Summary
In Hardesty, the court held that a cease-and-desist order almost identical to the compliance order at issue in Sackett provided standing for the plaintiffs to pursue a Fifth Amendment Due Process claim.
Summary of this case from Ace Black Ranches, Llp v. United States Envtl. Prot. AgencyOpinion
Civ. No. S-10-2414 KJM JFM
03-29-2012
ORDER
This case was on calendar on June 8, 2011 for a hearing on motions to dismiss filed by defendants Sacramento Metropolitan Air Quality Management District and David Grose (SMAQMD defendants); Sacramento County and Robert Sherry (County defendants); State of California, acting by and through California State Mining and Geology Board (SMGB), Office of Mine Reclamation (OMR), Department of Fish and Game (DFG), James Goldstene, Dennis O'Bryant, Gay Norris, Steve Testa, and Elizabeth Gregory (referred to generally as "state defendants" or named individually); and Zachary Simmons. The SMAQMD, state and county defendants argue that the complaint fails to state a claim under Rule 12(b)(6); Simmons argues that the court lacks subject matter jurisdiction under Rule 12(b)(1) and that the complaint fails to state a claim under 12(b)(6).
Plaintiffs' motion for leave to file an amended complaint and a motion for sanctions filed by the SMAQMD defendants also are pending.
As explained below, plaintiffs' motion to file an amended complaint is granted. The SMAQMD defendants' motion to stay is granted. The state, federal and county defendants' motions to dismiss are granted in part, and the SMAQMD motion for sanctions is denied. I. The Impact Of The Motion To Amend
Both plaintiffs' original and their proposed amended complaints describe a series of actions taken against plaintiffs, who operate a gravel mining operation in Sacramento County and who allege that their ability to continue their mining operations has been disrupted by a series of actions taken by defendants after A. Teichert & Sons, one of plaintiffs' main competitors, contacted the agencies to ask them to regulate plaintiffs and thus drive their prices up.
The original complaint contains seven claims: (1) a violation of the Clean Air Act against the SMAQMD defendants, Sacramento County, and James Goldstene; (2) a civil rights claim, alleging violations of the Fourteenth Amendment and Supremacy Clause against the SMAQMD defendants, Sacramento County and James Goldstene; (3) a civil rights claim alleging violations of the Fifth and Fourteenth Amendments against OMR, Norris and O'Bryant; (4) a civil rights claim alleging due process violations against SMGB and Testa; (5) a Bivens claim alleging violations of the Fourth and Fifth Amendments against Simmons; (6) a civil rights claim alleging a Fourth Amendment violation against Gregory and DFG; and (7) a civil rights claim alleging violations of the Fifth and Fourteenth Amendments against the county defendants. ECF No. 2.
Plaintiffs describe various of their claims as "actions."
The proposed amended complaint drops as defendants the State of California, DFG, SMGB, OMR and Goldstene, but seeks to add as defendants Cindy Storelli, in her official and individual capacity as a senior planner for Sacramento County; Leighann Moffitt in her official and individual capacity as Interim Planning Manager for Sacramento County; Bret Koehler in his official and individual capacity as Senior Engineering Geologist of the OMR; Michael Jewell; and Curt Taras in his individual and official capacity as Chief of the Encroachment Control and Land Use Section of the Central Valley Flood Protection Board. This complaint also contains seven claims: (1) a civil rights claim, alleging violations of the Due Process, Equal Protection and Supremacy Clauses against the SMAQMD defendants; (2) a civil rights claim, alleging a due process violation against defendants Koehler, Norris, Testa and O'Bryant; (3) a Bivens claim based on a due process violation against defendants Jewell and Simmons and on the Fourth Amendment against Simmons; (4) a civil rights claim, based on the Fourth Amendment, against defendant Gregory; (5) a civil rights claim, alleging a due process violation against defendant Taras; (6) a civil rights action, based on due process and equal protection violations against Sacramento County and defendant Sherry; and (7) a civil rights claim, alleging a due process and equal protection violation against the County and defendants Storelli and Moffitt. ECF No. 42-1 (FAC).
Defendants Sacramento County, Storelli, Moffit and Sherry argue that the amendment should not be permitted because the complaint fails to state a cause of action against them. ECF No. 48. The state defendants argue that the motion to amend was not timely filed so as to be heard on the court's June 8 calendar. ECF No. 43. They also argue plaintiffs filed the request too late, namely seventy-two days after the state defendants filed their motion to dismiss. ECF No. 43 at 4. Plaintiffs respond that the motion was timely filed, that the defendants will not be prejudiced by amendment, and that their request should be granted because defendants did not meet and confer before they filed the motions to dismiss. Defendants Simmons and Jewell argue that the amendment would be futile because the amended complaint does not state a claim against them. ECF No. 44.
A properly filed amended complaint supersedes the original complaint and constitutes a waiver of those claims in the original complaint that are not included in the amended complaint. As a result, when an amended complaint is filed while a motion to dismiss is pending, it generally moots the motion to dismiss. Ferdik v. Bonzelet, 963 F.2d 1258, 1262 (9th Cir. 1992) (amended pleading supersedes the original pleading); Sechrest v. Ignacio, 549 F.3d 789, 804 (9th Cir. 2008), cert. denied sub nom., McDaniel v. Sechrest, __ U.S. __, 130 S. Ct. 243 (2009) (amendment of a complaint constitutes waiver of claims not carried over from previous versions of the complaint); Marty v. Wells Fargo Bank, 2011 WL 1103405, at *1 (E.D Cal. Mar. 22, 2011) (amendment moots motion to dismiss).
Under Federal Rule of Civil Procedure 15(a)(1)(B) and 15(a)(2), a party may amend a pleading as a matter of course within twenty-one days after serving it or, if the complaint is one to which a responsive pleading is required, within twenty-one days after the service of a motion under Rule 12(b). In this case, the state, county and SMAQMD defendants filed their motions to dismiss on February 28, 2011; the state defendants filed an amended motion to dismiss on May 6, 2011. Simmons filed his motion to dismiss on April 29, 2011. Plaintiffs filed their motion to amend on May 11, 2011.
Unless otherwise stated, all further references to a Rule are to the Federal Rules of Civil Procedure.
Although defendants have not raised Rule 15 directly, plaintiffs recognize its impact and argue that the amended complaint is timely, at least as to Simmons, because it was filed within twenty-one days of the filing of Simmons' motion to dismiss. ECF No. 56 at 5. There is little law on the question whether a motion to amend is timely as to all defendants if filed within twenty-one days of the filing of the last-filed motion to dismiss. See Barksdale v. King, 699 F.2d 744, 747 (5th Cir. 1983) (under prior version of Rule 15, plaintiff's right to amend complaint as to those who had not answered continued even after some defendants had answered); but see Lau v. Guam Dept. Of Education, 2011 WL 2531061, at *3 (D. Guam June 23, 2011) (under current version of Rule 15, plaintiff could not amend as matter of course when not within 21 days of first motion, though request was filed before second motion).
This court, however, need not reach whether the motion to amend is timely. As a practical matter and a matter of judicial economy, ignoring the amended complaint makes little sense, particularly when that proposed document does not include some of the claims under attack in the motion to dismiss. Ignoring the amended complaint also makes little sense in light of the Ninth Circuit's admonition that district courts should grant leave to amend when dismissing a case for failure to state a claim, "unless the court determines that the pleading could not possibly be cured by the allegations of other facts." Lopez v. Smith, 203 F.3d 1122, 1127 (9th Cir. 2000) (quoting Doe v. United States, 58 F.3d 494, 497 (9th Cir. 1995)). With the amended complaint on file, the court can better determine whether any deficiencies are curable.
Accordingly, in resolving the pending motions to dismiss, the court will consider the amended complaint, to the extent that it contains claims substantially similar to the original complaint. Also in light of that complaint, the court deems the original claim of a violation of the Clean Air Act and all claims against the State of California and the state agencies to have been waived, and grants the motion to dismiss as to that claim and those defendants. II. Standards For A Motion To Dismiss
Under Rule 12(b)(6) of the Federal Rules of Civil Procedure, a party may move to dismiss a complaint for "failure to state a claim upon which relief can be granted." A court may dismiss "based on the lack of cognizable legal theory or the absence of sufficient facts alleged under a cognizable legal theory." Balistreri v. Pacifica Police Dep't, 901 F.2d 696, 699 (9th Cir. 1990).
