UTILITY AIR REGULATORY GROUP v. ENVIRONMENTAL PROTECTION AGENCY ET AL.
No. 12-1146
SUPREME COURT OF THE UNITED STATES
June 23, 2014
573 U.S. ___ (2014)
OCTOBER TERM, 2013
Syllabus
NOTE: Where it is feasible, a syllabus (headnote) will be released, as is being done in connection with this case, at the time the opinion is issued. The syllabus constitutes no part of the opinion of the Court but has been prepared by the Reporter of Decisions for the convenience of the reader. See United States v. Detroit Timber & Lumber Co., 200 U. S. 321, 337.
SUPREME COURT OF THE UNITED STATES
Syllabus
UTILITY AIR REGULATORY GROUP v. ENVIRONMENTAL PROTECTION AGENCY ET AL.
CERTIORARI TO THE UNITED STATES COURT OF APPEALS FOR THE DISTRICT OF COLUMBIA CIRCUIT
No. 12-1146. Argued February 24, 2014-Decided June 23, 2014 *
The Clean Air Act imposes permitting requirements on stationary sources, such as factories and powerplants. The Act‘s “Prevention of Significant Deterioration” (PSD) provisions make it unlawful to construct or modify a “major emitting facility” in “any area to which [the PSD program] applies” without a permit.
In response to Massachusetts v. EPA, 549 U. S. 497, EPA promulgated greenhouse-gas emission standards for new motor vehicles, and
*Together with No. 12-1248, American Chemistry Council et al. v. Environmental Protection Agency et al., No. 12-1254, Energy-Intensive Manufacturers Working Group on Greenhouse Gas Regulation et al. v. Environmental Protection Agency et al., No. 12-1268, Southeastern Legal Foundation, Inc., et al. v. Environmental Protection Agency et al., No. 12-1269, Texas et al. v. Environmental Protection Agency et al., and No. 12-1272, Chamber of Commerce of United States States et al. v. Environmental Protection Agency et al., also on certiorari to the same court.
Numerous parties, including several States, challenged EPA‘s actions in the D. C. Circuit, which dismissed some of the petitions for lack of jurisdiction and denied the remainder.
Held: The judgment is affirmed in part and reversed in part.
684 F. 3d 102, affirmed in part and reversed in part.
JUSTICE SCALIA delivered the opinion of the Court with respect to Parts I and II, concluding:
1. The Act neither compels nor permits EPA to adopt an interpretation of the Act requiring a source to obtain a PSD or Title V permit on the sole basis of its potential greenhouse-gas emissions. Pp. 10-24.
(a) The Act does not compel EPA‘s interpretation. Massachusetts held that the Act-wide definition of “air pollutant” includes greenhouse gases, 549 U. S., at 529, but where the term “air pollutant” appears in the Act‘s operative provisions, including the PSD and Title V permitting provisions, EPA has routinely given it a narrower, context-appropriate meaning. Massachusetts did not invalidate those longstanding constructions. The Act-wide definition is not a command to regulate, but a description of the universe of substances EPA may consider regulating under the Act‘s operative provisions. Though Congress‘s profligate use of “air pollutant” is not conducive to clarity, the presumption of consistent usage “readily yields” to context, and a statutory term “may take on distinct characters from association with distinct statutory objects calling for different implementation strategies.” Environmental Defense v. Duke Energy Corp., 549 U. S. 561, 574. Pp. 10-16.
(b) Nor does the Act permit EPA‘s interpretation. Agencies empowered to resolve statutory ambiguities must operate “within the bounds of reasonable interpretation,” Arlington v. FCC, 569 U. S. ___. EPA has repeatedly acknowledged that applying the PSD and Title V permitting requirements to greenhouse gases would be inconsistent with the Act‘s structure and design. A review of the relevant statutory provisions leaves no doubt that the PSD program and Title V are designed to apply to, and cannot rationally be extended beyond, a relative handful of large sources capable of shouldering heavy sub-
(c) EPA lacked authority to “tailor” the Act‘s unambiguous numerical thresholds of 100 or 250 tons per year to accommodate its greenhouse-gas-inclusive interpretation of the permitting triggers. Agencies must always “give effect to the unambiguously expressed intent of Congress.” National Assn. of Home Builders v. Defenders of Wildlife, 551 U. S. 644, 665. The power to execute the laws does not include a power to revise clear statutory terms that turn out not to work in practice. Pp. 20-24.
2. EPA reasonably interpreted the Act to require sources that would need permits based on their emission of conventional pollutants to comply with BACT for greenhouse gases. Pp. 24-29.
(a) Concerns that BACT, which has traditionally been about end-of-stack controls, is fundamentally unsuited to greenhouse-gas regulation, which is more about energy use, are not unfounded. But an EPA guidance document states that BACT analysis should consider options other than energy efficiency, including “carbon capture and storage,” which EPA contends is reasonably comparable to more traditional, end-of-stack BACT technologies. Moreover, assuming that BACT may be used to force improvements in energy efficiency, important limitations on BACT may work to mitigate concerns about “unbounded” regulatory authority. Pp. 24-27.
(b) EPA‘s decision to require BACT for greenhouse gases emitted by sources otherwise subject to PSD review is, as a general matter, a permissible interpretation of the statute under Chevron U. S. A. Inc. v. Natural Resources Defense Council, Inc., 467 U. S. 837. The specific phrasing of the BACT provision-which requires BACT “for each pollutant subject to regulation under” the Act,
SCALIA, J., announced the judgment of the Court and delivered an opinion, Parts I and II of which were for the Court. ROBERTS, C. J., and KENNEDY, J., joined that opinion in full; THOMAS and ALITO, JJ., joined as to Parts I, II-A, and II-B-1; and GINSBURG, BREYER, SOTOMAYOR, and KAGAN, JJ., joined as to Part II-B-2. BREYER J., filed an opinion concurring in part and dissenting in part, in which GINSBURG, SOTOMAYOR, and KAGAN, JJ., joined. ALITO, J., filed an opinion concurring in part and dissenting in part, in which THOMAS, J., joined.
