WILMINA SHIPPING AS, et al., Plaintiffs, v. UNITED STATES DEPARTMENT OF HOMELAND SECURITY, et al., Defendants.
Civil Action No. 11-2184 (ABJ)
United States District Court, District of Columbia.
March 27, 2013.
William Bruce Pasfield, Alston & Bird LLP, Washington, DC, Brian T. McCarthy, Michael G. Chalos, Chalos, O‘Connor LLP, Port Washington, NY, for Plaintiffs.
MEMORANDUM OPINION
AMY BERMAN JACKSON, District Judge.
This case concerns the scope of the U.S. Coast Guard‘s authority to ban a foreign ship from U.S. waters when it finds that the ship has violated provisions of federal environmental laws and international environmental treaties. Plaintiffs Wilmina Shipping AS and Wilhelmsen Marine Services AS own and operate the M/T Wilmina, a Norwegian-flagged oceangoing tank vessel. In May 2010, the Coast Guard conducted an investigation of the Wilmina while it was docked at the Port of Corpus Christi and found certain of the ship‘s pollution control devices to be inoperable or disarmed in violation of U.S. laws and international treaties. As a result, on May 21, 2010, the Coast Guard revoked the ship‘s certificate of compliance, which a foreign tanker vessel must have to operate in U.S. waters. The Coast Guard further ordered that after the Wilmina left the Port of Corpus Christi, it could not enter any U.S. port or U.S. waters again for three years or until after the ship had developed and implemented an Environmental Compliance Plan (“ECP“) acceptable to the Coast Guard, and it had experienced a year of satisfactory audits.
Plaintiffs challenge the order, alleging that the Coast Guard lacked the statutory authority to issue it and that the Coast Guard failed to provide due process of law before revoking the certificate of compliance. They also challenge the agency‘s findings on the merits, arguing that the decision was arbitrary and capricious and improperly based upon information provided by an unreliable whistleblower. The Court deferred consideration of those is-
Defendants filed a motion for summary judgment, and plaintiffs filed a cross-motion for summary judgment. Plaintiffs ask the Court to vacate the order, enjoin the Coast Guard from excluding the Wilmina from U.S. waters, and enjoin it from withholding the certificate of compliance.
The Court holds that the Coast Guard has the authority to set forth conditions for the restatement of a certificate of compliance, including the sorts of conditions it ordered for the Wilmina. Under the terms of the statute that governs these vessels, the Coast Guard is required to inform vessel owners of the steps they must take to bring their ships into compliance. But the Coast Guard does not have the statutory authority to exclude a ship from U.S. waters for a term of years as an alternative to specifying conditions for reinstatement of the certificate. The Court also finds that the Coast Guard did not violate plaintiffs’ due process rights when it revoked the ship‘s certificate without a pre-deprivation hearing. Accordingly, the Court grants the defendants’ motion for summary judgment in part and denies it in part, and it grants plaintiffs’ cross-motion for summary judgment in part and denies it in part.
BACKGROUND
The M/T Wilmina is a Norwegian-flagged oceangoing tank vessel. Defs.’ Mot. for Summ. J. [Dkt. # 13] (“Defs.’ Mot.“) at 1; Pls.’ Opp. to Defs.’ Mot. for Summ. J. and Cross-Mot. for Summ. J. [Dkt. # 20] (“Pls.’ Mot.“) at 3. On May 3, 2010, the day before the Wilmina was scheduled to dock at the Port of Corpus Christi, a former member of the ship‘s engine department, Robert Pabillar, contacted the Coast Guard and reported that the ship‘s crew had bypassed its pollution control equipment and discharged oily bilge waste directly overboard.1 Pls.’ Mot. at 3. When the Wilmina arrived the next day, the Coast Guard boarded the vessel and conducted a Port State Control Inspection. Id. at 3-4, citing Port State Control Report of Inspection (“First Rep. of Inspection“) at Administrative Record (“AR“) 3.2 The Coast Guard identified three deficiencies unrelated to the Wilmina‘s pollution control devices, and it issued a certificate of compliance. First Rep. of Inspection, AR 3-4; Certificate of Compliance, AR 5-6.