Although a complaint need contain only "a short and plain statement of the claim showing that the pleader is entitled to relief," FED. R. CIV. P. 8(a)(2), in order to survive a motion to dismiss this short and plain statement "must contain sufficient factual matter . . . to 'state a claim to relief that is plausible on its face.'" Ashcroft v. Iqbal, 556 U.S. 662, 129 S. Ct. 1937, 1949 (2009) (quoting Bell Atl. Corp. v. Twombly, 550 U.S. 544, 570 (2007)). A complaint must include something more than "an unadorned, the-defendant-unlawfully-harmed-me accusation" or "'labels and conclusions'" or "'a formulaic recitation of the elements of a cause of action.'" Id. at 1949 (quoting Twombly, 550 U.S. at 555). Determining whether a complaint will survive a motion to dismiss for failure to state a claim is a "context-specific task that requires the reviewing court to draw on its judicial experience and common sense." Id. at 1950. Ultimately, the inquiry focuses on the interplay between the factual allegations of the complaint and the dispositive issues of law in the action. See Hishon v. King & Spalding, 467 U.S. 69, 73 (1984).
In making this context-specific evaluation, this court must construe the complaint in the light most favorable to the plaintiff and accept as true the factual allegations of the complaint. Erickson v. Pardus, 551 U.S. 89, 93-94 (2007). This rule does not apply to "'a legal conclusion couched as a factual allegation,'" Papasan v. Allain, 478 U.S. 265, 286 (1986) (quoted in Twombly, 550 U.S. at 555), nor to "allegations that contradict matters properly subject to judicial notice" or to material attached to or incorporated by reference into the complaint. Sprewell v. Golden State Warriors, 266 F.3d 979, 988-89 (9th Cir. 2001). A court's consideration of documents attached to a complaint or incorporated by reference or matter of judicial notice will not convert a motion to dismiss into a motion for summary judgment. United States v. Ritchie, 342 F.3d 903, 907 (9th Cir. 2003); Parks School of Bus. v. Symington, 51 F.3d 1480, 1484 (9th Cir. 1995); compare Van Buskirk v. CNN, 284 F.3d 977, 980 (9th Cir. 2002) (noting that even though court may look beyond pleadings on motion to dismiss, generally court is limited to face of the complaint on 12(b)(6) motion). III. SMAQMD Defendants' Motion To Dismiss A. Allegations In Amended Complaint
In the FAC plaintiffs allege that in April 2009, SMAQMD issued a petition alleging that Hardesty Sand and Gravel (HSG) was operating equipment, specifically a generator and several engines, in violation of its Rule 201, despite the fact that regulation of the non- stationary engine is prohibited by state law and that regulation of other pieces of the equipment is preempted by the Clean Air Act (CAA), 42 U.S.C. §§7401, et seq. FAC, ECF No. 42-1 ¶¶ 57-58. Plaintiffs allege that SMAQMD's Rule 201 is in direct violation of several provisions of the CAA. Id. ¶¶ 61-62.
Plaintiffs further allege that at the hearing on the Order of Abatement, defendant Grose, an employee of SMAQMD relied on SMAQMD's policy about engines on single sites and fixed locations, which policy the hearing panel and later the Superior Court accepted and which is not applied to similarly situated people. FAC ¶¶ 63-64. SMAQMD's definition is an improper underground regulation, used to expand SMAQMD's jurisdiction from stationary engines to portable engines. Id. ¶65. Plaintiffs sought review of the Order of Abatement in the Superior Court, which upheld the abatement order. Id. ¶70. Thereafter, plaintiffs spent over $50,000 to apply for permits from SMAQMD, but defendant Grose denied the request, notifying them that any type of operation at the mine is a violation of various regulations, subject to penalties, as well as a violation of the abatement order. Id. ¶72. With these facts as a backdrop, plaintiffs allege that the SMAQMD defendants have deprived plaintiffs of their rights under the Supremacy Clause and the Due Process Clause, through their regulation of construction equipment operating with less than 175 horsepower and enforcement of that regulation, their declaring the mine to be a single site in violation of 40 CFR § 89.2, and issuing an order that plaintiffs cannot use equipment to load rock. Id. ¶ 95. In addition, defendants have violated plaintiffs' due process rights by designating the 3800 acre mine as a single site despite Environmental Protection Agency (EPA) rulings that this could not constitute a single site. Id. ¶96. Defendants have also violated plaintiffs' rights under the Supremacy and Due Process clauses by creating an emission standard, which requires plaintiffs to purchase a permit to undertake emissions in excess of two pounds per day. Id. ¶97. Finally, plaintiffs allege that defendants have violated their right to equal protection by defining the mine as a single site without using the same definition with similarly situated people. Id. ¶98. In the FAC, plaintiffs seek only damages, having dropped the claim for equitable relief contained in the original complaint. Compare ECF No. 42 ¶ 99 with ECF No. 2 ¶ 68.
This defendant is identified as "Gross" in some portions of the FAC and "Grose" in others.
This regulation defines engines for purposes of emission control.
B. Arguments For Dismissal
Citing Younger v. Harris, 401 U.S. 37 (1971), the SMAQMD defendants argue that the claims should be dismissed in light of pending state proceedings. They also rely on the abstention doctrine of Colorado River Water Conservation District v. United States, 424 U.S. 813 (1976), as an alternative basis for dismissal. Finally, they contend that the complaint fails to state a claim against them.
1. Request For Judicial Notice; Evidentiary Exhibits
The SMAQMD defendants ask the court to take judicial notice of a number of documents, including the letter denying permits, SMAQMD rules, the petition for an order of abatement, the Order of Abatement, plaintiffs' petition for a writ of mandate and related briefing filed in Sacramento County Superior Court, the Superior Court's ruling, and the notice of appeal. ECF Nos. 28 & 66. The state defendants have asked the court to take judicial notice of the decision of the Court of Appeal, Third Appellate District. ECF No. 66.
Plaintiffs oppose these requests on the ground that consideration of evidence outside the scope of the complaint or FAC and its attachments is not proper on a Rule 12(b)(6) motion to dismiss. ECF No. 49 at 6-7. Nevertheless, they attach several exhibits to their opposition, to which the SMAQMD defendants object. ECF No. 58-1.
Under Rule 201 of the Federal Rules of Evidence, a court may take judicial notice of an adjudicative fact which "must be one not subject to reasonable dispute in that it is either (1) generally known . . . (2) or capable of accurate and ready determination by resort to sources whose accuracy cannot reasonably be questioned." When appropriate, a court may take judicial notice of documents without converting a motion to dismiss into a motion for summary judgment. MGIC Indemnity Corporation v. Weisman, 803 F.2d 500, 504 (9th Cir. 1986). It is the proponent's burden to show that the facts contained in the documents are proper subjects of judicial notice. Hurd v. Garcia, 454 F.Supp.2d 1032, 1054-55 (S.D. Cal. 2006).
In addition, "a district court ruling on a motion to dismiss may consider a document the authenticity of which is not contested, and upon which the plaintiff's complaint necessarily relies." Parrino v. FHP, Inc., 146 F.3d 699, 706 (9th Cir. 1998), superseded by statute on other grounds as recognized in Abrego Abrego v. The Dow Chem. Co., 443 F.3d 676, 681 (9th Cir. 2006). The Ninth Circuit has explained that such reliance is permissible when "plaintiff's claim depends on the contents of a document" that is not attached to the complaint. Knievel v. ESPN, 393 F.3d 1068, 1076 (9th Cir. 2005); see also Swartz v. KPMG LLP, 476 F.3d 756, 763 (9th Cir. 2007) (in order to prevent a plaintiff from prevailing on a Rule 12(b)(6) motion by omitting documents underlying a claim, court may consider the document if its authenticity is not questioned). In this case, one of the documents covered by defendants' request is a letter from David Grose, dated August 19, 2010, which is quoted in the complaint ECF No. 28-3 at 2-3 (Ex. A); the court may consider this as incorporated by the complaint.