NOTICE: This opinion is subject to formal revision before publication in the preliminary print of the United States Reports. Readers are requested to notify the Reporter of Decisions, Supreme Court of the United States, Washington, D. C. 20543, of any typographical or other formal errors, in order that corrections may be made before the preliminary print goes to press.
SUPREME COURT OF THE UNITED STATES
Nos. 12-1146, 12-1248, 12-1254, 12-1268, 12-1269, and 12-1272
UTILITY AIR REGULATORY GROUP, PETITIONER
12-1146 v. ENVIRONMENTAL PROTECTION AGENCY, ET AL.;
AMERICAN CHEMISTRY COUNCIL, ET AL., PETITIONERS
12-1248 v. ENVIRONMENTAL PROTECTION AGENCY, ET AL.;
ENERGY-INTENSIVE MANUFACTURERS WORKING GROUP ON GREENHOUSE GAS REGULATION, ET AL., PETITIONERS
12-1254 v. ENVIRONMENTAL PROTECTION AGENCY, ET AL.;
SOUTHEASTERN LEGAL FOUNDATION, INC., ET AL., PETITIONERS
12-1268 v. ENVIRONMENTAL PROTECTION AGENCY, ET AL.;
TEXAS, ET AL., PETITIONERS
12-1269 v. ENVIRONMENTAL PROTECTION AGENCY, ET AL.; AND
12-1272 v. ENVIRONMENTAL PROTECTION AGENCY, ET AL.;
ON WRITS OF CERTIORARI TO THE UNITED STATES COURT OF APPEALS FOR THE DISTRICT OF COLUMBIA CIRCUIT
[June 23, 2014]
JUSTICE SCALIA announced the judgment of the Court and delivered the opinion of the Court with respect to Parts I and II.
Acting pursuant to the Clean Air Act, 69 Stat. 322, as amended,
I. Background
A. Stationary-Source Permitting
The Clean Air Act regulates pollution-generating emissions from both stationary sources, such as factories and powerplants, and moving sources, such as cars, trucks, and aircraft. This litigation concerns permitting obligations imposed on stationary sources under Titles I and V of the Act.
Title I charges EPA with formulating national ambient air quality standards (NAAQS) for air pollutants.
Stationary sources in areas designated attainment or unclassifiable are subject to the Act‘s provisions relating to “Prevention of Significant Deterioration” (PSD).
It is unlawful to construct or modify a “major emitting facility” in “any area to which [the PSD program] applies” without first obtaining a permit.
In addition to the PSD permitting requirements for construction and modification, Title V of the Act makes it unlawful to operate any “major source,” wherever located, without a comprehensive operating permit.
B. EPA‘s Greenhouse-Gas Regulations
In 2007, the Court held that Title II of the Act “authorize[d] EPA to regulate greenhouse gas emissions from new motor vehicles” if the Agency “form[ed] a ‘judgment’ that
EPA first asked the public, in a notice of proposed rulemaking, to comment on how the Agency should respond to Massachusetts. In doing so, it explained that regulating greenhouse-gas emissions from motor vehicles could have far-reaching consequences for stationary sources. Under EPA‘s view, once greenhouse gases became regulated under any part of the Act, the PSD and Title V permitting requirements would apply to all stationary sources with the potential to emit greenhouse gases in excess of the statutory thresholds: 100 tons per year under Title V, and 100 or 250 tons per year under the PSD program depending on the type of source.
Next, EPA issued its “final decision” regarding the prospect that motor-vehicle greenhouse-gas standards would trigger stationary-source permitting requirements.
the construction of schools, hospitals, and commercial and residential development“); id., at 44383 (Council of Economic Advisers and Office of Science and Technology Policy stating that “[s]mall manufacturing facilities, schools, and shopping centers” would be subject to “full major source permitting“); id., at 44385 (Council on Environmental Quality noting “the prospect of essentially automatic and immediate regulation over a vast range of community and business activity“); id., at 44391 (Small Business Administration finding it “difficult to overemphasize how potentially disruptive and burdensome such a new regulatory regime would be to small entities” such as “office buildings, retail establishments, hotels, . . . schools, prisons, and private hospitals“).
EPA then announced steps it was taking to “tailor” the PSD program and Title V to greenhouse gases.
The phase-in, EPA said, would consist of at least three steps. During Step 1, from January 2 through June 30, 2011, no source would become newly subject to the PSD program or Title V solely on the basis of its greenhouse-gas emissions; however, sources required to obtain permits anyway because of their emission of conventional pollutants (so-called “anyway” sources) would need to comply with BACT for greenhouse gases if they emitted those gases in significant amounts, defined as at least 75,000 tons per year CO2e. Ibid. During Step 2, from July 1, 2011, through June 30, 2012, sources with the potential to emit at least 100,000 tons per year CO2e of greenhouse gases would be subject to PSD and Title V permitting for their construction and operation and to PSD permitting
EPA codified Steps 1 and 2 at
C. Decision Below
Numerous parties, including several States, filed petitions for review in the D. C. Circuit under
We granted six petitions for certiorari but agreed to decide only one question: “‘Whether EPA permissibly determined that its regulation of greenhouse gas emissions from new motor vehicles triggered permitting requirements under the Clean Air Act for stationary sources that emit greenhouse gases.‘” 571 U. S. ___ (2013).
