Professional Documents
Culture Documents
Trimble Appeals Court Ruling
Trimble Appeals Court Ruling
TO BE PUBLISHED
Commonwealth of Kentucky
Court of Appeals
NO. 2013-CA-001695-MR
LOUISVILLE GAS AND
ELECTRIC COMPANY
v.
APPELLANT
NO. 2013-CA-001742-MR
COMMONWEALTH OF KENTUCKY,
ENERGY AND ENVIRONMENT CABINET
v.
APPELLEES
APPELLANT
APPELLEES
OPINION
AFFIRMING
** ** ** ** **
BEFORE: MAZE, NICKELL, AND STUMBO, JUDGES.
STUMBO, JUDGE: These consolidated appeals concern the issuance of a permit
by the Kentucky Energy and Environment Cabinet (hereinafter, the Cabinet)
regulating the handling of wastewater from the air pollution control systems
employed at a Trimble County coal-burning facility operated by Louisville Gas
and Electric Company (LG&E). The Cabinet and LG&E appeal following the
Franklin Circuit Courts ruling reversing the Cabinets Secretary and finding in
favor of the Kentucky Waterways Alliance, the Sierra Club, Valley Watch, and
Save the Valley (collectively the Appellees). These environmental protection
organizations challenged the permit in question on the grounds that it violated the
Clean Water Act (hereinafter the Act).
We agree with the circuit court that the Cabinet failed to comply with
the Act in issuing the permit. In doing so, the Cabinet misapplied the law and
made at least one conclusion for which the record contains no substantial factual
support. Accordingly, we affirm the order of the Franklin Circuit Court.
Background
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I. Factual History
Since 1990, LG&E has operated a coal-fired electric powergenerating facility in Trimble County, Kentucky. In compliance with air pollution
regulations, LG&E employs flue gas desulphurization (FGD) systems, also
referred to as wet scrubbers, at its facility. These wet scrubbers create
wastewaters which contain pollutants removed from the flue gas. To limit the
pollutants in these wastewaters prior to discharge into the Ohio River, LG&E
employs a process known as surface impoundment, during which wastewaters
from the wet scrubbers are retained in a Gypsum Storage Basin where pollutants,
through the force of gravity, settle to the bottom.
Under the Act, LG&E must seek and receive a permit to discharge its
wastewaters into the Ohio River. The Cabinet, along with its Department of Water
(DOW), is the Kentucky agency to which the Environmental Protection Agency
(EPA) has delegated its permitting authority under the Act. LG&E submitted an
application for the renewal of its permit to the DOW on April 9, 2007. Consistent
with permitting procedure, the DOW submitted a proposed permit for the Trimble
County facility to the EPA for its review prior to issuance. Following no objection
to the proposed permit from the EPA, and after a notice and comment period and
public hearing, the DOW issued LG&E a permit on April 1, 2010. The permit
limited the levels of pH, oil, grease, and total suspended solids (TSS) that could be
discharged in the wastewaters of LG&Es two units. However, the permit did not
place a limit on certain toxic pollutants, including arsenic, mercury, and selenium,
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which are toxic heavy metals found in wet scrubber wastewater; nor did the permit
require LG&E to employ treatment methods other than surface impoundment
which could limit or eliminate the discharge of such pollutants.
Two months after the DOW issued LG&Es permit, the EPAs Office
of Wastewater Management issued a memorandum written by James Hanlon
(hereinafter referred to as the Hanlon Memo). The Hanlon Memo discussed
pending changes in national technology-based standards for the treatment of FGD
wastewaters and provided guidance for agencies issuing permits ahead of those
changes. Specifically, the Hanlon Memo directed state permitting authorities to
employ a case-by-case review of the necessity for alternative methods of limiting
or eliminating the discharge of toxic pollutants. The memo expressly stated that its
directive was to be applied to new permits issued between June 7, 2010, and the
effective date of the proposed changes to national standards.
