State v. Hebert

743 P.2d 392, 1987 Alas. App. LEXIS 279
CourtCourt of Appeals of Alaska
DecidedOctober 9, 1987
DocketA-1743
StatusPublished
Cited by9 cases

This text of 743 P.2d 392 (State v. Hebert) is published on Counsel Stack Legal Research, covering Court of Appeals of Alaska primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
State v. Hebert, 743 P.2d 392, 1987 Alas. App. LEXIS 279 (Ala. Ct. App. 1987).

Opinion

OPINION

SINGLETON, Judge.

In this case we are asked to consider the validity of 5 Alaska Administrative Code (AAC) 27.987, a fish and game regulation governing commercial herring fishing in Norton Sound. On February 6, 1986, Fish and Wildlife Protection officers charged Jay Hebert with violating 5 AAC 27.987. 1

*394 Hebert was charged because he fished as an entry-permit holder in an exclusive use area, Norton Sound, after having already fished in nonexclusive-use areas, Bristol Bay and Security Cove, during the 1985 fishing season. On May 5, 1986, Hebert moved to dismiss the charge on the ground that the Board of Fisheries had exceeded its authority when it enacted 5 AAC 27.987. Hebert argued, inter alia, that the Board enacted the regulation to economically assist local fishermen, and, that such a goal did not serve a conservation or development purpose as required by AS 16.05.-221(a).

On August 18, 1986, District Court Judge Bradley N. Gater agreed that 5 AAC 27.987 exceeded the Board’s authority and ordered that the charges be dismissed. He relied, in part, on an earlier decision of the Juneau superior court which interpreted a virtually identical earlier ordinance, 5 AAC 27.985. See State v. Heffernan, No. 83-032 Cr. (Alaska Super., May 14,1985). The district court also concluded that the regulation was not premised on conservation and development purposes but, instead, was enacted solely to economically assist exclusive use area fishermen by distributing fishermen among different areas and dividing the overall herring catches more evenly. The state appeals. We reverse.

In reaching our decision, we first consider whether the Board exceeded its statutory mandate in promulgating the regulation, either by pursuing impermissible objectives or by employing means outside its powers. Second, we consider whether the regulation is reasonable and not arbitrary. Meier v. State, 739 P.2d 172, 173 (Alaska, 1987); Kelly v. Zamarello, 486 P.2d 906, 911 (Alaska 1971).

The Board’s undisputed purpose in promulgating the regulation was to allocate a percentage of the herring yield to local residents larger than they would otherwise receive in unregulated competition with fishermen from outside the district. Hebert argues, and the trial court found, that this objective is outside the Board’s statutory mandate because it is inconsistent with, and not reasonably necessary for, purposes of conservation or development. 2

In Meier and, in an earlier case, Kenai Peninsula Fisherman’s Co-op. Ass’n Inc. v. State, 628 P.2d 897, 903 (Alaska 1981), the supreme court considered and rejected arguments similar to Hebert’s. In both cases, it held that the duty to conserve and develop fishery resources implied a concomitant power to allocate fishery resources among competing users. Meier, 739 P.2d at 174; Kenai Peninsula, 628 P.2d at 903. In Kenai Peninsula, the court reasoned that the Board’s power to control resource utilization permitted it to establish priorities of use between commercial and recreational fishermen as a response to sharp competition between the two groups for a limited fishery resource. Id. at 903. In Meier, the court concluded that competition between various subgroups of commercial users was also keen and, consequently, the Board’s power to control fishery resource utilization allowed it to allocate the fishery harvest between two competing subgroups of commercial fishermen. Id. at 174.

Implicit in Meier and Kenai Peninsula is the supreme court’s conclusion that questions such as the one presented in this *395 case are divisible into two related issues: first, does the need for conservation or development permit the Board to regulate a particular fishery, see AS 16.05.221(a); and, second, assuming that conservation or development require restrictions on the amount of fish available for taking so that demand will exceed the available supply of fish, how should the available fish be allocated among competing potential users, whether sport, commercial or subsistence? The trial court’s primary error was its failure to distinguish between these two issues. It viewed the Board’s function as limited to generating regulations for the purpose of developing or conserving fishery resources, even if the regulation being evaluated sought solely to allocate the resources. While an initial decision to regulate requires a conservation or development purpose, a subordinate decision to allocate does not. Cf Meier, 739 P.2d at 174 (Board’s decision to handicap driftnetters for benefit of setnetters in order to maintain pre-1985 harvest percentages between the two groups did not directly advance a conservation or development purpose); Kenai Peninsula, 628 P.2d at 903 (allocation between commercial fisher, and sport fishers, standing alone, did not serve conservation or development purpose).

Nevertheless, the trial court, as well as Hebert, believes that the Board erred in finding that the prerequisites for an allocation decision had been met. Hebert contends that the Board’s decision was not premised on a need to effectuate conservation or development of the Norton Sound herring stocks, but solely on a desire to economically assist the Norton Sound residents.

We find that whether the herring fishery resource in Norton Sound requires conservation or development is a question of legislative fact. See, e.g., State v. Erickson, 574 P.2d 1, 4-6 and n. 14 (Alaska 1978) (quoting Davis, An Approach to Problems of Evidence in the Administrative Process, 55 Harv.L.Rev. 364, 402-10 (1942) (legislative facts are those which help the tribunal to determine the content of law and policy and to exercise its judgment or discretion in determining what course of action to take)). The supreme court has promulgated a two-prong reasonable basis test to govern an administrative agency’s decisions regarding legislative facts in rule-making. First, the regulation must be consistent with and reasonably necessary to carry out the statutory purposes of the agency. Second, the regulation must be reasonable and not arbitrary. See Meier, 739 P.2d at 173, and Kelly, 486 P.2d at 911. Applying this test to the instant case, we consider the Board’s findings relating to 5 AAC 27.987. 3

*396 Findings five and six make it clear that the Board did not view the herring sac roe fishery in Norton Sound as so extensive that it could meet the needs of all men and women who wished to fish, and therefore need not be regulated for purposes of development and conservation.

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Bluebook (online)
743 P.2d 392, 1987 Alas. App. LEXIS 279, Counsel Stack Legal Research, https://law.counselstack.com/opinion/state-v-hebert-alaskactapp-1987.