II. Analysis
This litigation presents two distinct challenges to EPA‘s stance on greenhouse-gas permitting for stationary sources. First, we must decide whether EPA permissibly determined that a source may be subject to the PSD and Title V permitting requirements on the sole basis of the source‘s potential to emit greenhouse gases. Second, we must decide whether EPA permissibly determined that a source already subject to the PSD program because of its emission of conventional pollutants (an “anyway” source) may be required to limit its greenhouse-gas emissions by employing the “best available control technology” for greenhouse gases. The Solicitor General joins issue on both points but evidently regards the second as more important; he informs us that “anyway” sources account
We review EPA‘s interpretations of the Clean Air Act using the standard set forth in Chevron U. S. A. Inc. v. Natural Resources Defense Council, Inc., 467 U. S. 837, 842-843 (1984). Under Chevron, we presume that when an agency-administered statute is ambiguous with respect to what it prescribes, Congress has empowered the agency to resolve the ambiguity. The question for a reviewing court is whether in doing so the agency has acted reasonably and thus has “stayed within the bounds of its statutory authority.” Arlington v. FCC, 569 U. S. ___, ___ (2013) (slip op., at 5) (emphasis deleted).
A. The PSD and Title V Triggers
We first decide whether EPA permissibly interpreted the statute to provide that a source may be required to obtain a PSD or Title V permit on the sole basis of its potential greenhouse-gas emissions.
1
EPA thought its conclusion that a source‘s greenhouse-gas emissions may necessitate a PSD or Title V permit followed from the Act‘s unambiguous language. The Court of Appeals agreed and held that the statute “compelled” EPA‘s interpretation. 684 F. 3d, at 134. We disagree. The statute compelled EPA‘s greenhouse-gas-inclusive interpretation with respect to neither the PSD program nor Title V.4
The Act-wide definition says that an air pollutant is “any air pollution agent or combination of such agents, including any physical, chemical, biological, [or] radioactive . . . substance or matter which is emitted into or otherwise enters the ambient air.”
That is certainly true of the provisions that require PSD and Title V permitting for major emitters of “any air pollutant.” Since 1978, EPA‘s regulations have interpreted “air pollutant” in the PSD permitting trigger as limited to regulated air pollutants,
ments petitioners have made before this Court apply to Title V as well as the PSD program. See Brief for Federal Respondents 56. We agree, and we are satisfied that those arguments were also made below. See, e.g., Brief for State Petitioners et al. in No. 10-1073 etc. (CADC), pp. 59-73; Brief for Non-State Petitioners et al. in No. 10-1073 etc. (CADC), pp. 46-47.
Nor are those the only places in the Act where EPA has inferred from statutory context that a generic reference to air pollutants does not encompass every substance falling within the Act-wide definition. Other examples abound:
- The Act authorizes EPA to enforce new source performance standards (NSPS) against a pre-existing source if, after promulgation of the standards, the source undergoes a physical or operational change that increases its emission of “any air pollutant.”
§7411(a)(2) , (4), (b)(1)(B). EPA interprets that provision as limited to air pollutants for which EPA has promulgated new source performance standards.36 Fed. Reg. 24877 (1971) , codified, as amended,40 CFR §60.2 ;40 Fed. Reg. 58419 (1975) , codified, as amended,40 CFR §60.14(a) . - The Act requires a permit for the construction or operation in a nonattainment area of a source with the potential to emit 100 tons per year of “any air
pollutant.” §§7502(c)(5) ,7602(j) . EPA interprets that provision as limited to pollutants for which the area is designated nonattainment.45 Fed. Reg. 52745 (1980) , promulgating40 CFR §51.18(j)(2) , as amended,§51.165(a)(2) .- The Act directs EPA to require “enhanced monitoring and submission of compliance certifications” for any source with the potential to emit 100 tons per year of “any air pollutant.”
§§7414(a)(3) ,7602(j) . EPA interprets that provision as limited to regulated pollutants.62 Fed. Reg. 54941 (1997) , codified at40 CFR §§64.1 ,64.2 . - The Act requires certain sources of air pollutants that interfere with visibility to undergo retrofitting if they have the potential to emit 250 tons per year of “any pollutant.”
§7491(b)(2)(A) , (g)(7). EPA interprets that provision as limited to visibility-impairing air pollutants.70 Fed. Reg. 39160 (2005) , codified at40 CFR pt. 51 , App. Y, §II.A.3.
Although these limitations are nowhere to be found in the Act-wide definition, in each instance EPA has concluded-as it has in the PSD and Title V context-that the statute is not using “air pollutant” in Massachusetts’ broad sense to mean any airborne substance whatsoever.
Massachusetts did not invalidate all these longstanding constructions. That case did not hold that EPA must always regulate greenhouse gases as an “air pollutant” everywhere that term appears in the statute, but only that EPA must “ground its reasons for action or inaction in the statute,” 549 U. S., at 535 (emphasis added), rather than on “reasoning divorced from the statutory text,” id., at 532. EPA‘s inaction with regard to Title II was not sufficiently grounded in the statute, the Court said, in part
Massachusetts does not strip EPA of authority to exclude greenhouse gases from the class of regulable air pollutants under other parts of the Act where their inclusion would be inconsistent with the statutory scheme. The Act-wide definition to which the Court gave a “sweeping” and “capacious” interpretation, id., at 528, 532, is not a command to regulate, but a description of the universe of substances EPA may consider regulating under the Act‘s operative provisions. Massachusetts does not foreclose the Agency‘s use of statutory context to infer that certain of the Act‘s provisions use “air pollutant” to denote not every conceivable airborne substance, but only those that may sensibly be encompassed within the particular regulatory program. As certain amici felicitously put it, while Massachusetts “rejected EPA‘s categorical contention that greenhouse gases could not be ‘air pollutants’ for any purposes of the Act,” it did not “embrace EPA‘s current, equally categorical position that greenhouse gases must be air pollutants for all purposes” regardless of the statutory context. Brief for Administrative Law Professors et al. as Amici Curiae 17.5
We need not, and do not, pass on the validity of all the limiting constructions EPA has given the term “air pollutant” throughout the Act. We merely observe that taken together, they belie EPA‘s rigid insistence that when interpreting the PSD and Title V permitting requirements it is bound by the Act-wide definition‘s inclusion of greenhouse gases, no matter how incompatible that inclusion is with those programs’ regulatory structure.
