Western Wood Preservers Institute v. McHugh

292 F.R.D. 145, 86 Fed. R. Serv. 3d 464, 2013 WL 3791477, 2013 U.S. Dist. LEXIS 102186
CourtCourt of Appeals for the D.C. Circuit
DecidedJuly 22, 2013
DocketCivil Action No. 12-1253 (ESH)
StatusPublished
Cited by13 cases

This text of 292 F.R.D. 145 (Western Wood Preservers Institute v. McHugh) is published on Counsel Stack Legal Research, covering Court of Appeals for the D.C. Circuit primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Western Wood Preservers Institute v. McHugh, 292 F.R.D. 145, 86 Fed. R. Serv. 3d 464, 2013 WL 3791477, 2013 U.S. Dist. LEXIS 102186 (D.C. Cir. 2013).

Opinion

MEMORANDUM OPINION

ELLEN SEGAL HUVELLE, District Judge.

Plaintiffs Western Wood Preservers Institute, Treated Wood Council, Southern Pressure Treaters’ Association, Creosote Council, and Railway Tie Association (“plaintiffs”) sued John M. McHugh in his official capacity as the Secretary of the Army, the United States Army Corps of Engineers, and Rebecca Blank in her official capacity as Acting Secretary of Commerce (“defendants” or “Corps”). Plaintiffs challenged the Corps’ approval of two regional conditions to nationwide permits under the Clean Water Act, as well as the issuance of certain operating procedures for activities that are regulated by that Act.

On February 27, 2013, this Court held that plaintiffs lacked standing to bring their claims, and further dismissed certain of plaintiffs’ claims for failure to state a claim under Rule 12(b)(6). See Western Wood Preservers Inst. v. McHugh, No. 12-cv-1253, 925 F.Supp.2d 63, 2013 WL 692789 (D.D.C. Feb. 27, 2013) (“WWPI /”). Plaintiffs have now moved for leave to file a Third Amended Complaint, or, in the alternative, for reconsideration of this Court’s earlier ruling. (Mar. 20, 2013 [ECF No. 20] (“Mot.”).) For the reasons stated below, plaintiffs’ motion [147]*147for reconsideration is granted in part and denied in part, and their motion for leave to amend is denied.

BACKGROUND

The factual background of this case was laid out in this Court’s initial ruling. See WWPI I, 925 F.Supp.2d at 67-69.

In that ruling, the Court granted defendants’ motion to dismiss plaintiffs’ complaint for lack of standing under Rule 12(b)(1) and for failure to state a claim under Rule 12(b)(6). See id. With respect to standing, the Court first found that plaintiffs could not establish assoeiational standing because they had not identified a single member firm that had suffered the alleged economic harm. Id., at 69-70. The Court further concluded that the associations themselves had not sufficiently alleged any environmental or procedural harm and did not have prudential standing to sue under the National Environmental Policy Act. Id., at 72-74. Finally, the Court held that plaintiffs had failed to state a claim under the Regulatory Flexibility Act (“RFA”) and the Endangered Species Act (“ESA”). Id., at 72-73.

Plaintiffs now seek leave to file a Third Amended Complaint with two additional plaintiffs, both members of organizational plaintiff Western Wood Preservers Institute. (See Mot. at 1-2.) They also seek reconsideration of the Court’s Rule 12(b)(6) dismissal of their claims under the RFA and ESA, but do not challenge the dismissal of their claims under the NEPA for lack of prudential standing. (See id., at 72-73 & n. 1.)

ANALYSIS

I. STANDING

A. Leave to Amend

Plaintiffs seek leave to amend their complaint under Rule 15(a), which provides that leave to amend should be freely given “when justice so requires.” Fed.R.Civ.P. 15(a)(2). Defendants, however, insist that the Court’s order granting their motion to dismiss amounted to an entry of final judgment, such that plaintiffs must meet the standard under Rule 59(e) for a motion to reconsider. (See Opposition to Plaintiffs’ Motion for Leave to File Third Amended Complaint, May 1, 2013 [ECF No. 23] (“Opp’n”) at 1-2, 4-5.) Reconsideration under Rule 59(e) is a “more stringent standard,” under which leave to amend “need not be granted unless the district court finds that there is an ‘intervening change of controlling law, the availability of new evidence, or the need to correct a clear error or prevent manifest injustice.’ ” Firestone v. Firestone, 76 F.3d 1205, 1208 (D.C.Cir.1996) (quoting Nat’l Trust v. Dep’t of State, 834 F.Supp. 453, 455 (D.D.C.1993)).

