatory action is necessary to ensure that the facility provides adequate protection to the health and safety of the public * * *." Sec. 50.109(a)(4)(ii). The third exception is where "regulatory action involves defining or redefining what level of protection to the public health or safety * * * should be regarded as adequate." Sec. 50.109(a)(4)(iii). For each of the three exceptions, the cost-benefit test of paragraph (a)(3) does not apply.
Another difference is that the 1988 rule explicitly states that "the Commission shall always require the backfitting of a facility if it determines that such regulatory action is necessary to ensure that the facility provides adequate protection to the health and safety of the public and is in accord with the common defense and security." Sec. 50.109(a)(5) (emphasis added).
Finally, the 1988 rule, like its 1985 predecessor, provides a nonexhaustive list of factors to consider when conducting a cost-benefit analysis under paragraph (a)(3), including the "[p]otential change in the risk to the public from the accidental off-site release of radioactive material," the "[i]nstallation and continuing costs associated with the backfit, including the cost of facility downtime or the cost of construction delay," "[t]he estimated resource burden on the NRC associated with the proposed backfit and the availability of such resources," and "any other information relevant and material to the proposed backfit." Sec. 50.109(c).
II.
Petitioner mounts a facial challenge to the revised backfit rule and to the revised chapter of the Commission's manual that guides the Commission's technical staff in implementing the rule. Specifically, petitioner argues that (1) the revised backfit rule suffers from the same fatal flaws as the 1985 rule; (2) the cost-benefit analysis permitted by the revised rule has a "built-in bias" by allowing cost considerations to dominate; (3) the revised rule violates public participation rights; and (4) the Commission's method for performing cost-benefit analysis is arbitrary and capricious. We discuss each of these arguments in turn.
A. Compliance with the Act and with UCS I
Petitioner's primary challenge to the Commission's revised backfit rule is that, notwithstanding the added provisions, the rule fails to constrain the Commission from injecting cost considerations in determining whether a backfit is necessary to provide adequate protection to the public. Petitioner urges that the revised rule, to pass muster under the Act and UCS I, must include a set of "objective criteria" to distinguish safety improvements that are necessary for adequate protection of the public (cost-independent standards) and those that go beyond adequate protection (cost-dependent standards).
As a threshold matter, the parties dispute the proper standard for reviewing the Commission's interpretation of the Act. We need not decide this question, however, because this case does not involve a question of statutory construction; any distinction would accordingly not make a difference in this case. This court in UCS I found that, regardless of the standard of review, the Act's meaning was clear. See
On the merits of petitioner's facial challenge, we find the Commission's revised backfit rule in full accord with the Act and with UCS I. In UCS I, this court construed the Act to establish a two-tiered approach to backfitting: the Commission may consider costs when imposing backfits that go beyond the provision of adequate protection, but may not consider costs when backfits are required to ensure adequate protection or in determining what constitutes adequate protection. See
Petitioner takes comfort in our remark in UCS I that the 1985 rule "is an exemplar of ambiguity and vagueness" and "does not speak in terms that constrain the Commission from operating outside the bounds of the statutory scheme,"
This argument must fail, however, not only because it is based on the false premise that the 1988 rule is legally identical to the 1985 rule, but also because it misreads our opinion in UCS I. The remainder of the paragraph containing the remark quoted above directs the Commission only to "adopt a rule that tracks the requirements of the Atomic Energy Act,"
Petitioner's claim that the revised rule must contain a set of objective standards for determining what constitutes "adequate protection" finds no support in this court's opinion in UCS I. Indeed, the court narrowly instructed the Commission merely to "be more faithful to the statutory provisions it has the responsibility to apply" and to "track[ ] the requirements of the Atomic Energy Act."
In addition, we note that the regulatory requirements for reactor licensing, see 10 C.F.R. Part 50, implicitly constitute a significant body of "background" standards for the imposition of backfit requirements, since backfits necessary to ensure license compliance are specifically exempted from the cost-benefit test of the rule, see 10 C.F.R. Sec. 50.109(a)(4)(i). As the Commission explained when issuing the rule:
The threshold decision in considering a proposed backfit, and very often the only decision that need be made, is not whether adequate protection is at stake but rather whether the facility is in compliance with the Commission's requirements and the licensee's written commitments.
* * * [C]ompliance with such regulations and guidance may be presumed to assure adequate protection as a minimum.
53 Fed.Reg. at 20,605-06. The "compliance" exception, see 10 C.F.R. Sec. 50.109(a)(4)(i), will therefore typically provide a rational and circumscribed basis for precluding the Commission from considering costs in backfit decisions. Where the presumption of adequate protection due to regulatory compliance is "overcome by, for instance, new information which indicates that improvements are needed to ensure adequate protection," 53 Fed.Reg. at 20,606, the other exceptions to the cost-benefit requirement, see 10 C.F.R. Sec. 50.109(a)(4)(ii), (iii), mandate a cost-independent assessment of the safety significance of the proposed backfit before the Commission introduces, if it does at all, cost considerations into the decisionmaking process.
