Citizens for Mass Transit, Inc. v. Adams

492 F. Supp. 304, 10 Envtl. L. Rep. (Envtl. Law Inst.) 20787, 14 ERC (BNA) 1889, 1980 U.S. Dist. LEXIS 17352
CourtDistrict Court, E.D. Louisiana
DecidedJune 13, 1980
DocketCiv. A. 79-1767, 80-1586
StatusPublished
Cited by5 cases

This text of 492 F. Supp. 304 (Citizens for Mass Transit, Inc. v. Adams) is published on Counsel Stack Legal Research, covering District Court, E.D. Louisiana primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Citizens for Mass Transit, Inc. v. Adams, 492 F. Supp. 304, 10 Envtl. L. Rep. (Envtl. Law Inst.) 20787, 14 ERC (BNA) 1889, 1980 U.S. Dist. LEXIS 17352 (E.D. La. 1980).

Opinion

OPINION

BEER, District Judge.

Initially, this matter (No, 79-1767) comes before the court by way of defendants’ motions for summary judgment. Also set for hearing and adjudication are the preliminary injunctions sought to halt the construction. A similar environmental suit by Concerned Citizens of Algiers, Inc. (No. 80-1586) was transferred to this section so that consistent adjudicative relief could be granted simultaneously. The defendants in No. 80-1586 also seek summary judgment. Likewise, Concerned Citizens of Algiers, Inc. seeks a preliminary injunction against construction of the proposed bridge, incorporating all pleadings filed by plaintiffs in No. 79-1767.

Defendants in both suits also sought an order limiting judicial review to the administrative record, which was directly addressed at the pretrial conference on May 27,1980, It was essentially understood that the June 5, 1980 hearing would be limited to the administrative record and any affidavits (and/or depositions) filed into the record before that date. All counsel agreed this procedure would be followed, reserving the right to file a responsive memo or affidavit to any affidavits filed very close to the June 5, 1980 hearing date.

Citizens for Mass Transit, Inc. (hereinafter “CMT”) and Save Our Wetlands, Inc. (hereinafter “SOWL”) seek to halt construction of the bridge, contending that the Coast Guard bridge permit was issued in violation of that agency’s regulations governing the review, analysis and recommendation of applications for such permits. Their basic complaints allege central business' district (hereinafter “CBD”) traffic congestion, air pollution, energy waste and *306 poor treatment of the no-build alternative. They attach affidavits of members of their organizations and of others whose environmental concerns are supported by good credentials.

Defendants point out that the bridge permit was signed by Rear Admiral W. W. Barrow by direction for Admiral Hayes, the Commandant of the U. S. Coast Guard. Plaintiffs insist that the bridge permit must be signed by the Commandant himself. 33 CFR § 115.60(e)(1).

However, the Secretary of Transportation has “delegated to the Commandant, U. S. Coast Guard, with the authority to redelegate within the Coast Guard, the authority to exercise the functions, powers and duties of the Secretary.” (Emphasis added.) 33 CFR § 114.01(c)(5). Thus, in his capacity as Chief, Office of Marine Environment and Systems, Rear Admiral Barrow properly signed and issued the bridge permit on September 28, 1978. Congress has given the Commandant broad powers to direct all operations of the Coast Guard. 14 U.S.C. § 632. The Commandant’s policy as to the redelegation of his authority is set out in the Coast Guard Organization Manual. It is clear that the Commandant has given Admiral Barrow the authority to sign the bridge permit.

Plaintiffs also maintain that Admiral Barrow was the Commander of the 8th Coast Guard District when early hearings were conducted on the bridge. On July 12, 1978, Admiral Barrow was named Chief of the Office of Marine Environment and Systems. Thus, claim plaintiffs, he was, thereby, supervising his own earlier recommendation regarding the Downstream Parallel Bridge. This, they contend, constitutes a conflict of interest which renders the issuance of the permit unlawful.

However, defendants’ memo points out that:

“First, the issuance of a bridge permit is a purely ministerial function, no less, no more. Upon a finding that the bridge is elevated to a degree to permit unobstructed clearance by vessels and that it poses no hazards to marine safety and provides for the reasonable needs of the environment, a permit may be issued. Second, the preparation of the environmental impact statement itself shows analysis and judgment as to the propriety of the project. Further, plaintiffs have produced no evidence, through documents or otherwise to show review of this project was limited to Rear Admiral Barrow. The sequence of events, as related by plaintiffs in their memorandum, show an 18-month break between the 1977 date of Rear Admiral Barrow’s (then Eighth District Commander) recommendation the permit be issued and July 12, 1978, the date he became Chief, Office of Marine Environment and Systems. Even then, the permit was not finally issued until more than two months after the Admiral assumed his new command. A review of Coast Guard correspondence drawn from the administrative record indicates that the project was reviewed extensively by other offices and divisions of the Coast Guard as well as the Department of Transportation. Review of this correspondence will also show that the ‘high-level involvement’ of Admiral Barrow was minimal.” (Federal Defendants’ Exhibits 2-11.)

Plaintiffs further allege that the Final Environmental Impact Statement (hereinafter “FEIS”) is deficient in that it fails to present a balanced traffic picture on CBD congestion; fails to adequately set forth air quality data, including smog and carbon monoxide; fails to address the issue of the project’s relationship to long-term energy consumption; and fails to consider a rational “no-build” alternative.

However, contentions of deficiencies do not, standing alone, establish inadequacy of the FEIS. The real issues which are determinative of the sufficiency of an Environmental Impact Statement (hereinafter “EIS”) are: 1) whether the EIS sets forth sufficient information to enable the decision-maker to consider fully the environmental factors invoked and to make a reasoned decision after balancing the risks of *307 harm to the environment against the benefits to be derived from the proposed action as well as to make a reasoned choice between alternatives; and 2) whether factual or empirical data exists which should have been brought to the attention of the decision-maker. Sierra Club v. Morton, 510 F.2d 813 (5th Cir., 1975).

As defendants point out, the primary purpose of the project is to alleviate conditions on the existing Greater New Orleans Bridge. The project is not designed to have significant impact upon traffic outside the project corridor. Plaintiffs are doing little more than drawing their own conclusions as to the impact of the new bridge on traffic in non-project areas.

As to the air quality complaints, the Environmental Protection Agency (hereinafter “EPA”) has approved the air quality analysis and found that the project meets the National Ambient Air Quality Standard for ozone. (Federal Defendants’ Exhibit 14.) Thus, the methods of analysis utilized followed existing EPA standards to the extent such standards have been formally promulgated. (Federal Defendants’ Exhibit 13.) Finally, conflicting points of scientific opinion do not give rise to substantial issues of material fact where the sufficiency of an EIS is at issue. Compliance with the National Environmental Policy Act of 1969 (hereinafter “NEPA”) is based upon good faith objectivity rather than subjective impartiality.

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492 F. Supp. 304, 10 Envtl. L. Rep. (Envtl. Law Inst.) 20787, 14 ERC (BNA) 1889, 1980 U.S. Dist. LEXIS 17352, Counsel Stack Legal Research, https://law.counselstack.com/opinion/citizens-for-mass-transit-inc-v-adams-laed-1980.