Mountain Lion Coalition v. Fish & Game Commission

214 Cal. App. 3d 1043, 263 Cal. Rptr. 104, 1989 Cal. App. LEXIS 1069
CourtCalifornia Court of Appeal
DecidedOctober 17, 1989
DocketA043404
StatusPublished
Cited by74 cases

This text of 214 Cal. App. 3d 1043 (Mountain Lion Coalition v. Fish & Game Commission) is published on Counsel Stack Legal Research, covering California Court of Appeal primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Mountain Lion Coalition v. Fish & Game Commission, 214 Cal. App. 3d 1043, 263 Cal. Rptr. 104, 1989 Cal. App. LEXIS 1069 (Cal. Ct. App. 1989).

Opinion

*1045 Opinion

HANING, J.

The California Fish and Game Commission, et al., 1 appeal from an order amending a peremptory writ of mandate directing them to comply with requirements of the California Environmental Quality Act (Pub. Resources Code, § 21000 et seq.) (CEQA) in connection with the promulgation of regulations governing the sport hunting of California mountain lions.

In 1987 the commission adopted regulations that, for the first time in 16 years, allowed the sport hunting of mountain lions. The Mountain Lion Coalition and other organizations (collectively respondents) successfully petitioned the superior court for a peremptory writ of mandate suspending the hunt and requiring appellants to fulfill their obligations under CEQA. Specifically, appellants were directed that if they intended to authorize a mountain lion hunt, they would have to prepare and circulate an environmental impact document (EID) containing a legally sufficient analysis of the cumulative impact associated with conducting such a hunt. This appeal reviews the superior court’s decision to suspend appellants’ adoption of a regulation in 1988 authorizing a mountain lion hunt because the environmental documentation circulated for public review failed to comply with the terms of the superior court’s writ of mandate. 2 We will conclude that appellants failed to comply with both the peremptory writ and with CEQA, and we will affirm.

Facts and Procedural History

On April 10, 1987, appellants formally adopted hunting regulations allowing the sport killing of mountain lions during the fall of 1987. (See Fish & G. Code, § 207.) On May 13, 1987, respondents petitioned the superior court for a writ of mandate to set aside these regulations until a full EID was prepared. The petition alleged that appellants’ proposal to allow a mountain lion hunt was highly controversial, 3 it involved uncertain effects *1046 and unknown risks of dropping the mountain lion population below self-sustaining levels, and it could result in cumulatively significant impacts on the environment. The petition further alleged that appellants had failed to meet their obligation under CEQA to prepare and circulate a document addressing these issues before a hunt could be authorized.

On October 7, 1987, the superior court issued a peremptory writ of mandate suspending the regulations authorizing the 1987 mountain lion hunt. The court ruled that appellants had not complied with CEQA, in that they failed to consider the cumulative impacts on the environment if the hunt took place. The writ directed that if appellants decided to proceed with the hunt, they would have to prepare an analysis of cumulative impacts in accordance with CEQA, and circulate and receive public input on this analysis. 4

One month later appellants filed a return to the peremptory writ claiming they had fully complied with the court’s directive. Their four-page cumulative impact analysis concluded that the mountain lion hunt would have no adverse impacts on the mountain lion population as a whole, nor would it have a measurable negative impact on the mountain lion’s habitat or other property or animals. This cumulative impact analysis had been circulated for public review, written comments had been received and evaluated, and appellants had adopted findings that the cumulative effects of the proposed hunt were insignificant. Appellants contended this brief statement satisfied their requirements under CEQA, and that they were entitled to proceed with the implementation of the 1987 mountain lion hunt.

Appellants’ claim that they had fully satisfied the terms of the peremptory writ was immediately challenged by respondents, who stressed several major points in arguing that the cumulative impact analysis failed to meet CEQA requirements: Primarily, the cumulative impact analysis was attacked as lacking detail and specific references to concrete data supporting the conclusions reached. Appellants were also criticized for inadequately *1047 addressing or completely ignoring important issues that had been brought to their attention. For instance, letters had been sent to appellants on April 8, 1987, and November 10, 1987, from the National Park Service expressing concern that mountain lion hunting was being proposed in areas adjacent to several national parks. Since the national parks were under a mandate to protect the mountain lions within the parks, and it was likely mountain lions would roam outside the parks’ boundaries, the National Park Service expressed concern that its goal of maintaining an unhunted and undisturbed mountain lion population would be compromised by the proposed hunt. The National Park Service registered its opposition to the proposed mountain lion hunt “due to the expected adverse impact to valued park resources.” At a minimum, the National Park Service requested that buffer zones be created around park boundaries where no lion hunting would be permitted. Respondents pointed out that appellants had never contacted the National Park Service about these concerns and comments, and the cumulative impact analysis adopted by appellants failed to create buffer zones or address how the proposed hunt could potentially affect the mountain lion populations within the national parks. 5

Respondents also claimed that appellants ignored pleas from scientists engaged in ongoing research on the ecological balance of wild horses, mule deer and mountain lions in the Inyo National Forest, that a proposed mountain lion hunt would have an extremely disruptive effect on their research. Respondents challenged the token observance in the cumulative impact analysis that the catastrophic wildfires occurring in the summer of 1987 which burned over 750,000 acres would actually result in long-term benefits to the mountain lion. Finally, respondents pointed out that the cumulative impact analysis failed to consider the impact of reasonably foreseeable future hunts on the mountain lion, its social structure, and its habitat.

In an order filed January 22, 1988, the superior court ruled that the 1987 mountain lion hunt could not proceed “until such time as [appellants] prepare[ ] a legally sufficient analysis of the cumulative impacts of the mountain lion hunting season . . . .” In its order, the court made certain specific rulings:

(1) A proper cumulative impact analysis must not be conclusionary; it must be supported by references to specific scientific and empirical evidence.
(2) A legally sufficient cumulative impact analysis must include data generated from meaningful research on the short-term and long-term impacts of the 1987 wildfires in California.
*1048 (3) A complete cumulative impact analysis must assume that mountain lion hunting seasons will be approved for several years after 1987.

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Bluebook (online)
214 Cal. App. 3d 1043, 263 Cal. Rptr. 104, 1989 Cal. App. LEXIS 1069, Counsel Stack Legal Research, https://law.counselstack.com/opinion/mountain-lion-coalition-v-fish-game-commission-calctapp-1989.