Timber Products Co. v. United States

103 Fed. Cl. 225, 2011 U.S. Claims LEXIS 2431, 2011 WL 6934815
CourtUnited States Court of Federal Claims
DecidedDecember 29, 2011
DocketNo. 01-627C
StatusPublished
Cited by2 cases

This text of 103 Fed. Cl. 225 (Timber Products Co. v. United States) is published on Counsel Stack Legal Research, covering United States Court of Federal Claims primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Timber Products Co. v. United States, 103 Fed. Cl. 225, 2011 U.S. Claims LEXIS 2431, 2011 WL 6934815 (uscfc 2011).

Opinion

ORDER AND OPINION ON LIABILITY

WILLIAMS, Judge.

This timber sale case comes before the Court after a trial on liability.1 Plaintiff Timber Products Company (“Timber Products”) claims that the United States Forest Service (“Forest Service”) bi’eached the implied duties to cooperate and not hinder performance by awarding a timber sale contract without performing environmental surveys. Specifically, Plaintiff claims that Defendant knew that its interpretation of law which led it to forego the surveys was unlikely to prevail in a pending District Court action, but failed to inform Plaintiff of this risk. Plaintiff claims Defendant breached its implied duties by awarding the contract and then suspending performance when the District Court litigants secured an injunction. Plaintiff filed a claim under the Contract Disputes Act seeking out-of-pocket expenses, as well as consequential damages representing the value of the timber lost or damaged due to the Government’s suspension.

The Court finds that the Government acted unreasonably and breached its duties to cooperate and not hinder performance by awarding the timber sale knowing of the risk of an injunction and suspension, but never telling Timber Products. Because of these breaches, the Government’s liability is not limited to out-of-pocket expenses.

Findings Of Fact 2 ,

The Northwest Forest Plan

On April 13, 1994, the United States Departments of Agriculture and Interior issued [227]*227the Record of Decision for Amendments to Forest Service and Bureau of Land Management Planning Documents Within the Range of the Northern Spotted Owl. Joint Stip. (“Stip.”) ¶ 1; Joint Ex. (“JX”) 6 at 7. The Record of Decision amended the Land and Resource Management Plans for federally owned lands in the Pacific Northwest, including the Klamath National Forest in California, which contained the Jack Heli timber sale area, the subject of this action. Stip. ¶¶ 2, 3, 5. The amended management plans are referred to collectively as the Northwest Forest Plan.

Land management plans such as the Northwest Forest Plan are administered pursuant to two statutes. First, the National Forest Management Act (“NFMA”) requires the development of land management plans for national forests to “provide for diversity of plant and animal communities,” 16 U.S.C. § 1604(g)(3)(B) (2006), and to comply with the requirements of the National Environmental Policy Act (“NEPA”). See 42 U.S.C. § 4321 et seq. (2006). Second, the Federal Land Policy and Management Act (“FLPMA”) requires that land use plans “give priority to the designation and protection of areas of critical environmental concern.” 43 U.S.C. § 1712(c)(3) (2006). All timber sales are required to be conducted consistent with such land management plans. 16 U.S.C. § 1604(i).

The Requirement For Surveys of Certain Species Before Ground Distributing Activities Were Implemented

As part of the Northwest Forest Plan Record of Decision, a set of Survey & Manage (“S & M”) Standards and Guidelines was developed with regard to habitat sites. See JX 6 at C-4 to C-6. The S & M Standards and Guidelines categorized the potential species to be protected, and established a corresponding survey strategy for each category of species indicating when and how surveys were to be conducted. JX 6 at C-4, C-49 to C-61. For Category 2 surveys — the sole category of concern in this litigation — the S & M Standards and Guidelines required surveys “prior to ground-disturbing activities.” JX 6 at C-5. Category 2 surveys were initially required for approximately 76 species. JX 6 at 37, C-56 to C-61. These included the red tree vole, a type of lynx, five species of salamander, and other species ranging from lichens to mollusks and vascular plants. JX 6 at C-5, C-59 to C-61.

Category 2 species were separated into two groups, each with a corresponding “trigger date,” for performing surveys. Under the first trigger date, surveys within the known or suspected ranges of the red tree vole and salamander were required to precede the design of all ground-disturbing activities that were to be implémented in or after Fiscal Year 1997, which began on October 1, 1996. JX 6 at C-5. Under the second trigger date, Category 2 surveys were to be completed for the remaining species prior to ground disturbing activities that were to be implemented in or after FY 1999, which began on October 1,1998. JX 6 at C-5.

The Forest Service’s Definition of Implementation

The Northwest Forest Plan was administered under an interagency hierarchy. The Survey and Manage Working Group (“S & M Working Group”), composed of representatives from the Forest Service, the Bureau of Land Management, and other agencies, was to coordinate the implementation of Northwest Forest Plan wildlife and plant surveys. JX 8 at A-37, A-42; Tr. 1072. The Issue Management Group, which included representatives of the Forest Service and Bureau of Land Management, was to act on recommendations for definitions, directions, and interpretations of the survey requirements under the Northwest Forest Plan when, in its view, such decisions could be made without going to the next higher level of authority. Tr. 1074-78,1140. The highest level of agency authority within the Northwest Forest Plan was the Regional Interagency Executive Committee, which included the Regional Foresters of Regions 5 (California) and 6 (Oregon and Washington) of the Forest Service and the Director of the Oregon State Office of the Bureau of Land Management. PL’s Ex. (“PX”) 13 at A-86; Tr. 864-66, 1075-76,1210. Also reporting to the Regional Interagency Executive Committee, was the Regional Ecosystem Office, an inter-agency staff group that provided technical [228]*228support and analysis, to the regional heads of federal agencies involved with the plan. Tr. 1086-87.

Beginning in August of 1996, the Issue Resolution Team members collaborated with the S & M Working Group in an effort to determine how the Forest Service and BLM would define the date of “implementation” for a given timber sale. PX 25, 27, 28, 30. The Record of Decision did not define the term “implement.” Tr. 1092-93. Owen Schmidt, an attorney advisor for the Department of Agriculture Office of General Counsel (“OGC”), testified that “it’s not a term of art that we were aware of. It’s not a word that appears in the CFR’s; hasn’t been defined by the agency anywhere, and so the agency then is free to give it its own interpretation.” Tr. 963.

The S & M Standards and Guidelines required that, surveys for the salamander and red tree vole species subject to the FY 1997 trigger date, had to “precede the design of all ground-disturbing activities that [would] be implemented in 1997 or later.” JX 6 at C-5 (emphasis added). However, the Northwest Forest Plan Record of Decision did not mention “design,” stating only that these species were to have surveys conducted prior to ground-disturbing activities that would be implemented in FY 1997 or later. JX 6 at 36.

NEPA Decision Equals Implementation

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103 Fed. Cl. 225, 2011 U.S. Claims LEXIS 2431, 2011 WL 6934815, Counsel Stack Legal Research, https://law.counselstack.com/opinion/timber-products-co-v-united-states-uscfc-2011.