United States v. Chevron U.S.A. Inc.

380 F. Supp. 2d 1104, 61 ERC (BNA) 1616, 2005 U.S. Dist. LEXIS 13291, 2005 WL 1579798
CourtDistrict Court, N.D. California
DecidedJune 24, 2005
DocketC 03-4650CRB
StatusPublished
Cited by18 cases

This text of 380 F. Supp. 2d 1104 (United States v. Chevron U.S.A. Inc.) is published on Counsel Stack Legal Research, covering District Court, N.D. California primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
United States v. Chevron U.S.A. Inc., 380 F. Supp. 2d 1104, 61 ERC (BNA) 1616, 2005 U.S. Dist. LEXIS 13291, 2005 WL 1579798 (N.D. Cal. 2005).

Opinion

MEMORANDUM AND ORDER ENTERING CONSENT DECREE

BREYER, District Judge.

The United States filed this action alleging violations of various environmental laws by defendant Chevron. Now before the Court is the motion to enter the proposed Consent Decree (“Decree”) settling the matter. After carefully considering the positions of all parties and amici, the Court hereby GRANTS' the motion.

BACKGROUND

A. The Petroleum Refinery Initiative

The government’s approach to this settlement can only be understood in the context of EPA’s broader Petroleum Refinery Initiative (“PRI”), which in addition to the Consent Decree before this Court has produced numerous settlements with oil refineries across the nation. Beginning in 1996, EPA identified the need to address widespread environmental law compliance problems in the petroleum refining industry through a nationwide strategy. In developing the strategy, EPA states that the traditional method of enforcing environmental laws — through investigation, identification of violations, further investigation, and finally litigation and/or settlement — was viewed as costly and time-consuming. Therefore, alternative strategies were pursued. In developing such a strategy for petroleum refineries, EPA identified four areas of law that were seen as of the greatest concern: 1) New Source Review and Prevention of Significant Deterioration (“NSR/PSD”); 2) New Source Performance Standards (“NSPS”); 3) Leak Detection and Repair (“LDAR”); and 4) National Emissions Standards for Hazardous Air Pollutants for benzene (“benzene waste NESHAP”). EPA also focused on four types of refinery struc *1107 tures: fluidized catalytic cracking units (“FCCUs”), process heaters and boilers, flares, and sulfur recovery plants (“SRPs”).

Under the PRI, EPA identified refineries that were potentially out of compliance by using an industry publication, the Oil & Gas Journal, to determine which refineries had significantly expanded their capacities and were therefore most likely to have engaged in modifications triggering Clean Air Act review. Investigations conducted by EPA based on this and other strategies through early 2000 suggested that over 70% of the targeted refineries had significant non-compliance problems. EPA then identified seven companies seen to be the worst offenders and conducted further investigation of them. Chevron was not among that group, and therefore was not investigated.

EPA’s investigations of the targeted refineries identified significant levels of noncompliance in some refinery structures, and moderate levels in others. Specifically, EPA found widespread violations in refinery FCCUs, with as much as three in four units out of compliance. Second Foley Deck ¶ 50. Somewhat fewer heaters and boilers (less than one-third) were found in violation, although this was still seen as a significant problem requiring action. See id. ¶ 67. Similarly serious levels of non-compliance were also found in refinery sulfur recovery plants and flares. McCoy Decl. ¶¶ 15, 32.

EPA then commenced negotiations with refineries based on what they had learned. During the course of these negotiations, EPA developed a model template for in-junctive relief to provide guidance regarding the agency’s goals for PRI settlements while also creating consistency across settlements. The provisions of the template were selected based on EPA’s understanding of the scope of compliance problems in the industry and list which pollution control strategies EPA aspires to mandate in consent decrees negotiated under the PRI. Because the template was ■ developed through actual negotiations, EPA feels that it strikes the appropriate balance between remedying the perceived scope of non-compliance in the industry and applying settlement criteria that are economically and technologically feasible for the refineries.

B. The Chevron Settlement

During an inspection in 1999 EPA Region 8 identified probable and significant non-compliance with benzene waste NESHAP at Chevron’s Salt Lake City refinery. Based on this data alone, EPA initiated settlement negotiations with Chevron pursuant to'the PRI model template. At the beginning of the negotiations, EPA told Chevron that it would not engage in any further investigation if it was satisfied that Chevron was pursuing settlement in good faith.’ Apparently satisfied with Chevron’s cooperation, EPA conducted no further investigation.

Chevron agreed to engage in global settlement negotiations, in December 2001 and the parties began discussions in March 2002. The negotiators sought to resolve Chevron’s potential liability at five refineries located in: Pascagoula, Mississippi; Richmond, California; El Segundo, California; Salt Lake City, Utah; and Kapolei, Hawaii. Joining in the negotiations were environmental agencies from the states of Hawaii, Mississippi, and Utah, as well as the Bay Area Air Quality Management District (“BAAQMD”). The South Coast Air Quality Management District (“SCAQMD”), which has jurisdiction over the El Segundo plant, did not participate.

The parties had differing positions on all of the Consent Decree’s key subject areas, including PSD/NSR requirements for each of the major refinery structures. See *1108 Mayo Decl. ¶ 23. The timing and method of air pollution reductions, as well as the baseline against which reductions would be measured were all in dispute. See id. The parties worked through all of the terms over the next several months and were able to circulate a draft Consent Decree by June 2003. Negotiations on the final issues continued throughout the summer and the final Decree was lodged before the Court on October 16, 2003, the same day that the United States filed the complaint in this case. The complaint sets forth general allegations of Clean Air Act violations, along with allegations of liability under CERCLA and EPCRA. All the state environmental agencies except SCAQMD later intervened in the case.

The final Consent Decree demonstrates that EPA made significant concessions from the goals it established in the PRI template. EPA found these concessions acceptable because they believed Chevron had a better compliance record than the refineries that were used to create the template. That assumption was based on several factors, chief among them the fact that Chevron had engaged in less capacity expansion in recent years than other refineries.

In November and December of 2003, lengthy and detailed comments mainly criticizing the Clean Air Act provisions of the Decree were submitted by SCAQMD and the amici to this action. The government provided detailed responses rejecting the critiques either as mistaken interpretations of the Decree or as unrealistic given that the Decree reflects a settlement of a still-disputed and not-yet-investigated case. No changes were made to the Consent Decree in response to the comments.

Amici, a group of environmental organizations, unions, and the law firm of Adams Broadwell Joseph & Cardozo have raised similar objections to the current motion to enter the Decree.

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380 F. Supp. 2d 1104, 61 ERC (BNA) 1616, 2005 U.S. Dist. LEXIS 13291, 2005 WL 1579798, Counsel Stack Legal Research, https://law.counselstack.com/opinion/united-states-v-chevron-usa-inc-cand-2005.