A court also may take judicial notice "'of proceedings in other courts, both within and without the federal judicial system, if those proceedings have a direct relation to the matters at issue.'" United States v. Black, 482 F.3d 1035, 1041 (9th Cir. 2007) (quoting United States ex. rel. Robinson Rancheria Citizens Council v. Borneo, Inc., 971 F.2d 244, 248 (9th Cir. 1992). Because the state court records have a "direct relation" to the issue of abstention, it is proper for this court to take judicial notice of them. Nevertheless, the court will not take judicial notice of any disputed facts in these records. Lee v. City of Los Angeles, 250 F.3d 668, 690 (9th Cir. 2001).
In addition, it is proper to take judicial notice of administrative rules and records of administrative agencies. Barron v. Reich, 13 F.3d 1370 (9th Cir. 1994) (handbook of Wage and Hour Division); Mack v. South Bay Beer Distributors, Inc., 798 F.2d 1279 (9th Cir. 1986), disapproved on other grounds by Astoria Federal Savings & Loan Ass'n v. Solimino, 501 U.S. 104 (1991) (administrative board decision); DCIPA, LLC v. Lucile Slater Packard Children's Hosp, __ F. Supp. 2d __, 2011 WL 5141505, at *3 (D. Or. Oct. 20, 2011) (administrative rules); Jensen v. County of Sonoma, 2008 WL 5048203, at *3 (N.D. Cal. Nov. 25, 2008) (administrative decision and order). Accordingly, the court overrules plaintiffs' objections and takes judicial notice of Exhibits B through K comprising the SMAQMD rules and documents relating to the proceedings on the petition for abatement, as well as the decision of the California Court of Appeal (ECF No. 66-1), and a letter dated November 5, 2009, denying plaintiffs' permit applications, which is the remainder of Ex. A.
Defendants object to plaintiffs' submission of some excerpts from the SMAQMD hearing, the decision of the California Air Resources Board (CARB) regarding some of their engines, and information from the CARB website addressing the definition of a site. ECF No. 49, Exs. 3-6. The court agrees that the discussion during the hearing and an administrative decision and information from another agency are not relevant to plaintiffs' claims here. Moreover, to the extent these materials are judicially noticeable, plaintiffs appear to be asking the court to rely on disputed facts in these materials, which the court cannot do.
2. Younger Abstention
Defendants argue that this case should be dismissed because of the pendency of the state action. Plaintiffs counter that they have dismissed the claim for equitable relief. They note they are proceeding only on claims for damages arising out of defendants' classifying their mine as a single site, which has prevented plaintiffs from operating their portable engines, and Grose's issuance of a cease and desist letter that essentially prevents them from conducting any operations at the mine. Plaintiffs agree these claims should be stayed pending resolution of the state proceedings.
In Younger v. Harris, 401 U.S. 37, 54 (1971), the Supreme Court recognized the "longstanding public policy against federal court interference with state court proceedings . . ." and reversed the District Court's enjoining of a prosecution against Harris for violations of California's criminal syndicalism statutes. Subsequent cases applying Younger have formulated a three-part test: a federal court should abstain from adjudicating a lawsuit if (1) there are pending state judicial proceedings, (2) the state proceedings implicate important state interests, and (3) the state proceedings provide an adequate opportunity to raise federal questions. Middlesex County Ethics Comm. v. Garden State Bar Ass'n, 457 U.S. 423, 432 (1982). The Ninth Circuit has identified "a vital and indispensable fourth element: the policies behind the Younger doctrine must be implicated by the actions requested of the district court." Amerisourcebergen Corp. v. Roden, 495 F.3d 1143, 1149 (9th Cir. 2007). Accordingly, "once the three Middlesex elements are satisfied, the court does not automatically abstain, but abstains only if there is a Younger-based reason to abstain-i.e., if the court's action would enjoin, or have the practical effect of enjoining, ongoing state court proceedings." Id. After determining whether Younger abstention is appropriate, the court must consider whether to dismiss or stay the federal action; generally a case seeking damages only should be stayed. Gilberston v. Albright, 350 F.3d 1030 (9th Cir. 2003); see Deakins v. Monaghan, 484 U.S. 193 (1988) (declining to decide whether dismissal is appropriate "when (but only when) a necessary predicate of the claim for damages undermines a necessary element in the pending state proceeding").
Defendants argue that any resolution of plaintiffs' claims will have a direct, disruptive impact on the state proceedings because this court's determination of the constitutional issue underlying the damage claim would essentially enjoin the state action and so dismissal of the damages action is appropriate. As the Ninth Circuit has observed, "mere potential for conflicting results is not 'interference'" within the meaning of Younger. Id. at 1129. The court accepts plaintiffs' concession that a stay of the second claim in the amended complaint against SMAQMD and Grose is appropriate.
The court thus declines to reach the SMAQD defendants' suggestion that suit against defendant Grose is barred because of his failure to seek administrative review after the issuance of the letter concerning permits. Defendants rely on Moore v. City of Asheville, 396 F.3d 385 (4th Cir. 2005), which held that Younger abstention principles applied when a street preacher could have, but did not, pursue administrative and judicial remedies. The court need not decide the limits of the holding in Moore as plaintiffs have conceded that a stay is proper.
IV. State Defendants' Motion To Dismiss
A. Allegations In Amended Complaint
As part of the FAC, plaintiffs have dropped claims against the state, the named agencies and claims against defendant Goldstene.
In September 2008, defendant Gregory, an employee of the DFG, accompanied by defendant Simmons, an employee of the Army Corps of Engineers (Corps), entered plaintiffs' mine without a warrant and inspected a dam on the southernmost creek, the processing facility, and the creek on the north east side of the processing facility. ECF No. 42-1 ¶ 36.
Plaintiffs also allege that as part of Teichert's campaign to drive plaintiffs out of business, State Senator Dave Cox sent a letter to the Secretary of California's Resources Agency in October 2008, asking for a review of plaintiffs' mining operations and consideration whether plaintiffs should be removed from a list of approved aggregate operators, eligible to sell to the state. ECF No. 42-1 ¶ 40.
Plaintiffs identify this as the AB 3098 list.
Even though inspectors from the DFG determined there were no violations at plaintiffs' mine, defendants Koehler, O'Bryant and Norris, all employees of the OMR, continued to investigate. Id. ¶ 45. In October or November 2008, Morris told several contractors not to buy from plaintiffs and threatened suit if they did. Id. ¶ 46, 55.
In February 2009, Koehler completed an inspection report identifying several purported violations by plaintiffs of the Surface Mining and Reclamation Act (SMARA), including an inadequate financial assurance undertaking, and other statutes. Id. ¶ 48. In March 2009, O'Bryant sent a memo to the Natural Resources Agency, identifying these violations along with several others. Id. ¶ 49. As a result, O'Bryant wrote to plaintiffs summarizing these findings and informing plaintiffs they were being removed from the AB 3098 list. Id. ¶ 51. O'Bryant did not provide prior notice or inform plaintiffs of any avenue to challenge the removal. Id. Plaintiffs' counsel wrote to Testa, requesting an appeal of the removal, but Testa replied there was no appeal procedure. Id. ¶53.
Plaintiffs allege that defendants Koehler, Norris, Testa and O'Bryant have violated plaintiffs' right to due process and equal protection by enforcing a policy that denies plaintiffs notice and a right to appeal their removal from the AB 3098 list. They also allege defendants Koehler, Testa and O'Bryant have violated plaintiffs' right to procedural due process by removing plaintiffs' business from the AB 3098 list. Id. ¶¶ 105-106. In addition, defendant Norris has violated plaintiffs' right to substantive due process by instructing truckers not to buy minerals from the plaintiffs. Id. Finally, these defendants have violated plaintiffs' right to equal protection by singling them out for removal from the AB 3098 list. Id. ¶108.