We also agree with the Commission that the "adequate protection" standard may be given content through case-by-case applications of its technical judgment rather than by a mechanical verbal formula or set of objective standards, as urged by petitioner. See 53 Fed.Reg. at 20,605-06. Due to changes in technology and variations in circumstances, "[t]here does not exist, and cannot exist, at least not yet, a generally applicable definition of 'adequate protection' which would guard against every possible misuse of the phrase. * * * Congress did not define 'adequate protection,' nor did it command the Commission to define it." 53 Fed.Reg. at 20,606. Indeed, petitioner concedes that "[t]he concept of what constitutes adequate protection is an evolving standard that must keep pace with developing information and with improvements in nuclear power technology over time." Petitioner's Reply Brief at 3 (emphasis added). We elect not to second-guess the Commission's discretion in "mak[ing] sound judgments about what 'adequate protection' requires, by relying on expert engineering and scientific judgment, acting in light of all relevant and material information." 53 Fed.Reg. at 20,606. As the Supreme Court has long recognized:
[P]roblems may arise in a case which the administrative agency could not reasonably foresee, problems which must be solved despite the absence of a relevant general rule. * * * Or the problem may be so specialized and varying in nature as to be impossible to capture within the boundaries of a general rule. In those situations, the agency must retain power to deal with the problems on a case-by-case basis if the administrative process is to be effective. * * * [T]he choice made between proceeding by general rule or by individual, ad hoc litigation is one that lies primarily in the informed discretion of the administrative agency.
SEC v. Chenery Corp.,
In short, in seeking a set of objective criteria for determining what level of protection is adequate, petitioner is asking the Commission to do something that neither the Act nor this court's prior decision in UCS I requires it to do. The Commission's reasoning supports the revised rule, and, given the deference accorded agency rulemaking under the APA and the presumption of administrative regularity, we conclude that the rule, on its face, complies with the Act and with UCS I.
Finally, in a last-ditch attempt to assail the Commission's revised rule, petitioner points to two recent applications of the rule that, we are told, demonstrate that the rule remains vulnerable to arbitrary applications and impermissible interpretations. Even assuming arguendo that we were to find that these instances were properly before this court and constitute specific misapplications of the rule, however, we find they suggest, at most, only that the rule might in the future be misapplied.. Such arguments are of course inappropriate here, where the rule is being challenged on its face. See, e.g., Massachusetts v. NRC,
B. Bias in the Commission's Cost-Benefit Analysis
Petitioner also argues that the Commission's rule is facially invalid because, in cases where cost-benefit analysis is permitted, the rule maximizes cost considerations at the expense of safety and is therefore impermissibly biased against backfitting. Because this contention rests on an erroneous reading of the rule, we hold that it is without merit.
Petitioner maintains, and there is no dispute, that Congress intended public safety to be a paramount concern of the Commission, see UCS I,
Petitioner's argument is therefore grounded on a flawed reading of the relevant regulation. Not every conceivable cost or benefit is intended to be identified by the rule, and the rule explicitly states that the factors listed in section 50.109(c) are neither mandatory nor exhaustive. Accordingly, we reject petitioner's argument that the revised rule is, as a matter of law, unlawfully biased.
C. Public Participation Rights
Petitioner's third challenge to the rule is that it impermissibly deprives the public of its right to participate in backfit decisions. Specifically, UCS argues that the rule and the internal procedures accompanying the rule in Chapter 0514 violate: (1) section 189(a) of the Act, 42 U.S.C. Sec. 2239(a), which grants public hearing rights during licensing proceedings; (2) the Administrative Procedure Act's requirement of reasoned agency decisionmaking based on public comment, 5 U.S.C. Secs. 553, 554; and (3) the due process clause of the Fifth Amendment.
We note at the outset that because the rule itself does not mention public participation rights, petitioner's claim necessarily rests on our review of the Commission's internal guidelines contained in Chapter 0514. In UCS I, we vacated Chapter 0514 without reaching the merits of petitioner's objections, because the procedures in the chapter were "inextricably intertwined" with the provisions of the final rule.
The intervenor raises a jurisdictional objection to petitioner's challenge, arguing that Chapter 0514 establishes internal agency staff procedures, not substantive regulations, and is thus not a reviewable final rule or order. See Schweiker v. Hansen,
Although we vacated the portion of the Commission's manual that related to the backfit rule in UCS I, we did so on the ground that the substance of the manual, like the rule itself, was inconsistent with the Act. See,
At the outset, we note that this court has jurisdiction to review "all final orders" of the Commission made reviewable by section 189(b) of the Act, see 28 U.S.C. Sec. 2342(4). Section 189(b) of the Act provides that "[a]ny final order entered in any proceeding of the kind specified in [section 189(a) ] shall be subject to judicial review * * *." 42 U.S.C. Sec. 2239(b). Section 189(a), in turn, provides in relevant part:
In any proceeding under this chapter, for the granting, suspending, revoking, or amending of any license or construction permit, * * * and in any proceeding for the issuance or modification of rules and regulations dealing with the activities of licensees, * * * the Commission shall grant a hearing upon the request of any person whose interest may be affected by the proceeding, * * *.