The certificate states that “the ship has been examined and found to be in compliance with all applicable U.S. and international marine safety and environmental protection standards.” Certificate of Compliance, AR 5. The second page of the certificate includes a “Notice to Mariners” that warns:
For tank ships only: For this Certificate of Compliance to remain in effect, the vessel shall be maintained to the safety and construction standards as examined for compliance with applicable marine safety and environmental protection laws and international conventions.
Id. at AR 6. It further provides that “[e]n-tries shall be made on this certification in
Later that same evening, the Coast Guard re-boarded the vessel to conduct an investigation of Pabillar‘s allegations. Pls.’ Mot. at 4. This time, it identified a number of deficiencies with the ship‘s pollution control equipment that violated the International Convention to Prevent Pollution from Ships (“MARPOL“). Port State Control Report of Inspection (“Second Rep. of Inspection“), AR 7-9. The deficiencies cited in the report included the facts that: the ship‘s oily water separator, a device used to remove oil from the ship‘s bilge water, was inoperable; a discharge pipe, which was supposed to run between the oily water separator and through the ship‘s hull, had been removed; and parts of the oily water separator were found in a chemical locker. Id. The Coast Guard also found that the ship failed to maintain engine room alarms, which were supposed to sound if the pollution control equipment detected a certain level of oil in the water to be discharged. Id. Finally, it found that the ship failed to maintain proper records in its oil record book. Id.
On May 21, 2010, the Coast Guard issued the Captain of the Port Order No. 093-10 (the “Order“), AR 1-2, that prompted this litigation. The Order listed deficiencies with the ship‘s pollution control equipment and record keeping, specifically, “inconsistencies in the ship‘s oil record book, inoperable oily water separating equipment, oily sludge in the overboard discharging piping (where there should be none), and an oily water bypass hose with flanges and oil inside of it.” Order at 1, AR 1. It also found that “that the Master and Chief Engineer were unfamiliar with and failed to comply with the Safety Management System (SMS) for the vessel with regard to reporting critical equipment casualties and maintaining records and engine room alarms, including oily water separator alarm printouts.” Id. The Order further indicates that based upon crewmember interviews and other information gathered during the inspection, the Coast Guard found that the ship had “discharged oily contaminated bilge waste and/or sludge in contravention of MARPOL on several occasions and entered the United States port of Corpus Christi, Texas with an oil record book with false entries.” Id.
Based upon all of these findings, the Captain of the Port made the following determination:
[T]he willful noncompliance with MARPOL and APPS [the Act to Prevent Pollution from Ships,
33 U.S.C. §§ 1901 et seq. ] that occurred on board your vessel creates a threat to the marine environment. . . . Therefore, I am revoking your vessel‘s Certificate of Compliance in accordance with46 U.S.C. § 3711(c) .
Id., AR 2. He went on to state that he was imposing conditions “under the authority of
Once your vessel departs port it may not enter the Sector Corpus Christi Marine Inspection Zone and Captain of the Port Zone, as defined in 46 C.F.R. 3.404-35, for a period of three (3) years, or until the vessel has developed and successfully implemented an Environmental Compliance Plan (ECP) to the satisfaction of the U.S. Coast Guard. . . . Successful implementation of an agreed upon ECP must include a period of satisfactory audits for at least a one (1) year period, after which I will consider allowing it to enter the Sector Corpus Christi Marine Inspection Zone and Captain of the Port Zone.
Id. (bold in original).
On May 27, 2010, the Coast Guard sent plaintiff Wilmina Shipping AS, the ship‘s
Plaintiffs took multiple steps to appeal the orders within the Coast Guard.
- On August 25, 2010, plaintiffs appealed to the Captain of the Port or Sector Commander. Aug. 25, 2010 Letter, AR 191-225. On November 19, 2010, the Captain of the Port reaffirmed the original determination that the Wilmina was not in compliance with MARPOL. Nov. 19, 2010 Letter, AR 188-90.
- On December 9, 2010, plaintiffs appealed to the District Commander of the Eighth Coast Guard District. Dec. 9, 2012 Letter, AR 436-44. On February 11, 2011, the Commander of the Eighth Coast Guard District denied the appeal. Feb. 11, 2011 Letter, AR 432-35.