B. Arguments For Dismissal
1. Removal From The AB 3098 List And Due Process
Plaintiffs allege they were denied due process by their removal from what they call the AB 3098 list, without prior notice and opportunity for a hearing and without any post-deprivation remedies. Defendants argue that plaintiffs do not have any property interest in remaining on the list and so are not entitled to any procedural protections and that if there is a property interest, it is adequately protected by post-termination administrative and statutory procedures.
Under SMARA, every surface mining operation must have a permit or have a vested right to conduct surface mining, a reclamation plan, and financial assurances to implement the reclamation. CAL. PUB. RES. CODE §§ 2710 et seq.; Calvert v. County of Yuba, 145 Cal. App. 4th 613, 617 (2006). Satisfaction of these requirements is required before a mining operation may sell to state or local agencies. CAL. PUB. RES. CODE §§ 10295.5, 20676. Accordingly,
For purposes of ensuring compliance with Sections 10295.5 and 20676 of the Public Contract Code, the department shall, at a minimum, quarterly publish in the California Regulatory Notice Register, or otherwise make available upon request . . ., a list identifying all of the following:CAL. PUB. RES. CODE § 2717(b). Plaintiffs contend that because placement on the list is mandatory upon compliance with SMARA, this amounts to the conferral of a benefit that cannot be rescinded without due process.
(1) Surface mining operations for which a report is required and has been submitted pursuant to Section 2207 that indicates all of the following:
(A) The reclamation plan and financial assurances have been approved pursuant to this chapter.
(B) Compliance with state reclamation standards developed pursuant to Section 2773.
(C) Compliance with the financial assurance guidelines developed pursuant to Section 2773.1.
(D) The annual reporting fee has been submitted to the Department of Conservation.
The provisions prohibiting state purchase of minerals from a mine without a reclamation plan and financial assurances were added by Assembly Bill 3098 in the 1991-1992 California Legislative Session. 1992 Cal. Legis. Serv. Ch. 1077 (A.B. 3098).
The Due Process Clause of the Fourteenth Amendment forbids the state to deprive a person of property without due process of law. Carver v. Lehman, 558 F.3d 869, 872 (9th Cir.), cert. denied, 130 S. Ct. 466 (2009). There are two steps in the analysis of a due process claim: do plaintiffs have a protected property interest and, if so, did they receive all the process that was due them. Walls v. Central Contra Costa Transit Authority, 653 F.3d 963, 967-68 (9th Cir. 2011). Property interests are created by state law, but not every state statutory right thereby becomes a constitutional entitlement. Board of Regents v. Roth, 408 U.S. 564, 577 (1972); Paul v. Davis, 424 U.S. 693, 700 (1976); Vruno v. Schwarzwalder, 600 F.2d 124, 131(8th Cir. 1979) ("the due process clause does not convert every state statutory right into a constitutional entitlement"). Instead, "federal constitutional law determines whether that interest rises to the level of a 'legitimate claim of entitlement' protected by the Due Process Clause." San Bernardino Physicians' Services Medical Group v. County of San Bernardino, 825 F.2d 1404, 1408-09 (9th Cir. 1987) (quoting Memphis Light, Gas & Water Division v. Craft, 436 U.S. 1, 9 (1978) (quoting Roth, 408 U.S. at 577)).
To determine whether state law creates a property interest protected by due process, this court must examine "'the language of the statute and the extent to which the entitlement is couched in mandatory terms.'" Johnson v. Rancho Santiago Community College Dist., 623 F.3d 1011, 1030 (9th Cir. 2010), cert. denied sub nom. Bertalan v. Rancho Santiago
Community College Dist., ___ U.S. ___, 131 S.Ct. 2096 (2011) (quoting Wedges/Ledges of Cal., Inc. v. Phoenix, 24 F.3d 56, 62 (9th Cir. 1994), quoting Ass'n of Orange Co. Deputy Sheriffs v. Gates, 716 F.2d 733, 734 (9th Cir. 1983)).
Despite plaintiffs' claim that placement on the list is mandatory once a miner complies with SMARA's requirements, the statute does not support their claim. The statute uses the word "shall" to connote a mandatory duty only when referring to the Department of Conservation's obligation to publish a list of compliant miners, who are thereby eligible for state contracts. See Puerta v. Torres, 195 Cal. App. 4th 1267, 1272 (2011) (quoting Common Cause v. Board of Supervisors, 49 Cal. 3d 432, 443 (1989) (well settled principle of statutory construction that "shall" is ordinarily construed as mandatory); Firebaugh Canal Co. v. United States, 203 F.3d 568, 573-74 (9th Cir. 2000) (same). In addition, the fact that plaintiffs' business was placed on the list does not elevate their standing to an entitlement to remain on the list. Gerhart v. Lake County, Montana, 637 F.3d 1013, 1021 (9th Cir 2011), cert. denied, 132 S.Ct. 249 (2011) (past practice of granting a benefit insufficient to establish entitlement to the benefit). Nothing in the statute itself creates an entitlement to a place on the list that would trigger the protections of due process. The parties have not cited and the court has not found any California case law or other authority addressing any requirements for inclusion on the list. This court does not find any state-created property interest in inclusion on the list of surface miners eligible to secure public contracts.
Even if the statute can be read as creating an entitlement recognized by state law, this court declines to find it rises to the level of a legitimate entitlement within the meaning of the Due Process clause. Federal courts have generally found that placement on a list does not arise to the level of a legitimate entitlement in the absence of any guarantee that remaining on the list translates to employment or a contract. See Moore v. Muncie Police & Fire Merit Comm'n., 312 F.3d 322, 327 (7th Cir. 2002); Bryant v. Greeson, 2010 WL 3522953, at *5 (S.D. Ind. Aug. 31, 2010); but see Stana v. School District of the City of Pittsburgh, 775 F.2d 122 (3d Cir. 1985) (teacher had property interest in place on eligibility list when it was sine qua non for teaching position). Even if plaintiffs had remained on the list, they would have had no property interest in receiving a government contract. Mednik v. State Dep't of Health Care Services, 175 Cal. App. 4th 631, 641 (2009); Golden Day Schools, Inc. v. State Dep't of Ed., 83 Cal. App. 4th 695, 704 (2000) (the right to bid on a contract is not a property right).
Because plaintiffs do not have a legitimate entitlement to remain on the eligibility list, the court need not consider whether state law remedies provide sufficient due process protection. Finally, plaintiffs concede they were removed from the eligibility list because of a finding that they were in violation of SMARA, though they argue the finding was improper. See CAL. PUB. RES. CODE §§ 2716(a) & 2770(e); see Lujan v. G. & G. Fire Sprinklers, Inc., 532 U.S. 189 (2001).
Accordingly, the claims against Testa, Koehler, O'Bryant and Norris based on a right to due process stemming from plaintiffs' removal from the eligibility list and its aftermath are dismissed with prejudice.
2. Substantive Due Process Claim Against Defendant Norris
Plaintiffs allege their substantive due process right to enter into contract was violated when defendant Norris stopped truckers and threatened them with suit if they purchased from plaintiffs.
The Supreme Court has said that "the Fourteenth Amendment is not a font of tort law to be superimposed upon whatever systems may already be administered by the States. . . ." County of Sacramento v. Lewis, 523 U.S. 833, 848 (1998). Courts have been reluctant to find a substantive due process claim based on anything but a violation of fundamental rights. Brittain v. Hansen, 451 F.3d 982, 996 (9th Cir. 2009).
Although the right to pursue a chosen profession is protected by substantive due process, actions short of those that "foreclose access to a particular profession" do not violate the Fourteenth Amendment. Engquist v. Oregon Dep't of Agriculture, 478 F.3d 985, 998 (9th Cir. 2007), aff'd, 553 U.S. 591 (2008). The doctrine of substantive due process does not constitutionalize a claim for tortious interference with contract. Habab v. Hon, 536 F.3d 963, 968 (8th Cir. 2008). Plaintiffs' claim shows at most only interference with potential contracts, not a wholesale prevention of their right to conduct business. This does not state a constitutional claim. Bartlett v. Crook Co., Oregon, 2009 WL 1176465, at *5-6 (D. Or. Apr. 28, 2009); but see Soranno's Gasco v. Morgan, 874 F.2d 1310, 1316 (9th Cir. 1989). This claim also will be dismissed without leave to amend.
