Entergy Nuclear Operations, Inc. v. New York State Department of State

42 Misc. 3d 896, 976 N.Y.S.2d 650
CourtNew York Supreme Court
DecidedDecember 13, 2013
StatusPublished
Cited by1 cases

This text of 42 Misc. 3d 896 (Entergy Nuclear Operations, Inc. v. New York State Department of State) is published on Counsel Stack Legal Research, covering New York Supreme Court primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Entergy Nuclear Operations, Inc. v. New York State Department of State, 42 Misc. 3d 896, 976 N.Y.S.2d 650 (N.Y. Super. Ct. 2013).

Opinion

OPINION OF THE COURT

Michael C. Lynch, J.

Petitioners Entergy Nuclear Indian Point 2 LLC and Entergy Nuclear Indian Point 3 LLC (hereinafter Entergy or petitioners) are the entities that own nuclear power generating units known as Indian Point Generating Units 2 and 3 (IP2 and IP3). On or about November 5, 2012, petitioners filed an application with the respondent New York State Department of State (hereinafter DOS) for a declaratory ruling that IP2 and IP3 are not subject to review pursuant to a certain provision set forth in a [898]*898document titled, “New York State Coastal Management Program and Final Environmental Impact Statement” (http:// www.dos.ny.gov/communitieswaterfronts/pdfs/NY%20 CMP%20.pdf, cached at http://www.nycourts.gov/reporter/ webdocs/NY CMP .pdf [hereinafter CMP]). In response, the DOS advised that, because the CMP is not a “rule or statute enforceable by the [DOS],” the petitioners were not entitled to a declaratory ruling pursuant to the State Administrative Procedure Act. The DOS instead issued an “advisory” response that IP2 and IP3 were subject to the State’s Coastal Management Program. This hybrid CPLR article 78 and declaratory judgment action followed.

In 1959, the State of New York conveyed property located in Buchanan, New York and situate along the Hudson River to Consolidated Edison, Inc. (ConEd) so that it could construct the Indian Point nuclear power generating facility. In 1966, the United States Atomic Energy Commission (AEG) issued a construction permit to ConEd to allow it to build IP2; in 1968, ConEd applied for an operating license. In 1972, the AEG issued its environmental impact statement (EIS), the Nuclear Regulatory Commission (NRC, the successor to the AEC) issued an operating license in 1973, and IP2 began generating electricity in 1974 (petition ¶ 37). Entergy purchased IP2 from ConEd in 2001.

In October 1968, ConEd applied for an operating license for IP3 and thereafter began to construct the unit. In 1974, the New York State Legislature authorized the State’s Power Authority (NYPA) to acquire IP3. The NRC completed the EIS for IP3 in February 1975 and issued the operating license in December 1975. IP3 began generating electricity in 1976. Entergy purchased IP3 from NYPA in 2000.

On April 30, 2007, Entergy submitted a license renewal application to the NRC requesting a 20-year extension of the existing operating licenses for IP2 and IP3. The IP3 license expires in 2015; the IP2 license expired this year but has been extended pending review.

As the Hudson River is within the “coastal zone” (see 16 USC § 1453 [1]), Entergy’s license application is subject to the provisions of the Federal Coastal Zone Management Act (CZMA) and its regulations (16 USC § 1451 et seq.). In relevant part, the CZMA provides that a “coastal state,” like New York State (16 USC § 1453 [4]), may develop a “management program” that “includes ... a comprehensive statement in words, maps, il[899]*899lustrations, or other media of communication, prepared and adopted by the state in accordance with [the CZMA], setting forth objectives, policies, and standards to guide public and private uses of lands and waters in the coastal zone” (16 USC § 1453 [12]).

In 1981, the New York State Legislature enacted the Waterfront Revitalization and Coastal Resources Act (hereinafter Waterfront Act) to “provide[ ] for the establishment of the New York State Coastal Management Program, pursuant to the [CZMA]” (Mem in Support, Bill Jacket, L 1981, ch 840, 1981 NY Legis Ann at 441; see Executive Law art 42). Therein, the DOS was authorized to administer the State’s Waterfront Act and to promulgate rules and regulations as required in furtherance of the statute (Executive Law § 913). In 1982, pursuant to authority set forth in the Waterfront Act, the DOS issued the CMP which is the focus of the instant dispute. The CMP describes “the forty-four coastal policies with which all State agency actions must be consistent” and provides the “framework for government decision-making which affects New York’s coastal area” (CMP part I at 1). These coastal policies are implemented through, among other authorities, the Waterfront Act and its regulations (19 NYCRR 600.1 et seq.) and the State Environmental Quality Review Act (ECL 8-0101 et seq. [hereinafter SEQRA]) and its regulations (6 NYCRR part 617; see CMP appendices A, E, F).

The National Oceanic and Atmospheric Administration (NOAA), on behalf of the United States Secretary of Commerce, approved New York State’s coastal management program in September 1982 (petition ¶ 47; see 16 USC §§ 1454, 1455). Accordingly; the CZMA provides that New York State is entitled to participate in “consistency” review (16 USC § 1456) and the renewal applications pending before the NRC are subject to federal regulations governing “Consistency for Activities Requiring a Federal License or Permit” (see 15 CFR part 930, subpart D). The regulations obligate the applicant to provide to both the federal reviewing agency and the DOS, as New York State’s reviewing agency, “a certification that the proposed activity complies with and will be conducted in a manner consistent with the [CMP]” (15 CFR 930.57 [a]; 930.58). Notably, the applicant must include with its submissions to the State “[a]n evaluation that includes a set of findings relating the coastal effects of the proposal and its associated facilities to the relevant enforceable policies of the [State’s] management program. Ap[900]*900plicants shall demonstrate that the activity will be consistent with the enforceable policies of the management program.” (15 CFR 930.58 [a] [3]; 930.57.)

Upon receipt of a complete application, the DOS has six months to review the consistency certification (15 CFR 930.59), during which time it must provide public notice and allow an opportunity for public comment (15 CFR 930.61). Thereafter, the State may either concur with or object to the certification (15 CFR 930.62, 930.63). If the State objects to the certification, the federal agency may not issue the license unless, after an appeal, the Federal Secretary of Commerce overrides the State’s objection upon a finding that “the activity is consistent with the objectives or purposes of the Coastal Zone Management Act, or is necessary in the interest of national security” (15 CFR 930.63 [e]; 930.64; part 930, subpart H). Here, petitioners’ consistency certification for the IP2 and IP3 license renewals is pending. Petitioners advise that the DOS’s response to the certification is due on March 22, 2014 (correspondence dated Oct. 15, 2013).

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42 Misc. 3d 896, 976 N.Y.S.2d 650, Counsel Stack Legal Research, https://law.counselstack.com/opinion/entergy-nuclear-operations-inc-v-new-york-state-department-of-state-nysupct-2013.