Defendants are correct that plaintiffs must meet the higher standard of Rule 59(e) in this instance. It is well established that “[w]here a district court is presented with a motion for leave to amend following a dismissal, the court considers the motion for leave to amend only after consideration of a party’s motion to amend or alter the dismissal.” DeGeorge v. United States, 521 F.Supp.2d 35, 40-41 (D.D.C.2007) (citing Niedermeier v. Office of Max S. Baucus, 153 F.Supp.2d 23, 27 (D.D.C.2001)). Indeed, as done here, the DeGeorge Court applied that rule notwithstanding the fact that it had previously dismissed the plaintiffs ease without prejudice. See Order, DeGeorge v. United States, No. 04-1605, 2007 WL 618091 (D.D.C. Jan. 3, 2007), ECF No. 42. As in DeGeorge, after this Court’s February 27, 2013 Order granting defendants’ motion to dismiss, there were no remaining claims pending against defendants. Thus, the Court may only consider plaintiffs’ motion for leave to amend if it first grants plaintiffs’ motion for reconsideration.

Because, for the reasons stated below, the Court declines to reconsider its dismissal of plaintiffs’ complaint, it need not address the merits of plaintiffs’ motion for leave to amend.

B. Reconsideration

In the alternative to their motion for leave to amend, plaintiffs seek reconsideration of this Court’s ruling that they failed to establish assoeiational standing. (See Mot. at 9-14.) Specifically, plaintiffs claim that this Court’s requirement that they identify [148]*148specific member firms that have suffered the alleged harm is “plainly contrary to controlling D.C. Circuit and Supreme Court precedent.” (Mat 9.)

Plaintiffs argue that two of the cases on which defendants and this Court relied are inapposite because they are direct appeals from administrative decisions and therefore “ha[ve] no relevance to a civil action in district court initiated by the filing of a complaint.” (Id. at 10.) However, the mere fact that those eases arose in a different context than this one does not mandate a contrary outcome in this case.

Nor do the other cases plaintiffs cite render this Court’s ruling “clearly erroneous.” In their motion, plaintiffs point to several instances where courts found it unnecessary for a plaintiff to identify specific member firms to support associational standing at the motion to dismiss stage. (See Mot. at 12-13.) As an initial matter, none of the cases cited bind this Court. Moreover, there are plenty of contrary examples from other courts across the country. See, e.g., Nationwide Ins. Indep. Contractors Ass’n, Inc. v. Nationwide Mut. Ins. Co., No. 12-2549, 518 Fed.Appx. 58, 63, 2013 WL 1875397, at *4 (3d Cir. May 3, 2013) (affirming dismissal of complaint because “[i]n order to satisfy the first Hunt prong, associations must present ‘at least one identified member’ who has suffered a specified harm”); Nat’l Alliance for Accessibility, Inc. v. Belk, Inc., No. 12-386, 2013 WL 1614672, at *4 (E.D.N.C. Apr. 15, 2013) (granting motion to dismiss because, “[h]aving concluded that Payne does not have standing, and plaintiffs having specifically identified no other members of the organization with standing to sue, National Alliance cannot assert associational standing”); Coal. for ICANN Transparency Inc. v. VeriSign, Inc.,

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292 F.R.D. 145, 86 Fed. R. Serv. 3d 464, 2013 WL 3791477, 2013 U.S. Dist. LEXIS 102186, Counsel Stack Legal Research, https://law.counselstack.com/opinion/western-wood-preservers-institute-v-mchugh-cadc-2013.