3. Equal Protection And A Class Of One
Plaintiffs allege that defendants Koehler, Norris, Testa and O'Bryant have violated their right to equal protection by singling them out, intentionally and irrationally, for removal from the AB 3098 list. ECF No. 42-1 ¶ 108. Although defendants acknowledge that plaintiffs have pled an equal protection claim, they do not specifically challenge it in the motion; instead, they appear to rely on their opposition to plaintiffs' due process claim to oppose this claim as well and so have presented no independent grounds for dismissal of this portion of the complaint. Because plaintiffs raise the claim again in their proposed amended complaint, however, the court will consider the sufficiency of the allegations in determining whether these allegations state a claim. See Ahlmeyer v. Nevada System of Higher Ed., 555 F.3d 1051, 1055 (9th Cir. 2009) (although a court considers five factors in assessing a request to amend, "futility of amendment alone can justify the denial of a motion").
In Village of Willowbrook v. Olech, 528 U.S. 562, 564 (2000), the Supreme Court recognized as viable "equal protection claims brought by a 'class of one,' where the plaintiff alleges that she had intentionally been treated differently from others similarly situated and that there is no rational basis for the difference in treatment." In the Ninth Circuit, a "class of one" equal protection claim has three elements: the defendants "(1) intentionally (2) treated [plaintiffs] differently than other similarly situated [mine operators], (3) without a rational basis." Gearhart, 637 F. 3d at 1022. The "class of one" portion of the amended complaint here is conclusory, alleging only that the defendants "have violated Plaintiffs' rights to equal protection by intentionally and irrationally singling out Plaintiffs for unwarranted removal from the AB 3098 List." ECF No. 42-1 ¶ 108. There is no allegation, not even a conclusory one, that plaintiffs were treated differently than similarly situated operators of surface mines nor is there any attempt to describe the differences in treatment. In addition, despite plaintiffs' claim that defendants acted "irrationally," they have not explained how this action, based on purported SMARA violations, was taken without a rational basis. Although these deficiencies are not necessarily fatal to a class of one claim, the court cannot say plaintiffs here will be unable to correct the deficiencies in an amended pleading. See, e.g., Hamer v. El Dorado County, 2011 WL 794895 (E.D. Cal. Mar. 1, 2011) ("as to the different treatment element, a plaintiff must demonstrate that the 'level of similarity between plaintiff and the persons with whom they compare themselves must be extremely high") (internal citation omitted).
4. Fourth Amendment Claim Against Defendant Gregory
Plaintiffs allege that, in September 2008, defendant Gregory conducted a warrantless inspection of a portion of their mine, including a dam on the southernmost creek, the processing facility, and the creek along the north and east sides of the processing facility, in violation of plaintiffs' Fourth Amendment rights. ECF No. 42-1 ¶¶ 36, 126.
To the extent defendants claim that plaintiffs have not shown their reasonable expectation of privacy was violated by Gregory's actions, the proposed amended complaint has addressed these concerns; in the amendment, plaintiffs describe Gregory's entry onto the mine premises and inspection of several portions of the property. They also allege that they lease the mine from the Schneider family and have exclusive control over the mine areas and processing plants. ECF No. 42-1 ¶ 23. These latter allegations suffice to plead the substantive Fourth Amendment requirement of a reasonable expectation of privacy in the premises searched. See v. City of Seattle, 387 U.S. 541, 543 (1967) ("The businessman, like the occupant of a residence, has a constitutional right to go about his business free from unreasonable official entries upon his Nov. 18, 2009) (tenant had reasonable expectation of privacy in leased premises; § 1983 action could proceed).
In their reply, however, defendants argue that because plaintiffs are involved in a highly regulated activity, plaintiffs "cannot help but be aware that their property will be subject to periodic inspections undertaken for specific regulatory purposes." ECF No. 57 at 6-7. They rely on Donovan v. Dewey, 452 U.S. 594 (1981), which held that periodic warrantless inspections of underground mines and stone quarries by federal mine safety inspectors to ensure compliance with the health and safety standards of the Federal Mine Safety and Health Act of 1977 did not violate the Fourth Amendment. Donovan does not hold that a mine operator thereby loses all Fourth Amendment protection against warrantless entries by officials from a different agency, employed by a different sovereign, for purposes unrelated to mine safety or defendants have cited no authority construing Donovan in this way, suggesting there is a state regulatory scheme that permits warrantless inspections.
Defendants argue further that the amended complaint is deficient because it does not include the exact date of the search. Defendants suggest that the search occurred outside the two-year statute of limitations and suggest that plaintiffs have some obligation to plead the exact date to facilitate defendants' motion to dismiss. See Von Saher v. Norton Simon Museum, 592 F.3d 954, 969 (9th Cir. 2010) (a complaint may be dismissed only when the running of the statute of limitations is apparent on the face of the complaint). They have provided no authority, however, suggesting that the complaint must include the exact date in order to facilitate their motion to dismiss. The court declines to impose such a requirement.
The court concludes that this portion of the complaint states a Fourth Amendment claim as to defendant Gregory.
V. Federal Defendants' Motion To Dismiss
A. Allegations In Amended Complaint
In the proposed amended complaint, plaintiffs allege that on June 2, 2008, Michael Jewell of the Corps sent plaintiffs a letter directing them to cease and desist all operations subject to obtaining the appropriate permits for the discharge of dredged material. Simmons did not give plaintiffs prior notice that the letter would issue, has not retracted the letter, and has not given plaintiffs the opportunity to appeal the cease and desist order. ECF No. 42-1 ¶¶ 33, 37. Jewell sent another cease and desist order on April 16, 2010, again without any notice or hearing. Id. ¶79. Plaintiffs allege that these actions deprived them of their right to substantive and procedural due process; specifically, they have been deprived of their ability to conduct their mining operation without disruption and have lost customers and sales. Id. ¶¶ 115-116, 120.
In September 2008, Zachary Simmons, another employee of the Corps accompanied defendant Gregory during the warrantless search of the mine site. ECF No. 42-1 ¶ 36. Information obtained during this search formed the basis of the second cease and desist letter. Id. ¶ 120. Plaintiffs allege that Simmons has violated their Fourth Amendment right to be free of warrantless searches. Id.
B. Arguments For Dismissal
Defendants argue that this court lacks subject matter jurisdiction over the claims because plaintiffs do not have standing to raise either their Fourth or Fifth Amendment claims and the Fifth Amendment claims are not ripe for review. They also argue that the complaint fails to state a claim.
1. Subject Matter Jurisdiction
The jurisdiction of the federal courts is limited to resolving "cases and controversies." U.S. CONST., art. III.; Warth v. Seldin, 422 U.S. 490, 499 (1975). Because of this limited jurisdiction, cases lie outside the jurisdiction of the court unless proven otherwise. Kokkonen v. Guardian Life Ins. Co. of America, 511 U.S. 375, 376-78 (1994). There are a number of "doctrines that cluster about Article III," including standing and ripeness, that may support a challenge to subject matter jurisdiction raised by either party or sua sponte by the court. Allen v. Wright, 468 U.S. 737 (1984); Fed. R. Civ. P. 12(b)(1). A Rule 12(b)(1) jurisdictional attack may be either facial or factual. White v. Lee, 227 F.3d 1214, 1242 (9th Cir. 2000) (citation omitted). In a facial attack, the complaint is challenged on its face as failing to support federal jurisdiction, whereas, in a factual attack, the challenger provides evidence, through affidavits or otherwise, that an alleged fact is false resulting in a lack of subject matter jurisdiction. See Safe Air for Everyone v. Meyer, 373 F.3d 1035, 1039 (9th Cir. 2004). In a facial attack, allegations in the complaint are taken as true and construed in the light most favorable to a plaintiff.
Some courts have considered facial jurisdictional challenges in motions to dismiss under Rule 12(b)(6). See, e.g., Newdow v. Lefevre, 598 F.3d 638, 642 (9th Cir. 2010), cert. denied, 131 S.Ct. 1612 (2011); but see Maya v. Centex Corp., 658 F.3d 1060, 1068 (9th Cir. 2011) (recognizing that Twombly and Iqbal "are ill-suited to the application in the constitutional standing context").