In sum, there is no insuperable textual barrier to EPA‘s interpreting “any air pollutant” in the permitting triggers of PSD and Title V to encompass only pollutants emitted in quantities that enable them to be sensibly regulated at the statutory thresholds, and to exclude those atypical
not at issue here and one that no party in American Electric Power argued was ill suited to accommodating greenhouse gases.
2
Having determined that EPA was mistaken in thinking the Act compelled a greenhouse-gas-inclusive interpretation of the PSD and Title V triggers, we next consider the Agency‘s alternative position that its interpretation was justified as an exercise of its “discretion” to adopt “a reasonable construction of the statute.” Tailoring Rule 31517. We conclude that EPA‘s interpretation is not permissible.
Even under Chevron‘s deferential framework, agencies must operate “within the bounds of reasonable interpretation.” Arlington, 569 U. S., at ___ (slip op., at 5). And reasonable statutory interpretation must account for both “the specific context in which . . . language is used” and “the broader context of the statute as a whole.” Robinson v. Shell Oil Co., 519 U. S. 337, 341 (1997). A statutory
EPA itself has repeatedly acknowledged that applying the PSD and Title V permitting requirements to greenhouse gases would be inconsistent with-in fact, would overthrow the Act‘s structure and design. In the Tailoring Rule, EPA described the calamitous consequences of interpreting the Act in that way. Under the PSD program, annual permit applications would jump from about 800 to nearly 82,000; annual administrative costs would swell from $12 million to over $1.5 billion; and decade-long delays in issuing permits would become common, causing construction projects to grind to a halt nationwide. Tailoring Rule 31557. The picture under Title V was equally bleak: The number of sources required to have permits would jump from fewer than 15,000 to about 6.1 million; annual administrative costs would balloon from $62 million to $21 billion; and collectively the newly covered sources would face permitting costs of $147 billion. Id., at 31562-31563. Moreover, “the great majority of additional sources brought into the PSD and title V programs would be small sources that Congress did not expect would need to undergo permitting.” Id., at 31533. EPA stated that these results would be so “contrary to congressional intent,” and would so “severely undermine what Congress sought to accomplish,” that they necessitated as much as a 1,000-fold increase in the permitting thresholds set forth in the statute. Id., at 31554, 31562.
Start with the PSD program, which imposes numerous and costly requirements on those sources that are required to apply for permits. Among other things, the applicant must make available a detailed scientific analysis of the source‘s potential pollution-related impacts, demonstrate that the source will not contribute to the violation of any applicable pollution standard, and identify and use the “best available control technology” for each regulated pollutant it emits.
Title V contains no comparable substantive requirements but imposes elaborate procedural mandates. It requires the applicant to submit, within a year of becoming subject to Title V, a permit application and a “compliance plan” describing how it will comply with “all applicable requirements” under the Act; to certify its compliance annually; and to submit to “inspection, entry, monitoring,
The fact that EPA‘s greenhouse-gas-inclusive interpretation of the PSD and Title V triggers would place plainly excessive demands on limited governmental resources is alone a good reason for rejecting it; but that is not the only reason. EPA‘s interpretation is also unreasonable because it would bring about an enormous and transformative expansion in EPA‘s regulatory authority without clear congressional authorization. When an agency claims to discover in a long-extant statute an unheralded power to regulate “a significant portion of the American economy,” Brown & Williamson, 529 U. S., at 159, we typically greet its announcement with a measure of skepticism. We expect Congress to speak clearly if it wishes to assign to an agency decisions of vast “economic and political significance.” Id., at 160; see also MCI Telecommunications Corp. v. American Telephone & Telegraph Co., 512 U. S. 218, 231 (1994); Industrial Union Dept., AFL-CIO v. American Petroleum Institute, 448 U.S. 607, 645-646 (1980) (plurality opinion). The power to require permits for the construction and modification of tens of thousands,
3
EPA thought that despite the foregoing problems, it could make its interpretation reasonable by adjusting the levels at which a source‘s greenhouse-gas emissions would
We conclude that EPA‘s rewriting of the statutory thresholds was impermissible and therefore could not validate the Agency‘s interpretation of the triggering provisions. An agency has no power to “tailor” legislation to bureaucratic policy goals by rewriting unambiguous statutory terms. Agencies exercise discretion only in the interstices created by statutory silence or ambiguity; they must always “‘give effect to the unambiguously expressed intent of Congress.‘” National Assn. of Home Builders v. Defenders of Wildlife, 551 U. S. 644, 665 (2007) (quoting Chevron, 467 U. S., at 843). It is hard to imagine a statutory term less ambiguous than the precise numerical thresholds at which the Act requires PSD and Title V permitting. When EPA replaced those numbers with others of its own choosing, it went well beyond the “bounds of its statutory authority.” Arlington, 569 U. S., at ___ (slip op., at 5) (emphasis deleted).
The Solicitor General does not, and cannot, defend the Tailoring Rule as an exercise of EPA‘s enforcement discretion. The Tailoring Rule is not just an announcement of
For similar reasons, Morton v. Ruiz, 415 U. S. 199 (1974)—to which the Solicitor General points as the best case supporting the Tailoring Rule, see Tr. of Oral Arg. 71, 80-81—is irrelevant. In Ruiz, Congress had appropriated funds for the Bureau of Indian Affairs to spend on providing assistance to “Indians throughout the United States” and had not “impose[d] any geographical limitation on the availability of general assistance benefits.” Id., at 206-207, and n. 7. Although we held the Bureau could not deny benefits to off-reservation Indians because it had not published its eligibility criteria, we stated in dictum that the Bureau could, if it followed proper administrative procedures, “create reasonable classifications and eligibility requirements in order to allocate the limited funds available.” Id., at 230–231. That dictum stands only for
Were we to recognize the authority claimed by EPA in the Tailoring Rule, we would deal a severe blow to the Constitution‘s separation of powers. Under our system of government, Congress makes laws and the President, acting at times through agencies like EPA, “faithfully execute[s]” them.
