Niagara Mohawk Power Corp. v. Hudson River-Black River Regulating District

673 F.3d 84, 2012 WL 751948
CourtCourt of Appeals for the Second Circuit
DecidedMarch 7, 2012
DocketDocket 10-4402-cv
StatusPublished
Cited by262 cases

This text of 673 F.3d 84 (Niagara Mohawk Power Corp. v. Hudson River-Black River Regulating District) is published on Counsel Stack Legal Research, covering Court of Appeals for the Second Circuit primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Niagara Mohawk Power Corp. v. Hudson River-Black River Regulating District, 673 F.3d 84, 2012 WL 751948 (2d Cir. 2012).

Opinion

GERARD E. LYNCH, Circuit Judge:

Plaintiff-appellant Niagara Mohawk Power Corporation, doing business as National Grid (“National Grid”), challenges the constitutional and statutory authority of defendant-appellee Hudson River-Black River Regulating District (“the District”), a New York public benefit corporation, to assess it for benefits that its property along the Hudson River receives from a dam and reservoir that the District operates. National Grid argues that the District’s assessment and apportionment scheme is federally preempted by the Federal Power Act (“FPA”), see 16 U.S.C. §§ 803(f), 821, and that even if the assessment authority exists, all assessments made prior to 2010 violated National Grid’s equal protection rights under the U.S. Constitution and constituted impermissible takings under the U.S. and New York State constitutions. The district court (Norman A. Mordue, Chief Judge) granted summary judgment for the defendants on National Grid’s preemption claims but abstained from exercising jurisdiction over (and accordingly dismissed) the remaining constitutional claims, on the theory that they should more properly be addressed in National Grid’s previously filed, pending state-court actions.

Because the FPA does not preempt the District’s authority under New York state law to assess National Grid as it did here, we affirm the district court’s judgment as to federal preemption. We further find that National Grid has abandoned its appeal of the district court’s dismissal of the New York State Department of Environmental Conservation (“DEC”) from this action, and, in any event, that the district court’s dismissal of the DEC was proper. However, because we conclude that abstention was not warranted as to National Grid’s remaining constitutional claims, we remand those claims to the district court for resolution, expressing no view on their merits.

BACKGROUND

I. The Parties

A. Defendants-Appellees

Defendant-appellee the District is a New York State public benefit corporation, created in 1959 by legislation that combined two existing districts — the Hudson River Regulating District (formed in 1922) and the Black River Regulating District (formed in 1919). The District is charged with regulating the flow of those rivers as *88 “required by the public welfare, including health and safety.” See N.Y. Envtl. Conserv. L. § 15-2103(1); see also id. § 15-2139(2). New York law gives the District broad powers to carry out its mission, including the authority to build and operate reservoirs, issue bonds, and apportion costs on statutorily defined beneficiaries to finance the construction, maintenance, and operation of its reservoirs. Id. §§ 15-2103(1), 15-2109, 15-2111, 15-2123, 15-2125, 15-2129, 15-2133.

The DEC is a New York state agency tasked with implementing and enforcing New York’s Environmental Conservation Law. Among its duties, the DEC approves proposed apportionments certified by the District’s board, id. § 15-2121(4), (5), and reviews “all necessary rules and regulations” that the board of the District has the “power to make,” id. §§ 15-2109(1), 15-2109(3). The DEC does not set downstream-beneficiary assessment rates, nor is it authorized to audit or revise the apportionments set by the District.

In 1923, the New York State Water Control Commission, the DEC’s predecessor, approved the Hudson River Regulating District’s proposed General Plan for regulating the flow of the Hudson River and its tributaries. This plan provided, among other things, for the construction of the Conklingville Dam and the Sacandaga Reservoir, now known as the Great Sacandaga Lake Reservoir (collectively the “GSL Project”). New York law required that the Hudson River Regulating District “apportion [the] cost [of constructing the Great Sacandaga Lake Reservoir], less the amount which may be chargeable to the state, among the public corporations and parcels of real estate benefited, in proportion to the amount of benefit which will inure to each such public corporation and parcel of real estate by reason of such reservoir.” N.Y. Envtl. Conserv. L. § 15-2121.

1. Assessment and Apportionment

From 1925 until 2010, the District (including its predecessor the Hudson River Regulating District) used the same method for assessing the beneficiaries of the GSL Project. 1 Under this method of apportionment for the upper Hudson River watershed area, the District attributed roughly 95% of the GSL Project’s benefits to parcels of land with a fall (or “head”) on the river, and that therefore either derived or had the potential to derive the benefit of increased water-power production from the GSL Project — regardless of whether the property was used for hydroelectric purposes or industrial purposes, or was undeveloped. Among these “head” parcels, the District further allocates costs based on the amount of “head” each landowner possesses on the assessed portion of the Hudson. The District allocates the remaining 5% of the project’s benefits to municipalities along the river, which enjoy flood control, river-flow augmentation, and various sanitary improvements thanks to the GSL Project.

In the 1990s, the Federal Energy Regulatory Commission (“FERC”) determined that the GSL Project required a federal license. Prior to that time, the *89 federal government had expressly declined to require that the District secure a license for the project. But the government’s approach shifted in the early 1990s, and federal regulators told the District that a federal license would now be necessary. At first, the District fought this change. Ultimately, however, after some negotiation, the District agreed to become a FERC licensee, and in 2000 signed an Offer of Settlement with the federal government, the Department of Environmental Conservation, and other agencies, businesses, and property owners. That agreement provided, inter alia, that the District would continue to fund its operations according to the apportionment scheme established under New York’s Environmental Conservation Law, and that the District had a continuing “statutory right” under New York law “to implement changes to its benefits assessments through appropriate [ ] District procedures, which procedures are to be outside the jurisdiction of any new licenses for the subject projects.” In addition, the agreement specified that the District had “initiated a reassessment procedure under Article 15, Title 21 of the New York State Environmental Conservation Law for the Hudson River,” and that it would “publish a public notice of this reassessment procedure” and “make a good faith effort to complete the reassessment procedure in an expeditious manner, by June 30, 2000, or by the adoption of the next three-year budget, whichever first occurs.” In 2009, the District finally undertook a reapportionment.

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Bluebook (online)
673 F.3d 84, 2012 WL 751948, Counsel Stack Legal Research, https://law.counselstack.com/opinion/niagara-mohawk-power-corp-v-hudson-river-black-river-regulating-district-ca2-2012.