Defendants argue that plaintiffs lack standing to pursue their Fourth Amendment claim because they have not alleged that Simmons' alleged unlawful search caused any injury. They also argue there is no allegation that Simmons was involved in issuing the cease and desist letter and, in any event, plaintiffs have not alleged they were damaged in any way by the issuance the letter.
In Lujan v. Defenders of Wildlife, 504 U.S. 555 (1992), the Supreme Court defined "the irreducible constitutional minimum of standing." First, there must be an invasion of plaintiff's legally protected interest, an injury-in-fact, which is both concrete and particularized and actual and imminent; second, there must be a causal connection between the injury and the challenged conduct; and third, it must be likely that the injury will be redressed by a decision in plaintiff's favor. Id. at 560-61; see also Cigarettes Cheaper! v. State Bd. of Equalization, 2011 WL 2560214, at *1 (E.D. Cal. June 28, 2011). It is plaintiffs' burden to establish their standing to sue. Lujan, 504 U.S. at 560.
Defendants argue that plaintiffs have not adequately pled an injury-in-fact because they allege only that the warrantless search occurred without further describing any resulting harm. Whether an allegation of such additional harm is necessary to establish standing, but see Easyriders Freedom F.I.G.H.T v. Hannigan, 92 F.3d 1486, 1501 (9th Cir. 1996) (wrong "is completed" when action taken in violation of the Fourth Amendment); Cerro Metal Products v. Marshall, 620 F.2d 964 (3d Cir. 1980) (for purposes of injunction, OSHA inspection is deemed to be an injury); compare Western Mining Council v. Watt, 643 F.2d 618, 624 (9th Cir. 1981) (no standing to raise Fourth Amendment claim based solely on statute that permits inspection without claim statute has been applied to plaintiff), plaintiffs have alleged in the amended complaint that information gathered in the search was used as a basis for the second cease and desist order. This allegation is sufficient to plead harm.
Defendants next argue that plaintiffs lack standing to challenge any denial of due process in connection with the issuance of the cease and desist letters and that the claim is not ripe because there has been no final agency action in the wake of the cease and desist letters. Defendants rely on what they characterize as the Lujan Court's flat rejection of the argument that the concrete-injury requirement is satisfied by the violation of a procedural duty and argue that plaintiffs have not suffered a concrete injury. ECF No. 37- 4 at 17.
In Lujan, the Court said, "we do not hold that an individual cannot enforce procedural rights; he assuredly can, so long as the procedures are designed to protect some threatened concrete interest of his that is the ultimate basis of his standing." Lujan, 504 U.S. at 573 n.8 (emphasis in original). As noted above, a claim of inadequate procedures must be grounded in a property interest to be protected by those procedures. Thornton v. City of St. Helens, 425 F.3d 1158, 1164 (9th Cir. 2005); Berg v. California Horse Racing Bd., 419 F. Supp. 2d 1219, 1232 (E.D. Cal. 2006). Plaintiffs allege generally that they have a vested right to mine as recognized by the County of Sacramento and that the issuance of the cease and desist order has impacted this right. ECF No. 42-1 ¶ 114. This is sufficient for standing with respect to due process.
The federal defendants also rely on several cases finding that the structure of the Clean Water Act precludes review of cease and desist orders. See, e.g., Southern Pines Associates v. United States, 912 F.2d 713, 716 (4th Cir. 1990). The Supreme Court has very recently addressed this issue. In Sackett v. Environmental Protection Agency, __ U.S. __, 2012 WL 932018 (Mar. 21, 2012), the Court considered whether landowners could bring an action challenging cease and desist orders issued by the EPA, stemming from alleged violations of the Clean Water Act (CWA). The Court rejected the argument that the landowners could seek a permit from the Corps and then seek review of this order under the Administrative Procedures Act (APA), noting that challenging one agency's action by seeking a permit from another was not an adequate remedy. Id. at *5. It also rejected the EPA's argument, the same made by the federal defendants in this case, that the structure of the CWA itself precluded review. The Court said that "there is no reason to think that the Clean Water Act was uniquely designed to enable the strong-arming of parties into 'voluntary compliance' without the opportunity for judicial review . . . ." Id. at *7. It concluded that "the compliance order in this case is final agency action for which there is no adequate remedy other than APA review, and that the Clean Water Act does not preclude that review." Id.
The federal defendants relied on Sackett v. U.S. Environmental Protection Agency, 622 F.3d 1139, 1145 (9th Cir. 2010), which held that parties could not seek review of cease and desist orders.
It is true that, in this case, it was the Corps that issued the cease and desist order and that also could issue a permit, unlike the situation in Sackett. However, given the Court's determination that the compliance order was sufficiently final to trigger APA review, it is not determinative that the cease and desist order was issued by the Corps, which could issue a permit. But because the Supreme Court found that the cease and desist order was a final agency action subject to APA review, plaintiffs' § 1983 claim challenging the impact of the cease and March 27, 2012desist order on their ability to conduct mining activities is not viable. This portion of the complaint is dismissed with leave to amend, if possible, in light of Sackett.
2. Motion to Dismiss-Fourth Amendment Claim
Defendants argue that plaintiffs' Bivens claim is precluded by Congress's comprehensive scheme of environmental litigation, a conclusion underscored by the fact that pre-enforcement review is not available. With little analysis, plaintiffs counter that Bivens itself was based on a Fourth Amendment violation so their claim should similarly be considered.
In Bivens v. Six Unknown Named Agents of the F.B.I., 403 U.S. 388 (1971), the plaintiff challenged a search conducted by federal narcotics agents. The Supreme Court rejected the agents' position that plaintiff's only remedy was a state court action and recognized a right of action based in the constitutional violation itself. Since the Bivens decision, the Supreme Court has found implied causes of action in only two other circumstances. In Davis v. Passman, 442 U.S. 228, 245-46 (1979), the Court allowed a political appointee to bring a sex discrimination claim, based on the Fifth Amendment, against a congressman. In Carlson v. Green, 446 U.S. 14 (1980), the Court held that the administrator of the estate of a deceased federal prisoner could bring a Bivens action alleging that the prisoner had suffered personal injuries, which violated his Eighth Amendment right to be free of cruel and unusual punishment.
Since Carlson, the Court has not extended Bivens to "any new context or new category of defendants," Corr. Services Corp. v. Malesko, 534 U.S. 61, 68 (2001), because "implied causes of actions are disfavored." Iqbal, 129 S.Ct. at 1948.
In Wilkie v. Robbins, 551 U.S. 537 (2007), the Court said
the decision to recognize a Bivens remedy may require two steps. In the first place, there is the question whether any alternative, existing process for protecting the interest amounts to a convincing reason for the Judicial Branch to refrain from providing a new and freestanding remedy in damages. But even in the absence of an alternative, a Bivens remedy is the subject of a judgment: 'the federal courts must make the kind of remedial determination that is appropriate for a common-law tribunal, paying particular heed, however, to any special factors counseling hesitation before authorizing a new kind of federal litigation.Id. at 550 (quoting Bush v. Lucas, 462 U.S. 367, 378 (1983)); Western Radio Services Co. v. U.S. Forest Service, 578 F.3d 1116, 1120 (9th Cir. 2009), cert. denied, 130 S.Ct. 2402 (2010).
The federal defendants rely on Western Radio Services, which, they argue, has many parallels to this case. In Western Radio Services, the plaintiff leased land from the Forest Service and constructed and maintained radio towers. At some point its relations with the Forest Service soured and it began pursuing administrative appeals and then lawsuits challenging a number of Forest Service decisions. Plaintiff perceived that the Forest Service's response was to delay action on an application to construct additional radio towers. It also believed that the Forest Service was not enforcing its electronic site management plan against other lessees. Plaintiff brought suit under the APA and Bivens, alleging that the delays in considering its applications were retaliatory within the meaning of the First Amendment and that it was being treated differently in violation of the Fifth Amendment.