In the Tailoring Rule, EPA asserts newfound authority to regulate millions of small sources—including retail stores, offices, apartment buildings, shopping centers, schools, and churches—and to decide, on an ongoing basis and without regard for the thresholds prescribed by Congress, how many of those sources to regulate. We are not willing to stand on the dock and wave goodbye as EPA embarks on this multiyear voyage of discovery. We reaffirm the core administrative-law principle that an agency may not rewrite clear statutory terms to suit its own sense of how the statute should operate. EPA therefore lacked authority to “tailor” the Act‘s unambiguous numerical
B. BACT for “Anyway” Sources
For the reasons we have given, EPA overstepped its statutory authority when it decided that a source could
1
To obtain a PSD permit, a source must be “subject to the best available control technology” for “each pollutant subject to regulation under [the Act]” that it emits.
Some petitioners urge us to hold that EPA may never require BACT for greenhouse gases—even when a source must undergo PSD review based on its emissions of conventional pollutants—because BACT is fundamentally unsuited to greenhouse-gas regulation. BACT, they say, has traditionally been about end-of-stack controls “such as catalytic converters or particle collectors“; but applying it to greenhouse gases will make it more about regulating energy use, which will enable regulators to control “every aspect of a facility‘s operation and design,” right down to the “light bulbs in the factory cafeteria.” Brief for Petitioner Energy-Intensive Manufacturers Working Group on Greenhouse Gas Regulation et al. in No. 12–1254, p. 7; see Joint Reply Brief for Petitioners in No. 12-1248 etc., pp.
EPA has published a guidance document that lends some credence to petitioners’ fears. It states that at least initially, compulsory improvements in energy efficiency will be the “foundation” of greenhouse-gas BACT, with more traditional end-of-stack controls either not used or “added as they become more available.” PSD and Title V Permitting Guidance for Greenhouse Gases 29 (Mar. 2011) (hereinafter Guidance); see Peloso & Dobbins, Greenhouse Gas PSD Permitting: The Year in Review, 42 Tex. Env. L. J. 233, 247 (2012) (“Because [other controls] tend to prove infeasible, energy efficiency measures dominate the [greenhouse-gas] BACT controls approved by the states and EPA“). But EPA‘s guidance also states that BACT analysis should consider options other than energy efficiency, such as “carbon capture and storage.” Guidance 29, 32, 35-36, 42-43. EPA argues that carbon capture is reasonably comparable to more traditional, end-of-stack BACT technologies, id., at 32, n. 86, and petitioners do not dispute that.
Moreover, assuming without deciding that BACT may be used to force some improvements in energy efficiency, there are important limitations on BACT that may work to mitigate petitioners’ concerns about “unbounded” regulatory authority. For one, BACT is based on “control technology” for the applicant‘s “proposed facility,”
2
The question before us is whether EPA‘s decision to require BACT for greenhouse gases emitted by sources otherwise subject to PSD review is, as a general matter, a permissible interpretation of the statute under Chevron. We conclude that it is.
The text of the BACT provision is far less open-ended than the text of the PSD and Title V permitting triggers. It states that BACT is required “for each pollutant subject to regulation under this chapter” (i.e., the entire Act),
Even if the text were not clear, applying BACT to greenhouse gases is not so disastrously unworkable, and need not result in such a dramatic expansion of agency authority, as to convince us that EPA‘s interpretation is unreasonable. We are not talking about extending EPA jurisdiction over millions of previously unregulated entities, but about moderately increasing the demands EPA (or a state permitting authority) can make of entities already subject to its regulation. And it is not yet clear that EPA‘s demands will be of a significantly different character from those traditionally associated with PSD review. In short, the record before us does not establish that the BACT provision as written is incapable of being sensibly applied to greenhouse gases.
We acknowledge the potential for greenhouse-gas BACT to lead to an unreasonable and unanticipated degree of regulation, and our decision should not be taken as an endorsement of all aspects of EPA‘s current approach, nor as a free rein for any future regulatory application of BACT in this distinct context. Our narrow holding is that nothing in the statute categorically prohibits EPA from interpreting the BACT provision to apply to greenhouse gases emitted by “anyway” sources.
However, EPA may require an “anyway” source to comply with greenhouse-gas BACT only if the source emits more than a de minimis amount of greenhouse gases. As noted above, the Tailoring Rule applies BACT only if a source emits greenhouse gases in excess of 75,000 tons per year CO2e, but the Rule makes clear that EPA did not arrive at that number by identifying the de minimis level. See nn. 1, 3, supra. EPA may establish an appropriate de
*
*
*
To sum up: We hold that EPA exceeded its statutory authority when it interpreted the Clean Air Act to require PSD and Title V permitting for stationary sources based on their greenhouse-gas emissions. Specifically, the Agency may not treat greenhouse gases as a pollutant for purposes of defining a “major emitting facility” (or a “modification” thereof) in the PSD context or a “major source” in the Title V context. To the extent its regulations purport to do so, they are invalid. EPA may, however, continue to treat greenhouse gases as a “pollutant subject to regulation under this chapter” for purposes of requiring BACT for “anyway” sources. The judgment of the Court of Appeals is affirmed in part and reversed in part.
It is so ordered.
Opinion of BREYER, J.