II. Procedural History
Soon after the DOW issued the permit for LG&Es Trimble County
facility, the Appellees challenged issuance of the permit. The Appellees disputed
the permit on several grounds, including that the DOW was required, but failed, to
conduct a case-by-case or best professional judgment analysis concerning the
imposition of technology-based limits on LG&Es discharge of toxic pollutants
like arsenic, mercury, and selenium.1
1
Toxic pollutants such as these heavy metals prove largely unresponsive under the surface
impoundment method because they do not exist as particulates which would settle to the bottom
of a coal ash pond. Rather, these pollutants dissolve and remain in wastewater which is
eventually discharged. See Effluent Limitations Guidelines and Standards for the Steam Power
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Circuit Court, the appropriate venue pursuant to KRS2 224.10-470. The Franklin
Circuit Court (hereinafter referred to as the circuit court) subsequently denied
LG&Es and the Cabinets renewed motions regarding jurisdiction.
The case proceeded on the merits, and on September 10, 2013, the
circuit court entered an order reversing the order of the Cabinets Secretary and
remanding the matter to the Cabinet for further consideration. The circuit court
Generating Point Source Category, Volume 78 of the Federal Register (Fed. Reg.) at page 34,432
(proposed June 7, 2013) (to be codified at Title 40 of the Code of Federal Regulations (C.F.R.)
part 423).
2
Kentucky Revised Statutes.
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agreed with Appellees that the language of the Act and the lack of a nationwide
limit on the discharge of certain toxic pollutants in FGD wastewater required the
Cabinet to conduct a case-by-case, best professional judgment analysis prior to
issuing LG&Es permit. The circuit court held that the hearing officers
conclusion to the contrary was arbitrary. Additionally, the circuit court found that
the record did not support the hearing officers conclusion that, notwithstanding
whether it was required to do so, the Cabinet properly conducted a case-by-case,
best professional judgment review. LG&E and the Cabinet now appeal from this
order and the order denying their motions to dismiss on jurisdictional grounds.
Standard of Review
Like the circuit court, which acted in its appellate capacity, we are
reviewing a decision of an administrative agency. Hence, our role is not to
reinterpret or reconsider the merits of the parties claims. Kentucky Unemployment
Ins. Commn v. King, 657 S.W.2d 250, 251 (Ky. App. 1983). Rather, we will only
overturn an agencys decision if the agency acted arbitrarily or outside the scope of
its authority, applied an incorrect rule of law, or if the decision was unsupported by
substantial evidence in the record. Lindall v. Kentucky Retirement Systems, 112
S.W.3d 391, 394 (Ky. App. 2003), citing Kentucky State Racing Commn v. Fuller,
481 S.W.2d 298 (Ky. 1972).
Upon concluding that the record supported the agencys decision, we
must also determine whether the agency applied the correct rule of law. While we
do so de novo, we remember that [a]gencies are entitled to great deference in
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interpreting their own statutes and regulations, at least where those interpretations
do not contravene the law. Morgan v. Natural Resources and Environmental
Protection Cabinet, 6 S.W.3d 833, 842 (Ky. App. 1999).
Analysis
I. Jurisdiction and Venue
On appeal, the Cabinet and LG&E raise what they deem to be a
jurisdictional issue. As such, we discuss that issue first.
Arguing that the circuit court wrongfully denied their respective
motions to dismiss on the same grounds, the Cabinet and LG&E contend that the
Trimble Circuit Court lacked subject matter jurisdiction over the Appellees initial
action; and as a result, all future orders from both the Trimble and Franklin Circuit
Courts, were void ab initio. As we disagree with the characterization of this issue
as one of jurisdiction, we conclude that the Trimble Circuit Court properly
transferred the case and that the Franklin Circuit Court properly heard the matters
in controversy.
For their jurisdictional claims, the Cabinet and LG&E primarily rely
upon KRS 224.10-470(1), the pertinent part of which states, [a]ppeals may be
taken from all final orders of the Energy and Environment Cabinet. Except as
provided in subsection (3) of this section, the appeal shall be taken to the Franklin
Circuit Court within thirty (30) days from entry of the final order. However, as
our Supreme Court has said, there are fundamental distinctions between the
concepts of jurisdiction and venue, the former relating to the power of courts to
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adjudicate and the latter relating to the proper place for the claim to be heard[.]
Dollar General Stores, Ltd. v. Smith, 237 S.W.3d 162, 166 (Ky. 2007). Section
109 of Kentuckys Constitution assures that Kentucky has a unitary court system.
[C]onstitutionally speaking, Kentucky has but one circuit court[;] and all
circuit judges are members of that court and enjoy equal capacity to act throughout
the state. Commonwealth, ex rel. Conway v. Thompson, 300 S.W.3d 152, 162163 (Ky. 2009), quoting Baze v. Commonwealth, 276 S.W.3d 761, 767 (Ky. 2008).