Defendants characterize Western Radio Services as raising Fourth and Fifth Amendment claims, ECF No. at 15, but the Bivens action in that case raised only First and Fifth Amendment claims. Western Radio Services, 578 F.3d at 1118. Western Radio Services itself mischaracterized Wilkie as including a Fourth Amendment claim as part of its Bivens action, but the Wilkie plaintiff dismissed his Fourth Amendment claim before the case reached the Supreme Court. Wilkie, 551 U.S. at 548.
Relying on Wilkie's distillation of Bivens jurisprudence, the Ninth Circuit in Western Radio Services rejected plaintiffs' claim. It noted that when Congress has created "'adequate procedural mechanisms for constitutional violations that may occur" in the course of administering government programs, even when statutory remedies "do not provide complete relief," a court should not create Bivens remedies. Id. at 1120 (quoting Chilicky, 487 U.S. at 423, and Correctional Services Corp., 534 U.S. at 69); see also Collins v. Bender, 195 F.3d 1076, 1079 (9th Cir. 1999) (Civil Service Reform Act can preclude Bivens action even whether the CSRA does not provide an alternative remedy). Also relying on Wilkie, the Circuit determined that the APA, which provides judicial review for any "person suffering legal wrong because of agency action, or adversely affected or aggrieved by agency action . . . , " provides an avenue for relief. Id. at 1122; 5 U.S.C.§ 702. The court said that "the design of the APA raises the inference that Congress 'expected the Judiciary to stay its Bivens hand . . . .'" Id. at 1123 (quoting Wilkie, 551 U.S. at 550), and concluded that APA procedures for challenging agency action and inaction were adequate even though they did not provide for money damages against individual officers. Id.
The federal defendants point to the provisions of the CWA, which allows plaintiffs to apply for a permit and to challenge any denial by filing suit in federal district court under the APA. 33 U.S.C. § 1344(a); 5 U.S.C. § 704. They also rely on provisions for notice and hearing after the issuance of a cease and desist order. See 33 U.S.C. § 1319(g)(4)(A)-(C), (g)(8). Defendants concede that plaintiffs have not been subject to final agency action, but argue that even so the CWA provides "an adequate and meaningful mechanism of review" and "provides a host of safeguards to address potentially erroneous orders, penalties, assessments, or agency actions. . . ." ECF No. 37-3 at 17. They do not address, however, whether the CWA provides any remedy for a party who has not been subjected to final agency action, but rather who challenges an individual officer's warrantless entry onto its property.
In Grant v. United States, 2011 WL 5514037 (D. Or. Nov. 9, 2011), the plaintiff operated a mining operation on Forest Service land. When the Forest Service increased the bond for his operation, plaintiff unsuccessfully appealed and then sought an extension of the time in which to post the bond. When he failed to do so, Forest Service officials removed structures plaintiff had erected on his mining claim and eventually destroyed them. Plaintiff brought a Bivens action, alleging he had been deprived of property without due process. The Forest Service alleged plaintiff had adequate remedies through the APA in the form of an appeal of the bond requirement. The court disagreed. It acknowledged that plaintiff could and did seek review of the increased bond, but that the "crux of plaintiff's claim. . . is not the increase of his bond, but the destruction and removal of his mining structures." It continued:
[I]f Schmidt had issued a final, reviewable decision regarding the impoundment and demolition of plaintiff's structures, the APA likely would provide plaintiff with an adequate and effective remedy.Id. at *7 (internal citations omitted).
However, Schmidt issued no final agency decision declaring plaintiff's structures in trespass and subject to impoundment and removal . . . . Thus, unlike Wilkie or Western Radio, plaintiff was left with no final agency action that he could appeal or otherwise challenge under the APA.
In Diaz-Bernal v. Myers, 758 F.Supp.2d 106 (D. Conn. 2010), illegal aliens who were subjects of an early morning raid by immigration officials brought a Bivens action alleging, among other things, that the raid had violated their Fourth Amendment rights. Defendants argued that the action was barred by the Immigration and Nationality Act (INA). The court rejected the argument:
[A]lthough the INA contains a comprehensive scheme governing the appeal of removal proceedings and the Attorney General's discretionary decisions, it does not provide a remedial scheme for violations committed by immigration officials outside of removal proceedings. . . . If a Bivens remedy were precluded, the present plaintiffs would have no forum in which to seek a remedy for the defendants' alleged constitutional violations.Id. at 128-29 (internal citations omitted; emphasis in original).
The court finds the reasoning of Grant and Diaz-Bernal persuasive. The federal defendants have pointed to no provisions in either the CWA or the APA that would allow plaintiffs to challenge an official's entry upon the land. Nor have they explained how such an entry constitutes a final agency action that could then be pursued in district court. See Stewart v. Evans, 275 F.3d 1126, 1130 (D.C. Cir. 2002) (warrantless search is not a personnel action within CSRA and so does not fall within statutory scheme, so Bivens action is available). In this case, the warrantless search of plaintiffs' mine is not a final agency action nor part of a cease and desist letter and so the CWA and APA do not provide an adequate means of redress.
The federal defendants do not argue that any other federal statutory scheme renders a Bivens action unavailable in these circumstances.
Even though plaintiffs may not have an adequate alternate remedy, this court must nevertheless consider whether there are "factors counseling hesitation before devising such an implied right of action." Wilkie, 551 U.S. at 550; Western Radio Services, 578 F.3d at 1120. In Wilkie, the Court ultimately concluded that a Bivens remedy was unavailable because of a number of factors. One was "a difficulty in defining a workable cause of action," noting that Wilkie's claimed retaliation did not stem from his protest of government policies, but rather in response to his refusal to grant an easement to BLM employees. It continued that the landowner's challenge was "not that the means the Government used were necessarily illegitimate; rather he says that defendants simply demanded too much and went too far." Id. at 557. As such, "the impossibility" of fitting his claims into the usual retaliation framework counseled against implying a right of action. Id. The Court acknowledged that the landowner described a few allegedly illegal actions taken by officials of the Bureau of Land Management and said "[i]f those were the only coercive acts charged" fashioning a remedy might be easier, but said that course of conduct he described went beyond these allegations. The Court concluded that creating a Bivens remedy to redress a number of injuries "collectively on the theory of retaliation for exercising [plaintiff's] property right to exclude, or on a general theory of unjustifiably burdening his rights as a property owner, raises a serious difficulty of devising a workable cause of action. . . ." Id. at 562.
Unlike Wilkie, recognizing plaintiffs' Bivens action here does not create an unworkable analytical framework: plaintiffs assert a straightforward Fourth Amendment claim, already recognized by Bivens to be redressable in some, if not all, cases raising an implied right of action. In addition plaintiffs allege that the federal defendants undertook the search as part of a conspiracy with one of plaintiffs' competitors. This allegedly improper motive also supports a conclusion that a Bivens remedy should be available to plaintiffs. See Western Radio Services, 578 F.3d at 1125 (legitimacy of motive considered at step two of Wilkie analysis). Plaintiffs' Bivens action, based on the Fourth Amendment, may proceed.
3. Qualified Immunity
The federal defendants allege they are entitled to qualified immunity for the Fourth Amendment claim.
Government officials performing discretionary functions generally are shielded from liability for civil damages insofar as their conduct does not violate clearly established statutory or constitutional rights of which a reasonable person would have known. Harlow v. Fitzgerald, 457 U.S. 800, 818 (1982). In determining whether a governmental officer is immune from suit based on the doctrine of qualified immunity, the court generally considers two questions. The first is, taken in the light most favorable to the party asserting the injury, do the facts alleged show the officer's conduct violated a constitutional right? Saucier v. Katz, 533 U.S. 194, 201 (2001). A negative answer ends the analysis, with qualified immunity protecting defendant from liability. Id. If a constitutional violation occurred, a court must further inquire "whether the right was clearly established." "If the law did not put the [defendant] on notice that [his] conduct would be clearly unlawful, summary judgment based on qualified immunity is appropriate." Id. at 202. The district court may decide the order of addressing these questions and answer only the second, in accordance with fairness and efficiency and in light of the circumstances of a particular case. Pearson v Callahan, 555 U.S. 223, 236 (2009).