- On March 1, 2011, plaintiffs appealed the District Commander‘s decision to the Commander of the Coast Guard Atlantic Area. Mar. 1, 2011 Letter, AR 488-95. On April 8, 2011, the Commander affirmed the Eighth Coast Guard District denial. Apr. 8, 2011 Letter, AR 487.
- On April 27, 2011, plaintiffs appealed to the Vice Admiral of the Atlantic Area. Apr. 27, 2011 Letter, AR 509-518. On November 1, 2011, the Assistant Commandant for Prevention Policy, Rear Admiral James Watson, denied that appeal. Nov. 1, 2011 Letter, AR 496-508.
Having exhausted their administrative appeals, plaintiffs filed this lawsuit, alleging that the Coast Guard lacked the statutory authority to issue the Order and Letter 16711 and contending that they did not receive the due process required under the law when the Coast Guard revoked the Wilmina‘s certificate of compliance without a pre-deprivation hearing. They allege violations of the Port and Water Safety Act (“PWSA“) and the Administrative Procedures Act (“APA“). Compl. ¶¶ 145-158.
STANDARD OF REVIEW
Summary judgment is appropriate when the pleadings and evidence show that “there is no genuine dispute as to any material fact and [that] the movant is entitled to judgment as a matter of law.”
Under the APA, a court must “hold unlawful and set aside agency action, findings, and conclusions” that are “arbitrary, capricious, an abuse of discretion, or otherwise not in accordance with law,”
In reviewing an agency‘s interpretation of a statute, courts use the two-step analysis outlined in Chevron, U.S.A., Inc. v. Natural Res. Def. Council, Inc., 467 U.S. 837, 842-43 (1984). Step one involves determining whether Congress has spoken directly to the precise question at issue. If it has, “the court, as well as the agency, must give effect to the unambiguously expressed intent of Congress,” and that is the end of the matter. Id.; Nat‘l Treasury Emps. Union v. Fed. Labor Relations Auth., 392 F.3d 498, 500 (D.C.Cir.2004). If the statute is silent or ambiguous on the question, Chevron instructs the Court to go on to a second step and determine “whether the agency‘s answer is based on a permissible construction of the statute.” Chevron, 467 U.S. at 843. An agency‘s interpretation will warrant deference if it is reasonable. Pauley v. BethEnergy Mines, Inc., 501 U.S. 680, 702 (1991).
ANALYSIS
I. THE APPLICABLE LEGAL FRAMEWORK
Both the Coast Guard and the ships that wish to enter U.S. waters operate under a series of international treaties and federal statutes, and the challenged actions here must be assessed by reference to a set of overlapping statutory regimes.
A. International Convention to Prevent Pollution from Ships (“MARPOL“)
The International Convention for the Prevention of Pollution from Ships, commonly referred to as MARPOL, is a multilateral maritime treaty that aims “to achieve the complete elimination of intentional pollution of the marine environment by oil and other harmful substances and the minimization of accidental discharge of such substances.” U.S. v. Pena, 684 F.3d 1137, 1142 (11th Cir.2012), citing MARPOL, Nov. 2, 1973, modified by the Protocol of 1978, opened for signature Feb. 17, 1978. 1340 U.N.T.S. 62, 184. Both the United States and Norway are signatories to the treaty. Because MARPOL is not self-executing, each signatory must implement the treaty by establishing rules for ships that fly its flag, certifying that the ships comply with the treaty rules and sanctioning those ships that violate the treaty. See United States v. Ionia Mgmt. S.A., 555 F.3d 303, 307 (2d Cir.2009), citing MARPOL arts. 1(1), 4(1), 5(1).