Hence, subject matter jurisdiction was not an issue in this case.
Rather, KRS 224.10-270(1) concerns the proper place for an appeal,
and we interpret the issue raised in this case as one merely of improper venue.
This invokes KRS 452.105, which reads, [i]n civil actions, when the judge of the
court in which the case was filed determines that the court lacks venue to try the
case due to an improper venue, the judge, upon motion of a party, shall transfer the
case to the court with the proper venue. In applying this statute, the Supreme
Court has stated that where venue is improper, the remedy is transfer rather than
dismissal. Dollar General, 237 S.W.3d at 166.
Transfer of the case to Franklin County was appropriate. The Trimble
Circuit Court did exactly as KRS 452.105 and the above authority directed it to do
in transferring, rather than dismissing, the case from the improper venue of
Trimble County to the proper venue of Franklin County. On this basis, the circuit
court properly denied the Cabinets and LG&Es respective motions to dismiss,
and we proceed to the more substantive issues they each raise on appeal.
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aspects or activities are subject to regulation on a caseby-case basis in order to carry out the provisions of the
Act.
Id. The same regulation goes on to state that,
In setting case-by-case limitations pursuant to 125.3(c),
the permit writer must consider the following factors:
.
(3) For BAT requirements:
(i) The age of equipment and facilities involved;
(ii) The process employed;
(iii) The engineering aspects of the application of various
types of control techniques;
(iv) Process changes;
(v) The cost of achieving such effluent reduction; and
(vi) Non-water quality environmental impact (including
energy requirements).
40 C.F.R. 125.3(d). In Kentucky, the Cabinet issues permits like the one in this
case through its Kentucky Pollutant Discharge Elimination System (KPDES)
program which adheres to and adopts the provisions of the Act and related federal
regulations. See 33 U.S.C. 1342(b); 401 K.A.R.4 5:065; 401 K.A.R. 5:080.
At the time the Cabinet issued its permit to LG&E, the EPAs most
recent ELG regulating low volume waste5 from wet scrubbers had been
promulgated in 1982.6 For a new source, which LG&Es facility was under the
Act, the 1982 ELG established performance standards and limits on the levels of
4
Low volume waste sources are specifically defined to include wastewaters from wet
scrubber air pollution control systems[.] 40 C.F.R. 423.11(b).
6
The EPA has since proposed a new ELG. See Effluent Limitations Guidelines and Standards
for the Steam Power Generating Point Source Category, 78 Fed. Reg. 34,432 (proposed June 7,
2013) (to be codified at 40 C.F.R. pt. 423).
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pH, TSS, oil, and grease in discharged wastewater. 40 C.F.R. 423.15. The 1982
ELG did not set effluent limits for arsenic, mercury, or selenium. Rather, the
EPAs final rule stated that thirty-four toxic pollutants, including these three
metals, were excluded from national regulation because they are present in
amounts too small to be effectively reduced by technologies known to the
Administrator. Order Approving Proposed Changes to Effluent Limitations
Guidelines for the Steam Electric Power Generating Point Source Category, 47
Fed. Reg. 52,290, 52,303 (Nov. 19, 1982) (codified at 40 C.F.R. pts. 125 and 423).
B. Applicability of the 1982 ELG to LG&Es Operations
Based upon the 1982 ELGs exclusion of certain toxic pollutants, the
Appellees contend, and the circuit court agreed, that the 1982 ELG did not apply to
the toxic pollutants their petition specifically concerned. Therefore, Appellees
argue, and the trial court concluded, that prior to issuing a permit, the DOW was
required under 40 C.F.R. 125.3(c), to undergo a case-by-case, best professional
judgment analysis concerning LG&Es wastewater treatment technology. LG&E
and the Cabinet counter that an ELG concerning the low volume waste category
sufficiently addressed the treatment of wet scrubber wastewater, and that the
Cabinet correctly applied that ELG consistent with 40 C.F.R. 125.3(c)(1).
