United States v. Charter International Oil Company, Acushnet Company, Proposed Intervenors-Appellees

83 F.3d 510, 26 Envtl. L. Rep. (Envtl. Law Inst.) 21321, 43 ERC (BNA) 1175, 1996 U.S. App. LEXIS 10847
CourtCourt of Appeals for the First Circuit
DecidedMay 9, 1996
Docket95-1961, 95-1984 and 95-2019
StatusPublished
Cited by53 cases

This text of 83 F.3d 510 (United States v. Charter International Oil Company, Acushnet Company, Proposed Intervenors-Appellees) is published on Counsel Stack Legal Research, covering Court of Appeals for the First Circuit primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
United States v. Charter International Oil Company, Acushnet Company, Proposed Intervenors-Appellees, 83 F.3d 510, 26 Envtl. L. Rep. (Envtl. Law Inst.) 21321, 43 ERC (BNA) 1175, 1996 U.S. App. LEXIS 10847 (1st Cir. 1996).

Opinion

LYNCH, Circuit Judge.

The clean-up of a Superfund hazardous waste site in New Bedford, Massachusetts is largely being accomplished and funded through agreements the government has reached with private parties who bear some legal responsibility for the wastes at the site. Those agreements, by law, must be approved by the United States Courts as being fair, reasonable, and consistent with the purposes of CERCLA, the Comprehensive Environmental Response, Compensation and Liability Act. Multiples of millions of dollars are involved in these settlements and the stakes are high, both for the public and for the parties involved. The allocation of responsibility for payment of those millions — as between the public treasury and the private sector and amongst the private players themselves — has given rise to complicated settlement dynamics. Those settlements are subject to both the court approval mechanism enacted by Congress and to specific statutory clauses providing for (and protecting against) contribution by some of the potentially responsible parties (“PRPs”) to the settlement sums paid by other such parties.

The question presented here is whether the district court abused its discretion in approving a CERCLA consent decree between the government and Charter International Oil Company arising out of the Sullivan’s Ledge Superfund Site. What is unusual is that the government and Charter disagreed in a very fundamental sense on interpretation of the consent decree. This, in turn, raises the issue of the extent to which the scope of “matters addressed” in the decree, an issue usually resolved in separate contribution actions, was required to be determined by the district court in its approval of the consent decree.

*513 Under the rubric of approval of the decree, two sets of private parties here attempt to battle out the ultimate allocation of contribution liability in a clean-up with costs estimated to be in the order of $60 million. Charter urges that the district court erred in rejecting its interpretation, which would give Charter complete contribution protection against prior settlors for its payment of $215,000 plus interest. The Aeushnet Group, comprised of prior settling parties who have instituted such a contribution action against Charter, urges that the district court erred in not resolving all contribution questions in the course of approving the decree.

We affirm the district court’s order.

The Sullivan’s Ledge Superfund Site

An old granite quarry in New Bedford was used as a waste disposal area by the city from 1935 to the 1970s. Local industries disposed of their wastes, including hazardous substances, into four pits, extending as deep into the bedrock as 150 feet. The contaminants from the wastes spread to adjacent areas, including some wetlands known as Middle Marsh.

In 1984, the EPA placed the area, known as the Sullivan’s Ledge Site, on the National Priorities List. See 40 C.F.R. Pt. 300, App. B. It began its Remedial investigation and Feasibility Study of the two “operable units” on the Site: the entire Site save for the Middle Marsh (“first unit”) and the Middle Marsh (“second unit”). The EPA found significant hazardous substances in the groundwater, soils, and sediments of both units.

In June 1989 EPA issued its Record of Decision (“ROD I”) as to the first unit, calling for excavation of contaminated soils and sediments, construction of an impermeable cap over the disposal area, groundwater treatment and wetlands remediation. The government sued fourteen PRPs with respect to the first unit (the Acushnet Group), who settled. See United States v. Acushnet Co., Civ. No. 91-10706-K (D.Mass.). The district court entered a consent decree approving and finalizing the settlement (the “1991 Decree”).

Under the terms of the 1991 Decree, the Aeushnet Group paid $620,000 to the government for past costs incurred in connection with ROD I. The Group also agreed to perform the ROD I remedy, including the first thirty years of operation and maintenance, and to pay all of the EPA’s oversight costs for the first five years and half of its oversight costs through the thirtieth year.

On September 27, 1991, after completing its study of the contamination in the Middle Marsh wetlands area, the EPA issued its remedy for the second unit (“ROD II”). On April 26, 1993, the district court entered a consent decree approving the settlement between the government and fifteen PRPs (the Acushnet Group and the City of New Bedford). United States v. AVX Corp., Civ. No. 93-10104-K (D.Mass.) (the “1993 Decree”). The 1993 settlors agreed to perform the remedy set forth in ROD II and to pay half of the EPA’s oversight costs with respect to the second unit.

Charter was offered the opportunity to participate in the 1991 Decree but declined it, saying that the price tag was too high for what it believed its liability to be. The parties to both the 1991 and 1993 Decrees understood that the government had a larger total claim relating to the Site than the recovery it had obtained from the initial set-tlors and that the government planned to seek further recovery from parties who had not yet settled. That is exactly what the government did, bringing a series of lawsuits against non-settling PRPs, 1 including suit against Charter.

*514 Proceedings Against Charter

The government pursued Charter under a theory of successor liability for a company, Pacific Oil, which had dumped soot from oil burners into the Sullivan’s Ledge landfill. 2 In June 1992 the government initiated independent settlement negotiations with Charter. On December 2, 1993, the proposed consent decree was lodged in the district court and notice was published in the Federal Register. 3 58 Fed.Reg. 65,397 (Dec. 14, 1993). In response, the Aeushnet Group filed comments voicing its concern that the decree might be interpreted to afford Charter contribution protection against the claims of settlors in the 1991 and 1993 Decrees. Charter responded in turn, asserting that the prior settlors’ contribution claims against it were indeed impaired by the decree. In August 1994, the government made it clear to Charter that its position was that the decree did not grant Charter complete contribution protection against the claims of prior settlors and that it would press this interpretation with the court. Given their differing interpretations of the decree, the government offered to let Charter withdraw, but Charter declined.

On February 2, 1995, the government moved for entry of the Charter consent decree. It presented to the district court its position that the decree did not provide Charter with complete contribution protection against prior settlors. The district court consolidated the consent decree action and the contribution action filed by the Aeushnet Group against Charter for the limited purpose of conducting a hearing to determine the impact of the contribution protection issue on entry of the decree.

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83 F.3d 510, 26 Envtl. L. Rep. (Envtl. Law Inst.) 21321, 43 ERC (BNA) 1175, 1996 U.S. App. LEXIS 10847, Counsel Stack Legal Research, https://law.counselstack.com/opinion/united-states-v-charter-international-oil-company-acushnet-company-ca1-1996.