MARPOL‘s Annex I also sets out regulations intended to prevent oil pollution. Ionia Mgmt. S.A., 555 F.3d at 306. One of them provides that a vessel may only discharge oily water while under way if the discharged material is processed through specified oil filtration equipment, such as an oily water separator, that traps most of the oil. Id. at 306-07, citing MARPOL, reg. 4(c), 1340 U.N.T.S. at 67; Reg. 9, 1340 U.N.T.S. at 202. MARPOL regulations also require ships to record all oil transfer operations, including the discharge of bilge
B. The Act to Prevent Pollution from Ships
The United States implements MARPOL through the Act to Prevent Pollution from Ships (“APPS“),
C. Carriage of Liquid Bulk Dangerous Cargoes and Certificates of Compliance
Chapter 37 of Title 46 addresses the “Carriage of Liquid Bulk Dangerous Cargoes.” It establishes standards for the construction and operation of tank vessels like the Wilmina. See, e.g.,
Section 3711 of the chapter provides:
A foreign vessel to which this chapter applies may operate on the navigable waters of the United States, or transfer oil or hazardous material in a port or place under the jurisdiction of the United States, only if the vessel has been issued a certificate of compliance by the Secretary. The Secretary may issue the certificate only after the vessel has been examined and found to be in compliance with this chapter and regulations prescribed under this chapter.
The statutory provision goes on:
A certificate shall be suspended or revoked if the Secretary finds that the vessel does not comply with the conditions under which the certificate was issued.
Finally, the statute requires that the Coast Guard must notify the owner or other person in charge when a vessel is found to be out of compliance and that it must “state how compliance may be achieved.”
D. The Port and Waterways Safety Act
The Port and Waterways Safety Act, which regulates vessel traffic “in any port or place under the jurisdiction of the United States,” authorizes the Secretary4 to
This statute also sets forth conditions governing access to United States ports:
No vessel, subject to the provisions of chapter 37 of Title 46, shall operate in the navigable waters of the United States or transfer cargo or residue in any port or place under the jurisdiction of the United States, if such vessel—
(1) has a history of accidents, pollution incidents, or serious repair problems which, as determined by the Secretary, creates reason to believe that such vessel may be unsafe or may create a threat to the marine environment; or
(2) fails to comply with any applicable regulation issued under this chapter, chapter 37 of Title 46, or under any other applicable law or treaty; or
(3) discharges oil or hazardous material in violation of any law of the United States or in a manner or quantities inconsistent with the provisions of any treaty to which the United States is a party . . . .
The PWSA also sets forth civil and criminal penalties for violations of that statute. See
II. THE COAST GUARD‘S AUTHORITY TO ISSUE THE ORDER
The Coast Guard revoked the Wilmina‘s certificate of compliance based on a finding of “willful noncompliance with MARPOL and APPS,” which created “a threat to the marine environment.” Order at 2, AR 2. It premised the revocation on
Plaintiffs assert that the Coast Guard did not have the statutory power to ban the Wilmina for three years or to require an ECP with a year of successful audits. Pls.’ Mot. at 17-26. They also contend that the Coast Guard violated their due process rights by revoking the Wilmina‘s certificate of compliance without a pre-deprivation hearing. Id. at 27-29.
A. The Coast Guard Has Statutory Authority to Exclude a Foreign Vessel from U.S. Waters if the Vessel Meets One of the Conditions of the PWSA
Plaintiffs challenge the Coast Guard‘s authority to issue what they call the “banning order,” contending that
Defendants contend that Section 1228 of the PWSA grants the Coast Guard authority to enforce the PWSA to “effectively prohibit substandard vessels from operating in U.S. waters,” whether for a period of time or based on conditions for reinstatement of a revoked certificate. Defs.’ Mot. at 40, quoting H.R.Rep. No. 95-1384(1) at 6 (1978), 1978 U.S.C.C.A.N. 3270.
Whether the Coast Guard is authorized by
Chapter 37 of Title 46 gives the Coast Guard broad authority to issue and revoke certificates of compliance to tank vessels carrying dangerous liquid cargo based on its assessment of whether the vessels are in compliance with environmental requirements. That chapter also authorizes the Coast Guard to revoke or suspend a certif-
1. The Coast Guard‘s authority under the PWSA is not limited to emergencies.
The Coast Guard has authority under
Section 1228 is entitled “conditions for entry,” and it is cast in terms of a flat prohibition: “no vessel . . . shall operate . . . if. . . .”