42 U.S.C. Sec. 2239(a)(1) (Supp.1988).
Petitioner contends that the backfit procedures specified in Chapter 0514 constitute section 189(a) "proceedings." We hold that this claim must fail, however, because backfit hearings do not fall within any of the specified enumerated categories of section 189(a). See San Luis Obispo Mothers for Peace v. NRC,
In particular, we find that Chapter 0514 provides merely internal staff guidelines regarding the revised backfit rule; it establishes no substantive rights or obligations and is not legally enforceable. Cf. UCS v. NRC,
Finally, we note in passing that our finding of unreviewability does not leave petitioner's concern for public participation entirely unanswered. Petitioner acknowledges that Chapter 0514 does not affect its right to participate in a proceeding to impose a backfit by means of a proposed rulemaking or license amendment once the process reached that stage. Additionally, under 10 C.F.R. Sec. 2.206 (request for enforcement action) and Sec. 2.802 (petition for rulemaking), petitioner and other affected persons may at any time petition the Commission to impose a backfit. See Citizens Association for Sound Energy v. NRC,
Because we find Chapter 0514 unreviewable, we need not address the questions whether the procedures established therein deprive the public of its hearing rights under Sec. 189(a) of the Act, or whether such a deprivation would violate the due process clause of the Fifth Amendment, as petitioner claims.
D. Arbitrary and Capricious
Petitioner's final argument is that the method used to perform a cost-benefit analysis is arbitrary and capricious, because (1) the Commission excludes certain potential benefits of proposed backfits; (2) the Commission fails to explain its reliance on probabilistic risk assessment ("PRA"); and (3) in performing a cost-benefit analysis,, the Commission assigns arbitrary monetary values to benefits. Each of these challenges is without merit.
Petitioner's first contention is premised on the notion that the rule unequivocally excludes many of the benefits associated with a proposed backfit. As discussed above, however, the rule on its face does not exclude such benefits. If in some future case the Commission omits an important element in its cost-benefit analysis, petitioner remains free to challenge that decision as arbitrary and capricious. See Massachusetts v. NRC,
Petitioner's second contention is also based on a false premise. Petitioner argues that the rule permits the "unqualified reliance" on an allegedly faulty methodology known as PRA. PRA involves the use of estimated probabilities of certain events and their consequences to quantify the risks of a given activity. But because the rule does not mention PRA, much less mandate "unqualified reliance" on the technique, petitioner's categorical attack on its use is premature. The rule's reference to the "[p]otential change in the risk to the public from the accidental off-site release of radioactive material," 10 C.F.R. Sec. 50.109(c)(3), may be read to include PRA, but the broad language of that provision can also be read to encompass an overall assessment of the "benefit" to society of imposing a backfit. Moreover, the Commission has indicated that "given the state of the art in quantitative safety assessment," it does not intend to make backfitting decisions wholly on the basis of such techniques. 53 Fed.Reg. at 20,606. The most petitioner can therefore argue is that the rule does not prohibit the use of PRA and that the Commission could conceivably misapply PRA in some future case, but such an argument is of course insufficient to sustain petitioner's facial challenge. See Massachusetts v. NRC,
Petitioner's final contention is that the revised rule assigns arbitrary dollar amounts to various intangible benefits of proposed backfits. Although this argument does not appear to have been raised below, even if we were to consider it, petitioner's contention reduces to a claim that the use of cost-benefit analysis is itself arbitrary and capricious, for the touchstone of cost-benefit analysis is the assignment of "arbitrary" monetary values to intangible benefits (such as the worth of a human life). But cost-benefit analysis, when used properly, is an accepted regulatory tool; indeed, this court in UCS I acknowledged that, where safety requirements are not necessary for adequate protection, "the NRC may take economic costs into account, even to the extent of conducting strict cost-benefit analysis,"
III.
UCS's primary argument is that the Commission's revised backfit rule is unlawful because it does not comply with the two-tiered regulatory structure of the Act established in UCS I. We find, however, that the Commission has specifically responded to the weaknesses of the 1985 rule by clarifying the ambiguities identified by this court. We accordingly conclude that the rule is facially valid. Petitioner's argument that there remains the possibility of future misapplication of the rule is insufficient to require facial rejection of the rule. Because we also reject petitioner's other arguments, the petition for review is
Denied.