SUPREME COURT OF THE UNITED STATES
UTILITY AIR REGULATORY GROUP, PETITIONER 12-1146 v. ENVIRONMENTAL PROTECTION AGENCY, ET AL.; AMERICAN CHEMISTRY COUNCIL, ET AL., PETITIONERS 12-1248 v. ENVIRONMENTAL PROTECTION AGENCY, ET AL.; ENERGY-INTENSIVE MANUFACTURERS WORKING GROUP ON GREENHOUSE GAS REGULATION, ET AL., PETITIONERS 12-1254 v. ENVIRONMENTAL PROTECTION AGENCY, ET AL.; SOUTHEASTERN LEGAL FOUNDATION, INC., ET AL., PETITIONERS 12-1268 v. ENVIRONMENTAL PROTECTION AGENCY, ET AL.; TEXAS, ET AL., PETITIONERS 12-1269 v. ENVIRONMENTAL PROTECTION AGENCY, ET AL.; AND CHAMBER OF COMMERCE OF THE UNITED STATES, ET AL., PETITIONERS 12-1272 v. ENVIRONMENTAL PROTECTION AGENCY, ET AL.;
[June 23, 2014]
JUSTICE BREYER, with whom JUSTICE GINSBURG, JUSTICE SOTOMAYOR, and JUSTICE KAGAN join, concurring in part and dissenting in part.
In Massachusetts v. EPA, 549 U. S. 497 (2007), we held that greenhouse gases fall within the Clean Air Act‘s general definition of the term “air pollutant,”
These cases take as a given our decision in Massachusetts that the Act‘s general definition of “air pollutant” includes greenhouse gases. One of the questions posed by these cases is whether those gases fall within the scope of the phrase “any air pollutant” as that phrase is used in the more specific provisions of the Act here at issue. The Court‘s answer is “no.” Ante, at 10–24. I disagree.
The Clean Air Act provisions at issue here are Title I‘s Prevention of Significant Deterioration (PSD) program,
These cases concern the definitions of “major emitting facility” and “major source,” each of which is defined to mean any stationary source that emits more than a threshold quantity of “any air pollutant.” See
As it is used in the PSD provisions,
“[t]he term ‘major emitting facility’ means any of [a list of specific categories of] stationary sources of air pollutants which emit, or have the potential to emit, one hundred tons per year or more of any air pollutant .... Such term also includes any other source with the potential to emit two hundred and fifty tons per year or more of any air pollutant.”
§7479(1) .
To simplify further, I will ignore the reference to specific types of source that emit at least 100 tons per year (tpy) of any air pollutant. In effect, we are dealing with a statute that says that the PSD program‘s regulatory requirements must be applied to
“any stationary source that has the potential to emit two hundred fifty tons per year or more of any air pollutant.”
The interpretive difficulty in these cases arises out of the definition‘s use of the phrase “two hundred fifty tons
The Tailoring Rule solves the practical problems that would have been caused by the 250 tpy threshold. But what are we to do about the statute‘s language? The statute specifies a definite number—250, not 100,000—and it says that facilities that are covered by that number must meet the program‘s requirements. The statute says nothing about agency discretion to change that number. What is to be done? How, given the statute‘s language, can the EPA exempt from regulation sources that emit more than 250 but less than 100,000 tpy of greenhouse gases (and that also do not emit other regulated pollutants at threshold levels)?
The Court answers by (1) pointing out that regulation at the 250 tpy threshold would produce absurd results, (2) refusing to read the statute as compelling such results, and (3) consequently interpreting the phrase “any air pollutant” as containing an implicit exception for greenhouse gases. (Emphasis added.) Put differently, the
I agree with the Court that the word “any,” when used in a statute, does not normally mean “any in the universe.” Cf. FCC v. NextWave Personal Communications Inc., 537 U. S. 293, 311 (2003) (BREYER, J., dissenting) (“‘Tell all customers that ...’ does not refer to every customer of every business in the world“). Rather, “[g]eneral terms as used on particular occasions often carry with them implied restrictions as to scope,” ibid., and so courts must interpret the word “any,” like all other words, in context. As Judge Learned Hand pointed out when interpreting another statute many years ago, “[w]e can best reach the meaning here, as always, by recourse to the underlying purpose, and, with that as a guide, by trying to project upon the specific occasion how we think persons, actuated by such a purpose, would have dealt with it, if it had been presented to them at the time.” Borella v. Borden Co., 145 F. 2d 63, 64 (CA2 1944). The pursuit of that underlying purpose may sometimes require us to “abandon” a “literal interpretation” of a word like “any.” Id., at 64-65.
I also agree with the Court‘s point that “a generic reference to air pollutants” in the Clean Air Act need not “encompass every substance falling within the Act-wide definition” that we construed in Massachusetts,
But I do not agree with the Court that the only way to
The implicit exception I propose reads almost word for word the same as the Court‘s, except that the location of the exception has shifted. To repeat, the Court reads the definition of “major emitting facility” as if it referred to “any source with the potential to emit two hundred fifty tons per year or more of any air pollutant except for those air pollutants, such as carbon dioxide, with respect to which regulation at that threshold would be impractical or absurd or would sweep in smaller sources that Congress did not mean to cover.” I would simply move the implicit exception, which I‘ve italicized, so that it applies to “source” rather than “air pollutant“: “any source with the potential to emit two hundred fifty tons per year or more of any air pollutant except for those sources, such as those emitting unmanageably small amounts of greenhouse gases, with respect to which regulation at that threshold would be impractical or absurd or would sweep in smaller sources that Congress did not mean to cover.”
From a legal, administrative, and functional perspective—that is, from a perspective that assumes that Congress was not merely trying to arrange words on paper but
Thus, the accompanying Senate Report explains that the PSD program “is reasonable and necessary for very large sources, such as new electrical generating plants or new steel mills. But the procedure would prove costly and potentially unreasonable if imposed on construction of storage facilities for a small gasoline jobber or on the construction of a new heating plant at a junior college.” S. Rep. No. 95–127, p. 96 (1977). And the principal sponsor of the Clean Air Act amendments at issue here, Senator Edmund Muskie, told the Senate that the program would not cover “houses, dairies, farms, highways, hospitals, schools, grocery stores, and other such sources.” 123 Cong. Rec. 18013, 18021 (1977).