Furthermore, the legislative history plaintiffs cite does not support their interpretation. They argue that Congress passed the PWSA “to cope with the increasing safety hazards of maritime transportation and with pollution resulting from operation and casualties of vessels carrying oil or other hazardous substances in bulk . . . What is most urgently needed is legislation that will put the emphasis on prevention . . . .“). Pls.’ Mot. at 20 n. 16 (citing U.S. Congressional and Administrative News 92-339, p. 2768-69 and House of Representatives Reports, Report 95-1384, p. 10). But if the statute‘s stated purpose was to prevent emergencies, it does not follow that the Coast Guard must wait for an emergency to materialize before it is authorized to act.
The cases plaintiffs cite do not support their argument either. They cite Llamera v. United States, 15 Cl.Ct. 593, 598 (1988) for its holding that the PWSA authorizes the Coast Guard to order a vessel to anchor pending correction of deficiencies. They also cite Chronos Shipping v. U.S. Coast Guard, 957 F.Supp. 667, 669 (E.D.Pa.1997), which upheld the imposition of civil penalties for a violation of the PWSA for failure to report a cracked hull in a cargo ship carrying crude oil. Pls.’ Mot. at 21. But neither case holds that the Coast Guard can act only in the face of an imminent or actual emergency. In any event, the grounds for action cited in the Order include the finding that the oily water separation equipment and the engine room alarms were inoperable at the time, not just that they had been found to be out of compliance with regulations in the past.
2. The Coast Guard‘s authority to address violations of MARPOL is not limited to penalties in Section 1232.
Plaintiffs also contend that the Order overstepped the Coast Guard‘s authority because it disregards Section 1232 of the PWSA. Pls.’ Mot. at 24-25. This section, entitled “Enforcement Provisions,” establishes civil penalties to be imposed on “[a]ny person who is found by the Secretary, after notice and an opportunity for a hearing, to have violated this chapter or a regulation issued hereunder,” as well as criminal penalties for willful and knowing violations.
Plaintiffs’ argument is not supported by the language of the statute. First of all, Section 1232(a)(1) sets out penalties for violations of the PWSA itself.
Furthermore, the civil and criminal penalties are not the only enforcement options available under the act. The very section cited by the plaintiffs also establishes denial of entry as an enforcement tool:
Except as provided in section 1228 of this title, the Secretary may, subject to recognized principles of international law, deny entry into the navigable waters of the United States to any port or place under the jurisdiction of the United States or to any vessel not in compliance with the provisions of this chapter or the regulations issued hereunder.
The Captain of the Port found that the Wilmina was in violation of both MARPOL and APPS and that its non-compliance created “a threat to the marine environment of the United States.” Order at 1, AR 1. Thus, the Order includes an implicit finding that the vessel violated the provision in section 1228 prohibiting a vessel from operating in the navigable waters in the United States if it “fails to comply with any applicable regulation issued . . . under any other applicable law or treaty,”
B. The Coast Guard‘s Construction of the Statute is Permissible in Part
1. Section 1228 authorizes the Coast Guard to set conditions for the Wilmina‘s future ability to operate in U.S. waters, and the conditions the Coast Guard established to reinstate the Wilmina certificate of compliance are reasonable.
Section 1228 of the PWSA speaks in mandatory terms. It states that no tanker like the Wilmina “shall operate in the navigable waters of the United States” if it:
(1) has a history of accidents, pollution incidents, or serious repair problems which, as determined by the Secretary, creates reason to believe that such vessel may be unsafe or may create a threat to the marine environment; or
(2) fails to comply with any applicable regulation issued under this chapter, chapter 37 of title 46, or under any other applicable law or treaty; or
(3) discharges oil or hazardous material in violation of any law of the United States or in a manner or quantities inconsistent with the provisions of any treaty to which the United States is a party; or
(4) does not comply with any applicable vessel traffic service requirements; or
(6) is not manned in compliance with manning levels as determined by the Secretary to be necessary to insure the safe navigation of the vessel; or
(7) while underway, does not have at least one licensed deck officer on the navigation bridge who is capable of clearly understanding English.