It is uncontested among the parties that a case-by-case, best
professional judgment analysis is not required under the Act when a nationwide
ELG sets limits for a category of dischargers. The issue at hand is whether the
1982 ELG, in briefly discussing but ultimately excluding arsenic, mercury, and
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selenium, et al. from regulation, sufficiently established an effluent limit the DOW
was merely required to apply pursuant to 40 C.F.R. 125.3(c)(1); or whether the
exclusion of those metals required the DOW to undertake a case-by-case analysis
under subsections (c)(2) or (c)(3) of the same regulation.
In reversing and remanding the order of the Cabinets Secretary, the
circuit court ruled the hearing officer erred when he relied upon the EPA Permit
Writers Manual, which instructs that [best professional judgment]-based limits
are not required for pollutants that were considered by EPA for regulation under
the effluent guidelines, but for which EPA determined that no ELG was
necessary. The circuit court based its conclusion primarily upon the language of
the 1982 ELG: [T]oxic pollutants are excluded from national regulation because
they are present in amounts too small to be effectively reduced by technologies
known to the Administrator. 47 Fed. Reg. 52,290, 52,303 (Nov. 19, 1982)
(codified at 40 C.F.R. pts. 125 and 423). The circuit court reasoned that this
language indicates only that those pollutants named were undetectable to the
Administrator at that time, more than thirty years ago. (Emphasis in original).
We agree with LG&E and the Cabinet that this reading of the ELG is strained;
however, we agree with the circuit court that the hearing officer attached a
disproportionate amount of weight to the Permit Writers Manual.
The Cabinet improperly relied upon the 1996 Permit Writers Manual
as a basis for forgoing a review which would likely have required LG&E to update
clearly obsolete and ineffective pollution control technology. Such reliance is in
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clear contravention of the Acts purpose, which is to restore and maintain the
chemical, physical, and biological integrity of the Nations waters in part through
the development of technology necessary to eliminate the discharge of pollutants
into the navigable waters of the United States. 33 U.S.C. 1251(a). In
overriding this authoritative and clear legal intent, the Cabinets Secretary
committed reversible error.
The circuit court appropriately placed legal emphasis on the fact that,
in the present case, the 1982 ELG applied to the category of low volume waste,
but only applied to certain pollutants in that waste. The Act expressly instructs
that when this is the case, a case-by-case review is required in order to carry out
the provisions of the Act. 40 C.F.R. 125.3(c)(3). We agree with the circuit
court that this instruction is clear and it applies to the present situation.
The Cabinet and LG&E further argue that the language of 40 C.F.R.
125.3(c) rendered application of its three possible methods discretionary and not
mandatory. We cannot agree.
The regulation states that [t]echnology-based treatment requirements
may be imposed through one of the three methods we listed supra. 40 C.F.R.
125.3(c) (emphasis added). The Cabinet and LG&E read the term may to mean
that the Cabinet has the discretion to employ one of the three methods or none of
them. However, this reading of the regulation is untenable. Though inclusion of
the word may is indeed permissive, LG&E provides no alternative method the
Cabinet could have undertaken had it elected not to employ one of the three in the
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regulation. Reading the regulation to instruct the Cabinet to apply one of the three
methods or to employ no method at all is both strained and contrary to the purpose
of the Act to establish technology-based treatment requirements for the
abatement of pollutants. Rather, we agree with the circuit court that application of
the methods in 40 C.F.R. 125.3(c) was mandatory.
Having established that the Act required the Cabinet to conduct a
case-by-case, best professional judgment review, we turn to the question of
whether the record supported the hearing officers conclusion that the Cabinet did,
in fact, conduct such a review though it was not required to do so. We answer this
question in the negative.
As we state supra, when conducting a case-by-case, best professional
judgment review pursuant to 40 C.F.R. 125.3(c), a permitting authority shall
apply the following appropriate factors:
(3) For BAT requirements:
(i) The age of equipment and facilities involved;
(ii) The process employed;
(iii) The engineering aspects of the application of various
types of control techniques;
(iv) Process changes;
(v) The cost of achieving such effluent reduction; and
(vi) Non-water quality environmental impact (including
energy requirements).
40 C.F.R. 125.3(d). In addition, the permit writer shall consider: (i) The
appropriate technology for the category or class of point sources of which the
applicant is a member, based upon all available information; and (ii) Any unique
factors relating to the applicant. 40 C.F.R. 125.3(c)(2).
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LG&E cites to Catskill Mountains Chap. Of Trout Unltd., Inc. v. City of New York, 451 F.3d 77
(2d Cir. 2006).
