Alabama Power Company v. Douglas M. Costle, as Administrator, Environmental Protection Agency, Sierra Club, Intervenors.

606 F.2d 1068, 196 U.S. App. D.C. 161
CourtCourt of Appeals for the D.C. Circuit
DecidedDecember 14, 1979
Docket78-1006
StatusPublished
Cited by18 cases

This text of 606 F.2d 1068 (Alabama Power Company v. Douglas M. Costle, as Administrator, Environmental Protection Agency, Sierra Club, Intervenors.) is published on Counsel Stack Legal Research, covering Court of Appeals for the D.C. Circuit primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Alabama Power Company v. Douglas M. Costle, as Administrator, Environmental Protection Agency, Sierra Club, Intervenors., 606 F.2d 1068, 196 U.S. App. D.C. 161 (D.C. Cir. 1979).

Opinion

PER CURIAM:

This case concerns the validity of final regulations 1 promulgated by the Environmental Protection Agency (EPA) on June 19,1978 embracing the prevention of significant deterioration of air quality in the nation’s “clean air areas.” 2 These “PSD” regulations interpreted and began the implementation of various provisions of the *1075 Clean Air Act Amendments of 1977. 3 Pertinent provisions are gathered in title I, part C of the Clean Air Act as amended (hereafter sometimes referred to as the “PSD part” or the “PSD provisions”).

Before us are consolidated petitions for review filed in this court, as provided by statute, within 60 days of the date of promulgation. 4 Significant preliminary issues raised by these petitions were argued on October 10, 1978, and our ruling on those questions issued March 27, 1979. 5 The remaining issues raised by the petitions, involving primarily interpretative questions of comprehensive importance, 6 came to be argued on April 19 and 20, 1979.

The judicial review provisions as well as other features of the Clean Air Act Amendments set a tone for expedition of the administrative process that effectuates the congressional purpose to protect and enhance an invaluable national resource, our clean air. We are motivated by such concerns to issue today this per curiam opinion, after careful and complete consideration of the case. This opinion summarizes our final rulings on the questions presented. In view of the large number of questions raised, the members of the panel have divided responsibility for preparation of the court’s more comprehensive opinions, which will issue in due course. 7 The purpose of today’s expedited judgment and per curiam opinion is to enable EPA to proceed as soon as possible to commence rulemaking or other proceedings necessary to promulgate those revisions in the PSD regulations required by our rulings, and to take other prudent action to effectuate congressional policies.

A. Potential To Emit

The definition of “major emitting facility” is of central importance to the statutory scheme and is the source of a pivotal question in this case. Only major emitting facilities are subject to the preconstruction review and permit requirements of section 165 of the Act. Such facilities are defined in section 169(1) as those stationary sources of air pollutants from among 28 listed categories which “emit, or have the potential to emit” 100 tons per year or more of any air pollutant plus any other stationary source with the “potential to emit” 250 tons per year or more of any air pollutant. 8

*1076 EPA has interpreted the phrase “potential to emit” as referring to the measure of a source’s “uncontrolled emis sions” — i. e., the projected emissions of a source when operating at full capacity, with the projection increased by hypothesizing the absence of the air pollution control equipment designed into the source. 9 We think the fairly discernible meaning of the statute, applying its text and giving consideration both to the comprehensive statutory scheme and to the legislative history, is that an emitting facility is “major” within the meaning of section 169(1), only if it either (1) actually emits the specified annual tonnage of any air pollutant, or (2) has the potential, when operating at full design capacity, to emit the statutory amount. The purpose of Congress was to require a permit before major amounts of emissions were released. In our view, the design capacity of the facility takes into account not only its maximum productive capacity (which EPA uses) but also the design controls on emissions. The “potential to emit” of any stationary source must be calculated on the assumption that air pollution control equipment incorporated into the design of the facility will function to control emissions in the manner reasonably anticipated when the calculation is made. EPA’s regulations are remanded in this respect for appropriate revision.

B. General Exemption for Stationary Sources Emitting Less Than 50 Tons Per Year of Any Air Pollutant

Having swept in too many facilities, in our view, by its interpretation of “potential to emit,” EPA inserted in its PSD regulations a partial exemption from the preconstruction review and permit requirements of section 165 for all major emitting facilities that emit less than 50 tons per year of any air pollutant when operating at maximum capacity and employing those air pollution controls imposed either by the applicable State Implementation Plan (SIP) or by an enforceable permit. 10 This exemption reflected EPA’s judgment that application to such sources of the full preconstruction review and permit process would not be cost effective.

This aspect of the regulations is remanded to the agency. In a sense, the 50-ton-per-year exemption has been rendered academic by our ruling that an emitting facility does not qualify as “major” (and thus become subject to the requirement of obtaining advance permits) unless that facility emits or has the potential to emit, at a minimum, 100 tons per year or more of any air pollutant, after full account has been taken of the operation of the facility’s air pollution control equipment. However, standard doctrine teaches us that our proper course is to remand this matter for further consideration by EPA.

In view of the possibility that EPA may refashion, rather than terminate, its exemption, we guide our remand by noting that EPA does not have broad authority in this statute to create exemptions on the basis of an analysis of cost-effectiveness. It has an obligation to regulate the subject matter delegated to it by Congress. The agency does possess authority, inherent in the statutory scheme, to overlook circumstances that in context fairly may be considered de minimis. EPA also has an implied authority to provide for exemptions when compelled by administrative necessity. The difference is one of degree but the assumption of authority reflected in the 50-ton-per-year exemption goes beyond the exercise of these more narrow administrative powers.

*1077 C. Source Definition

EPA has defined the term “source” to include “any structure, building, facility, equipment, installation or operation (or combination thereof) which is located on one or more contiguous or adjacent properties and which is owned or operated by the same person (or by persons under common control).” 11

1. Constituents of “Source”

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Bluebook (online)
606 F.2d 1068, 196 U.S. App. D.C. 161, Counsel Stack Legal Research, https://law.counselstack.com/opinion/alabama-power-company-v-douglas-m-costle-as-administrator-environmental-cadc-1979.