Furthermore, the statute expressly delegates broad authority to the Secretary to determine whether and when a vessel should be deemed to be in compliance again. It provides that a vessel “shall not” be subject to the conditions for entry:
if the owner or operator of such vessel proves, to the satisfaction of the Secretary, that such vessel is no longer unsafe or a threat to the marine environment, and is no longer in violation of any applicable law, treaty, regulation or condition, as appropriate.
Thus, Congress left it to the Coast Guard to use its expertise as the regulatory agency entrusted with the administration of the statute to determine when a ship may reenter U.S. waters. See, e.g., Webster v. Doe, 486 U.S. 592, 600 (1988) (statute enabling an agency official to act as he “shall deem . . . necessary” “fairly exudes deference” to official‘s decisions); Conn. Dept. of Children and Youth Servs. v. Dep‘t of Health and Human Servs., 9 F.3d 981, 985 (D.C.Cir.1993) (decision made pursuant “to the satisfaction of the Secretary” only reviewable to the extent the statute lists specific criteria that must be considered). And the Court must “give an extreme degree of deference to the agency when it ‘is evaluating scientific data within its technical expertise.‘” Hüls Am., Inc. v. Browner, 83 F.3d 445, 452 (D.C.Cir. 1996), quoting Int‘l Fabricare Inst. v. EPA, 972 F.2d 384, 389 (D.C.Cir.1992).
Here, the imposition of the requirement that the Wilmina implement an environmental compliance plan and complete a year of successful audits before being admitted to United States ports again fell well within the scope of the Coast Guard‘s authority under the statute. The Coast Guard found that the ship‘s “senior officers failed to . . . implement the safety management system as required by the International Safety Management (ISM) Code, and
The Coast Guard was tasked by Congress to ascertain to its satisfaction whether a ship has brought itself back into compliance and whether it poses a threat to the marine environment in the future. It was therefore granted the discretion, and it has the expertise, to define the sort of showing that would enable it to draw that conclusion. Thus, under Chevron step two, the Court finds that it was permissible for the agency to construe
2. The Coast Guard does not have authority to ban a ship for a period of time without providing a path for reinstatement of its certificate of compliance.
The Coast Guard also ordered, in the alternative, that the Wilmina would be excluded from U.S. waters for three years if it did not implement a new ECP and complete one year of successful audits.7 According to defendants, the PWSA‘s instruction that the Coast Guard determine to its “satisfaction” when a ship is no longer in violation of subsection (a) gives the agency the authority to simply ban a ship from U.S. waters without anything more. Defs.’ Mot. at 40. But subsection (b) of Section 1228 uses the same automatic and mandatory language that appears in subsection (a) when it states that “this section shall not apply if the owner or operator . . . proves, to the satisfaction of the Secretary” that the ship is no longer unsafe or a threat and is no longer violating applicable laws, treaties, regulations or conditions.
Chapter 37 of Title 46 also requires the Coast Guard to do more. That statute provides that no foreign tank ship shall operate in U.S. waters without a certificate of compliance, and that the Coast Guard “may” issue a certificate of compliance if it
Defendants argue that the three-year ban is meant to be the “stick” to the “carrot” of allowing an ECP with one year of audits. Hr. Tr. at 17 (“[W]ithout something beyond the one-year period, there‘s simply no incentive to comply.“) They also assert that neither
III. THE COAST GUARD DID NOT VIOLATE PLAINTIFFS’ DUE PROCESS RIGHTS IN ISSUING THE ORDER
Plaintiffs also contend that the Coast Guard violated their due process rights under the Fifth Amendment of the U.S. Constitution by failing to provide them notice of the alleged violation and the opportunity for a hearing. Pls.’ Mot. at 27; see also Compl. ¶¶ 69-70. The due process clause of the Fifth Amendment protects a finite range of property and liberty interests. Bd. of Regents of State Colls. v. Roth, 408 U.S. 564, 569 (1972). It does not absolutely protect these interests from deprivation, but only from deprivation without due process of law. Parratt v. Taylor, 451 U.S. 527, 537 (1981); see also Mathews v. Eldridge, 424 U.S. 319, 333 (1976). To prevail on their due process claim, plaintiffs must demonstrate that they possessed a constitutionally protected property or liberty interest and that they were deprived of that interest without sufficient legal process. Gen. Elec. Co. v. Jackson, 610 F.3d 110, 117 (D.C.Cir.2010).