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effluent limitation guideline and its promulgation reveals this not to be the case and this subsection to be inapplicable.
In promulgating the 1982 effluent limitation guideline, the EPA
clearly evaluated whether the discharge of toxics like arsenic, mercury, and
selenium should be, or could be, limited with then-existing technology. The EPA
eventually concluded that such materials must be excluded from national
regulation because they are present in amounts too small to be effectively reduced
by technologies known to the Administrator. Order Approving Proposed Changes
to Effluent Limitations Guidelines for the Steam Electric Power Generating Point
Source Category, 47 Fed. Reg. 52,290, 52,303 (Nov. 19, 1982) (codified at 40
C.F.R. pts. 125 and 423). The circuit court reasoned that this language indicates
only that those pollutants named were undetectable to the Administrator at that
time[.] This reasoning was flawed.
The circuit courts conclusion seemingly equated the terms present in
amounts too small to be effectively reduced and undetectable. With all due
respect to the circuit court, these terms are not equivalent. The effluent limitation
guideline did not state that the EPA did not know whether flue gas
desulpherization wastewater contained the excluded pollutants, or that the
technology of 1982 could not detect them. Rather, the plain language of the
1982 effluent limitation guideline demonstrates that, consistent with the
technology-based considerations which are emphasized throughout the Act, the
EPA evaluated the technology capable of reducing or eliminating the discharge of
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known toxic pollutants such as arsenic, mercury, and selenium; and it concluded
that such technology did not then exist. In other words, the EPA considered
whether to regulate the excluded toxic pollutants it knew existed in wet scrubber
wastewater, but elected not to do so.
That the EPA considered whether to regulate these toxic pollutants
is important because it has since instructed state permit writers that a case-by-case,
best professional judgment review is unnecessary under such circumstances.
While my colleagues are correct that such a directive is nonbinding upon this, or
any, court, I believe, as the Cabinet asserted at oral argument, that it can and
should inform our analysis. At the very least, this directive constitutes the EPAs
and the Cabinets interpretation of their own regulations an interpretation to
which we must show deference. See Summit Petroleum Corp. v. U.S. E.P.A., 690
F.3d 733, 746 (6th Cir. 2012); Delta Air Lines, Inc. v. Commonwealth, Revenue
Cabinet, 689 S.W.2d 14 (Ky. 1985).
In affirming the circuit court, my colleagues reference the Cabinets
improper reliance upon the 1996 Permit Writers Manual; however, it must be
pointed out that the circuit court relied just as much upon a document of arguably
less import the Hanlon Memo. As even the Appellees concede, this document
was released after the issuance of LG&Es permit and expressly intended to have
only prospective effect. For these reasons, the majority is correct not to rely on the
Hanlon Memo. However, I would be remiss if I did not point out that though the
Hanlon Memo is helpful to the goal of possibly achieving stopgap limits on toxic
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substances, it nonetheless could have no bearing on the drafting of this permit; and
the circuit courts reliance upon it was therefore misplaced.
The Cabinet was correct to apply the 1982 effluent limitation
guideline pursuant to 40 C.F.R. 125.3(c)(1) instead of employing a case-by-case
analysis under the other subsections of the same regulation. The 1982 effluent
limitation guideline was neither inapplicable nor did it only apply to certain
aspects or to certain pollutants involved in LG&Es operation. Effluent
limitation guidelines are to be applied to dischargers by category or subcategory
and the 1982 effluent limitation guideline, which expressly applied to low volume
waste including flue gas desulpherization wastewater, is no exception. Hence, the
1982 effluent limitation guideline applied to those pollutants found in flue gas
desulpherization wastewater which technology could limit; and it applied to those
pollutants which the EPA considered for regulation but ultimately excluded
because technology could not effectively limit them. Despite the circuit courts
understandable frustration at the EPAs three decades of inaction in failing to
advance technology-based limits on toxic substances, the Cabinet was not required
to employ a case-by-case analysis under 40 C.F.R. 125.3(c)(2) or (3) when an
effluent limitation applicable to LGEs low volume waste existed. I must insist
that my colleagues conclusion to the contrary is in contravention of the regulatory
scheme present in the Act which is essential to the Clean Water Acts clear goal of
national uniformity in application of its provisions.
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