The EPA, exercising the legal authority to which it is entitled under Chevron U. S. A. Inc. v. Natural Resources Defense Council, Inc., 467 U. S. 837 (1984), understood the threshold‘s purpose in the same light. It explained that Congress‘s objective was
“to limit the PSD program to large industrial sources because it was those sources that were the primary cause of the pollution problems in question and because those sources would have the resources to com-
The Court similarly acknowledges that “the PSD program and Title V are designed to apply to, and cannot rationally be extended beyond, a relative handful of large sources capable of shouldering heavy substantive and procedural burdens.” Ante, at 18; see also Alabama Power Co. v. Costle, 636 F. 2d 323, 353 (CADC 1979) (“Congress‘s intention was to identify facilities which, due to their size, are financially able to bear the substantial regulatory costs imposed by the PSD provisions and which, as a group, are primarily responsible for emission of the deleterious pollutants that befoul our nation‘s air“).
An implicit source-related exception would serve this statutory purpose while going no further. The implicit exception that the Court reads into the phrase “any air pollutant,” by contrast, goes well beyond the limited congressional objective. Nothing in the statutory text, the legislative history, or common sense suggests that Congress, when it imposed the 250 tpy threshold, was trying to undermine its own deliberate decision to use the broad language “any air pollutant” by removing some substances (rather than some facilities) from the PSD program‘s coverage.
For another thing, a source-related exception serves the flexible nature of the Clean Air Act. We observed in Mas- sachusetts that “[w]hile the Congresses that drafted” the Act “might not have appreciated the possibility that burning fossil fuels could lead to global warming, they did understand that without regulatory flexibility, changing circumstances and scientific developments would soon render the Clean Air Act obsolete.” 549 U. S., at 532. We recognized that “[t]he broad language of” the Act-wide definition of “air pollutant” “reflects an intentional effort to confer the flexibility necessary to forestall such obsolescence.” Ibid.
The Court‘s decision to read greenhouse gases out of the PSD program drains the Act of its flexibility and chips away at our decision in Massachusetts. What sense does it make to read the Act as generally granting the EPA the authority to regulate greenhouse gas emissions and then to read it as denying that power with respect to the programs for large stationary sources at issue here? It is anomalous to read the Act to require the EPA to regulate air pollutants that pose previously unforeseen threats to human health and welfare where “250 tons per year” is a sensible regulatory line but not where, by chemical or regulatory happenstance, a higher line must be drawn. And it is anomalous to read an unwritten exception into the more important phrase of the statutory definition (“any air pollutant“) when a similar unwritten exception to less important language (the particular number used by the statute) will do just as well. The implicit exception preferred by the Court produces all of these anomalies, while the source-related exception I propose creates none of them.
In addition, the interpretation I propose leaves the EPA with the sort of discretion as to interstitial matters that Congress likely intended it to retain. My interpretation gives the EPA nothing more than the authority to exempt sources from regulation insofar as the Agency reasonably determines that applying the PSD program to them would
Last, but by no means least, a source-related exception advances the Act‘s overall purpose. That broad purpose, as set forth at the beginning of the statute, is “to protect and enhance the quality of the Nation‘s air resources so as to promote the public health and welfare and the productive capacity of its population.”
* * *
I agree with the Court‘s holding that stationary sources
SUPREME COURT OF THE UNITED STATES
Nos. 12-1146, 12-1248, 12-1254, 12-1268, 12-1269, and 12-1272
UTILITY AIR REGULATORY GROUP, PETITIONER 12-1146 v. ENVIRONMENTAL PROTECTION AGENCY, ET AL.;
AMERICAN CHEMISTRY COUNCIL, ET AL., PETITIONERS 12-1248 v. ENVIRONMENTAL PROTECTION AGENCY, ET AL.;
ENERGY-INTENSIVE MANUFACTURERS WORKING GROUP ON GREENHOUSE GAS REGULATION, ET AL., PETITIONERS 12-1254 v. ENVIRONMENTAL PROTECTION AGENCY, ET AL.;
SOUTHEASTERN LEGAL FOUNDATION, INC., ET AL., PETITIONERS 12-1268 v. ENVIRONMENTAL PROTECTION AGENCY, ET AL.;
TEXAS, ET AL., PETITIONERS 12-1269 v. ENVIRONMENTAL PROTECTION AGENCY, ET AL.; AND
CHAMBER OF COMMERCE OF THE UNITED STATES, ET AL., PETITIONERS 12-1272 v. ENVIRONMENTAL PROTECTION AGENCY, ET AL.;
[June 23, 2014]
JUSTICE ALITO, with whom JUSTICE THOMAS joins, concurring in part and dissenting in part.
In Massachusetts v. EPA, 549 U. S. 497 (2007), this Court considered whether greenhouse gases fall within the Clean Air Act‘s general definition of an air “pollutant.” Id., at 528-529. The Environmental Protection Agency cautioned us that “key provisions of the [Act] cannot cogently be applied to [greenhouse gas] emissions,” Brief for Federal Respondent in Massachusetts v. EPA, O. T. 2006, No. 05-1120, p. 22, but the Court brushed the warning aside and had “little trouble” concluding that the Act‘s “sweeping definition” of a pollutant encompasses greenhouse gases. 549 U. S., at 528-529. I believed Massachusetts v. EPA was wrongly decided at the time, and these cases further expose the flaws with that decision.
I
As the present cases now show, trying to fit greenhouse gases into “key provisions” of the Clean Air Act involves more than a “little trouble.” These cases concern the provisions of the Act relating to the “Prevention of Significant Deterioration” (PSD),
I agree with the Court that the EPA is neither required nor permitted to take this extraordinary step, and I there-
II
I do not agree, however, with the Court‘s conclusion that what it terms “anyway sources,” i.e., sources that are subject to PSD and Title V permitting as the result of the emission of conventional pollutants, must install “best available control technology” (BACT) for greenhouse gases. As is the case with the PSD and Title V thresholds, trying to fit greenhouse gases into the BACT analysis badly distorts the scheme that Congress adopted.