A. Plaintiffs Have a Constitutionally Protected Property Interest
To have a constitutionally protected property interest, plaintiffs must have more that an “abstract need” for or “unilateral expectation” of that interest. Roth, 408 U.S. at 576. Plaintiffs’ interest must rise to the level of “a legitimate claim of entitlement” to implicate due
Plaintiffs compare a ship‘s certificate of compliance to a driver‘s license, arguing that deprivation of the certificate triggered the procedural safeguards of the due process clause. Pls.’ Reply in Supp. of Cross-Mot. for Summ. J. [Dkt. # 24] (“Pls.’ Reply“) at 19. Defendants counter that plaintiffs’ interest in the certificate was a mere unilateral expectation of current and continued benefit and that plaintiff had no property interest in the certificate because “government officials may grant or deny [the benefit] in their discretion.” Defs.’ Reply to Pls.’ Response to Mot. for Summ. J. and Resp. to Pls.’ Cross-Mot. for Summ.
While plaintiffs may have had no actionable property interest in the certificate before it was granted, an interest did attach once the certificate was in hand. Section 3711 provides that a vessel may only operate on U.S. navigable waters if it has been issued a certificate and that the Secretary may issue one only after the vessel has been examined and found to be in compliance. But once issued, a certificate is valid for up to 24 months, and it may be renewed.
B. Plaintiffs were Not Entitled to a Pre-Deprivation Hearing
The Court‘s ruling that plaintiffs had a protected property interest does not automatically entitle them to notice and a hearing before revocation of the Wilmina‘s certificate. All that is required before the deprivation of a protected interest is “notice and opportunity for hearing appropriate to the nature of the case.” Cleveland Bd. of Educ. v. Loudermill, 470 U.S. 532, 542 (1985) (emphasis added). “[D]ue process is flexible and calls for such procedural protections as the particular situation demands.” Morrissey, 408 U.S. at 481. The process that is due is determined by balancing three criteria: the private inter-
1. Plaintiffs’ private interest affected by the Coast Guard‘s action
Plaintiffs’ private interest in maintaining the Wilmina‘s certificate is not significant. Although the certificate is necessary for the Wilmina to operate in U.S. waters, deprivation of the certificate does not prevent the Wilmina from calling on ports outside U.S. waters, nor does it prevent any other ships plaintiffs may have from calling on ports in the United States. Accordingly, their private interest is not the type of significant property interest that requires the full panoply of procedural process. Compare Goldberg v. Kelly, 397 U.S. 254, 260-61 (1970) (deprivation of welfare benefits requires pre-deprivation notice and hearing), and Sniadach v. Family Finance Corp., 395 U.S. 337, 342-43 (1969) (deprivation of all wages requires pre-deprivation notice and hearing), with Barry v. Barchi, 443 U.S. 55, 64 (1979) (post-deprivation process is sufficient to revoke professional license), and Dixon v. Love, 431 U.S. 105, 112-15 (1977) (post-deprivation process is sufficient to revoke driver‘s license of a truck driver). This seems particularly true in this case, where the certificate was only in hand for seventeen days before it was revoked.11 Therefore, the first Mathews factor does not indicate that plaintiffs were entitled to a pre-deprivation hearing.
2. The probable value of additional procedure
“Central to the evaluation of any administrative process is the nature of the relevant inquiry.” Mathews, 424 U.S. at 343. The Supreme Court has found additional procedures to be valuable when an agency‘s determination turns on “issues of witness credibility and veracity.” Id. at 343-44; see also Goldberg, 397 U.S. at 269. On the other hand, when determinations turn on “routine, standard, and unbiased” evaluation of physical fact by specialists, the value of a pre-deprivation hearing is lower. Mathews, 424 U.S. at 344, quoting Richardson v. Perales, 402 U.S. 389, 404 (1971). The issue is whether the procedures used present a “risk of an erroneous deprivation” of plaintiffs’ interest. Mathews, 424 U.S. at 335. The number of layers of review and the opportunities given to plaintiffs to submit arguments and supporting materials minimized that risk in this case, as did the nature of the inquiry in question.
While plaintiffs have amassed considerable information to undermine the credibility of the whistleblower who brought the issues to the Coast Guard‘s attention, and to question his motivation, the findings that led to the issuance of the Order were primarily based upon the inspectors’ observations on board the ship and not the witness‘s accounts of events at sea. The Coast Guard conducted an on board investigation of the Wilmina and its pollution control devices. It examined the physical
Furthermore, the administrative appeals process was sufficient to satisfy the requirements of due process in this case. The Coast Guard‘s appeals process provides opportunity for reconsideration of an order, two levels of further appeal within the agency with the opportunity for plaintiffs to provide documentation and evidence as well as rebuttal materials, and a final appeal decided on the record.
After the Coast Guard made its initial determination, plaintiffs appealed the Order and Letter 16711 to the District Commander, explaining why they believed the Coast Guard‘s determination was incorrect. See Appeal of COPT Order No, 093-10 and Office of Vessel Activity Order No. 16711, AR 191-225.13 They then appealed to the District Commander of the Eighth Coast Guard District, Dec. 9, 2012 Letter, AR 436-44; then to the Commander of the Coast Guard Atlantic Area, Mar. 1, 2011 Letter, AR 488-95; and finally the Vice Admiral of the Atlantic Area, Apr. 27, 2011 Letter, AR 509-518. Although this process was carried out in writing, it afforded the plaintiffs a full opportunity to present arguments and refute the Coast Guard‘s findings. See Menkes v. U.S. Dep‘t of Homeland Sec., 637 F.3d 319, 339 (D.C.Cir.2011) (ruling that giving plaintiff multiple opportunities to be heard by the agency through the submission of argument and evidence in writing was sufficient due process because “he had ample opportunity to apprise the Coast Guard of his views“). Courts have found that the type of post-deprivation administrative appeal provided here can satisfy due process, even when the balance of the Mathews factors is more favorable to the plaintiff. See Federal Deposit Ins. Corp. v. Mallen, 486 U.S. 230, 243 (1988) (ruling that post-deprivation hearing was constitutional in case involving appellee‘s interest in continued employment, which is “without doubt an important interest that ought not be interrupted without substantial justification. We have repeatedly recognized the severity of depriving someone of his or her livelihood.“). Thus, the second Mathews factor weighs against a constitutional requirement for a pre-deprivation hearing.
3. The government‘s interest
“An important government interest, accompanied by a substantial assurance that the deprivation is not baseless or unwarranted, may in limited cases demanding prompt action justify postponing the opportunity to be heard until after the initial deprivation.” Mallen, 486 U.S. at 240. A post-deprivation hearing is constitutionally permissible when the government has taken immediate action to avoid the risk of an immediate or continu-
Here, the government‘s interest is strong and it weighs heavily in the balance. Congress passed the PWSA because it found that “navigation and vessel safety, protection of the marine environment, and safety and security of United States ports and waterways are matters of major national importance.”
Thus, after balancing the Mathews factors in this case, the Court holds that plaintiffs were not entitled to a pre-deprivation hearing before the Coast Guard revoked the Wilmina‘s certificate of compliance and that they were provided the process that was due.
CONCLUSION
For the reasons explained above, the Court rules that the Coast Guard had the authority to revoke the Wilmina‘s certificate and to impose as conditions for its reissuance the submission of a satisfactory environmental plan and a year of successful audits. But it did not have the authority to ban the ship from entering U.S. waters for a term of three years, and that term of the Order is hereby declared invalid. The Court further rules that plaintiffs’ due process rights were not violated.
This resolves the question of the Coast Guard‘s authority to act as it did, but not the validity of its actions on the merits. Plaintiffs have also challenged the agency action on the grounds that it was arbitrary and capricious and not supported by the record. The parties will be directed by separate order to meet and confer and submit to the Court a proposed plan and schedule for further proceedings on those issues.
AMY BERMAN JACKSON
United States District Judge