The Court gives two main reasons for concluding that BACT applies to “anyway” sources, one based on text and one based on practical considerations. Neither is convincing.
A
With respect to the text, it is curious that the Court, having departed from a literal interpretation of the term “pollutant” in Part II-A, turns on its heels and adopts a literal interpretation in Part II-B. The coverage thresholds at issue in Part II-A apply to any “pollutant.” The Act‘s general definition of this term is broad, and in Massachusetts v. EPA, supra, the Court held that this definition covers greenhouse gases. The Court does not disturb that holding, but it nevertheless concludes that, as used in the provision triggering PSD coverage, the term “pollutant” actually means “pollutant, other than a greenhouse gas.”
In Part II-B, the relevant statutory provision says that BACT must be installed for any “pollutant subject to regulation under [the Act].”
Under the Court‘s interpretation, a source can emit an unlimited quantity of greenhouse gases without triggering the need for a PSD permit. Why might Congress have wanted to allow this? The most likely explanation is that the PSD permitting process is simply not suited for use in regulating this particular pollutant. And if that is so, it makes little sense to require the installation of BACT for greenhouse gases in those instances in which a source happens to be required to obtain a permit due to the emission of a qualifying quantity of some other pollutant that is regulated under the Act.
B
The Court‘s second reason for holding that BACT applies to “anyway” sources is its belief that this can be done without disastrous consequences. Only time will tell whether this hope is well founded, but it seems clear that BACT analysis is fundamentally incompatible with the regulation of greenhouse-gas emissions for at least two important reasons.
1
First, BACT looks to the effects of covered pollutants in the area in which a source is located. The PSD program is implemented through “emission limitations and such other measures” as are “necessary . . . to prevent significant deterioration of air quality in each region.”
2
Second, as part of the case-by-case analysis required by BACT, a permitting authority must balance the environmental benefit expected to result from the installation of an available control measure against adverse consequences that may result, including any negative impact on the environment, energy conservation, and the economy. And the EPA itself has admitted that this cannot be done on a case-by-case basis with respect to greenhouse gases.
The Clean Air Act makes it clear that BACT must be determined on a “case-by-case basis, taking into account energy, environmental, and economic impacts and other costs.”
More recently, the EPA provided guidance to permitting authorities regarding the treatment of greenhouse-gas emissions under this framework, and the EPA‘s guidance demonstrates the insuperable problem that results when an attempt is made to apply this framework to greenhouse gas emissions. As noted above, at step 4 of the framework, a permitting authority must balance the positive effect likely to result from requiring a particular source to install a particular technology against a variety of negative effects that are likely to occur if that step is taken. But in the case of greenhouse gases, how can a permitting authority make this individualized, source-specific determination?
The EPA instructs permitting authorities to take into
Suppose, for example, that a permitting authority must decide whether to mandate a change that both decreases a source‘s emission of greenhouse gases and increases its emission of a conventional pollutant that has a negative effect on public health. How should a permitting authority decide whether to require this change? Here is the EPA‘s advice:
“[W]hen considering the trade-offs between the environmental impacts of a particular level of GHG [greenhouse gas] reduction and a collateral increase in another regulated NSR pollutant,2 rather than attempting to determine or characterize specific environmental impacts from GHGs emitted at particular locations, EPA recommends that permitting authorities focus on the amount of GHG emission reductions
As best I can make out, what this means is that permitting authorities should not even try to assess the net impact on public health. Instead of comparing the positive and negative public health effects of a particular option, permitting authorities are instructed to compare the adverse public health effects of increasing the emissions of the conventional pollutants with the amount of the reduction of the source‘s emissions of greenhouse gases. But without knowing the positive effects of the latter, this is a meaningless comparison.
The EPA tries to ameliorate this problem by noting that permitting authorities are entitled to “a great deal of discretion,” Guidance 41, but without a comprehensible standard, what this will mean is arbitrary and inconsistent decisionmaking. That is not what the Clean Air Act contemplates.3
* * *
BACT analysis, like the rest of the Clean Air Act, was developed for use in regulating the emission of conventional pollutants and is simply not suited for use with respect to greenhouse gases. I therefore respectfully dissent from Part II-B-2 of the opinion of the Court.
Notes
JUSTICE BREYER argues, post, at 10 (opinion concurring in part and dissenting in part), that when the statutory permitting thresholds of 100 or 250 tons per year do not provide a “sensible regulatory line,” EPA is entitled to “read an unwritten exception” into “the particular number used by the statute” by which he apparently means that the Agency is entitled to substitute a dramatically higher number, such as 100,000. We are aware of no principle of administrative law that would allow an agency to rewrite such a clear statutory term, and we shudder to contemplate the effect that such a principle would have on democratic governance.
JUSTICE BREYER, however, claims to perceive no difference between (a) reading the statute to exclude greenhouse gases from the term “any air pollutant” in the permitting triggers, and (b) reading the statute to exclude sources emitting less than 100,000 tons per year from the statutory phrase “any source with the potential to emit two hundred and fifty tons per year or more.” See post, at 7. The two could scarcely be further apart. As we have explained (and as EPA agrees), statutory context makes plain that the Act‘s operative provisions use “air pollutant” to denote less than the full range of pollutants covered by the Act-wide definition. See Part II-A-1, supra. It is therefore incumbent on EPA to specify the pollutants encompassed by that term in the context of a particular program, and to do so reasonably in light of that program‘s overall regulatory scheme. But there is no ambiguity whatsoever in the specific, numerical permitting thresholds, and thus no room for EPA to exercise discretion in selecting a different threshold.
JUSTICE ALITO argues that BACT is “fundamentally incompatible” with greenhouse gases for two reasons. Post, at 4 (opinion concurring in part and dissenting in part). First, BACT requires consideration of “ambient air quality at the proposed site and in areas which may be affected by emissions from [the proposed] facility for each pollutant subject to regulation under this chapter,”