In Brosseau v. Haugen, 543 U.S. 194, 198 (2004), the Supreme Court emphasized that "the qualified immunity inquiry must be undertaken in light of the specific context of the case." Id. Nevertheless, rights may be "clearly established" sufficient to overcome a defendant's claim of qualified immunity if a "general constitutional rule already identified in the decisional law ••• appl[ies] with obvious clarity to the specific conduct in question, even though the very action in question has [not] previously been held unlawful." United States v. Lanier, 520 U.S. 259, 271 (1997). "Precedent directly on point is not necessary to demonstrate that a right is clearly established." Giebel v. Sylvester, 244 F.3d 1182, 1189 (9th Cir. 2001).
The federal defendants argue that plaintiffs have not established a Fourth Amendment violation because they have not shown their reasonable expectation of privacy in the mine. However, as noted in connection with the state defendants' motion to dismiss, the amended complaint sufficiently alleges that plaintiffs leased and had exclusive control over the property and adequately alleges that defendants' actions constituted a search. Also, as noted above, the federal defendants' reliance on Donovan v. Dewey, supra, is unavailing. See also Marshall v. Nolichuckey Sand Co., 606 F.2d 693 (9th Cir. 1979) (finding Donovan inapplicable to sand and gravel mining).
Defendants also argue they could not have known their conduct was unlawful or unreasonable in light of the statutes and regulations permitting warrantless entry upon land in aid of enforcement. For example, they point to 33 C.F.R. § 326.3(a)-(b), but that regulation merely exhorts district engineers to make the best use of resources and encourages them to develop joint surveillance procedures with other federal, state and local agencies; it does not equate surveillance with warrantless entry. Inspections are permitted by 33 U.S.C. § 1318(a)(B), but are subject to certain conditions: a federal official "shall have a right of entry to, upon, or through any premises in which an effluent source is located . . ." once he presents his credentials and "may at reasonable times . . . inspect any monitoring equipment or method . . . ."
With administrative searches, "'actual motivations' do matter," Ashcroft v. Al-Kidd, __ U.S. __, 131 S. Ct. 2074 (2011) (quoting United States v. Knights, 534 U.S. 112, 122 (2001)), and an otherwise proper search may be invalidated if there is an impermissible secondary motive. United States v. $124,570 U.S. Currency, 873 F.2d 1240, 1245 (9th Cir. 1998) (improper secondary purpose of administrative inspection invalidated seizure). When "the officer's purpose is not to attend to the special needs or to the investigation for which the administrative inspection is justified," it may not be reasonable under the Fourth Amendment. Al-Kidd, 131 S.Ct. at 2081. In this case, plaintiffs allege that the warrantless entry was undertaken as part of their competitors' scheme to drive them out of business. In Alexander v. City and County of San Francisco, 29 F.3d 1355, 1361 (9th Cir. 1994), the court said it was clear that "an administrative search may not be converted into an instrument which serves the very different needs of law enforcement officials." In light of these cases, and the current record, the court cannot find the federal defendants are entitled to qualified immunity.
VI. County Defendants' Motion To Dismiss
A. Allegations In Amended Complaint
In the amended complaint, plaintiffs allege that in April 2010, defendant Sherry, the Director of the Sacramento Department of Planning and Community Development, notified Jay Schneider, the property owner, that plaintiffs' mining operation had expanded in violation of zoning requirements. No notice was given to plaintiffs. ECF No. 41-1 ¶¶ 21, 81. Sherry told
Schneider he could seek a conditional use permit or cease mining. Id. ¶81. Schneider appealed; neither plaintiffs nor plaintiffs' lawyers were given notice of the date the appeal was set to be heard. Id. ¶ 82.
In September 2010, the Board of Supervisors denied Schneider's appeal and determined that the vested right to mine had been extinguished by improper intensification of the mining activities, although the record did not support the conclusion. Id. ¶85. Plaintiffs did not receive notice of the denial. Id.
Defendant Sacramento County issued a violation notice to Schneider in January 2011, notifying him that he must obtain a permit; plaintiffs were not notified of this action. Id. ¶86. The Board of Supervisors denied a second appeal. Id. ¶87.
Defendant Sacramento County then told plaintiffs they could not continue mining during the pendency of an application for a conditional use permit, which process could take six to eight years and may cost millions of dollars. Id. ¶88. The County and Sherry allowed other operations to continue during the permitting process. Id. ¶144.
In November 2011, the County approved plaintiffs' revised financial assurance cost estimate in the amount of $165,223. Id. ¶ 89. In December 2010, however, Sacramento County employee Cindy Storelli gave plaintiffs a Lead Agency Annual Inspection Report that included an increased financial assurance cost estimate of $840,490; this report relied on violations previously found to be baseless. Id. ¶ 91. In January 2011, defendant Sacramento County employee Leighann Moffitt notified plaintiffs they must provide a financial assurance mechanism in the amount of $830,490 and must stop mining operations until the mechanism was secured. Id. ¶ 89. Sacramento County has not provided a means by which plaintiffs could appeal the increased financial assurance cost estimate or the cease and desist letter. Id. ¶ 92. All of the County's actions were undertaken in pursuit of Teichert's scheme. Plaintiffs assert § 1983 claims against the County defendants, alleging they have violated plaintiffs' rights to due process and equal protection by failing to give plaintiffs notice of the proceedings concerning the mine and by refusing to allow them to continue mining while they seek a permit, although other miners have been allowed to do so under equivalent circumstances. Plaintiffs also argue they have been singled out to pay increased financial assurances although other similarly situated individuals are not required to pay such exorbitant rates, and they have been denied due process by the arbitrary and capricious change in the financial assurance requirements. Id. ¶¶ 153-154.
B. Arguments For Dismissal
The County defendants argue that the County may exercise its police powers to determine whether intensification of the mining operations had extinguished the vested right without violating due process. They also argue that the action against the County and Sherry is not ripe because there has been no final determination about the intensification of the vested interest and because plaintiffs have not secured a state court ruling on compensation for a taking. Defendants contend that the FAC's allegations, that others have been allowed to continue mining while waiting for the approval of an application for a use permit, do not state a claim because they have not identified any such parties. Finally, defendants urge there is no due process claim based on the failure to provide any appeal of the increased financial assurance cost estimate because even though the County made the decision, any appeal must be taken to the SMGB.
1. Ripeness
Under SMARA, "[n]o person who has obtained a vested right to conduct surface mining operations . . . shall be required to secure a permit . . . as long as the vested right continues and as long as no substantial changes are made in the operation . . . ." CAL. PUB. RES. CODE § 2776; Calvert, 145 Cal.App.4th at 617. Plaintiffs allege they operated the mine without a permit because Sacramento County recognized a vested right to mine and that the County's action deprived them of that right.
As noted above, ripeness "can be characterized as standing on a timeline" and often "coincides squarely with standing's injury in fact prong." Thomas, 220 F.3d at 1138. In this case, the County defendants determined that the impermissible expansion of the mining operations had extinguished the previously-recognized vested right to mine and suggested that plaintiffs could continue to mine by securing a conditional use permit. As plaintiffs argue, the injury is not dependent on the County's decision whether to issue a conditional use permit; their previously recognized right to operate without the need for such a permit was extinguished. Because there has been an "actual concrete injury" which has "'already occurred and do[es] not depend on the finality of the County's determination of the permissible uses,'" the claim is ripe. Carpenteria Valley Farms, Ltd. v. County of Santa Barbara, 344 F.3d 822, 830-31 (9th Cir. 2003) (quoting Harris v. County of Riverside, 904 F.2d 497, 501 (9th Cir. 1990)); Herrington v. County of Sonoma, 857 F.2d 567, 569 (9th Cir. 1988) (equal protection and due process challenges to county actions regarding land use ripe when the plaintiff has received a final decision which inflicts concrete harm). In addition, because plaintiffs are not raising a takings claim, they do not need to seek compensation through state procedures before bringing suit. See Suitum v. Tahoe Regional Planning Agency, 520 U.S. 725, 734 (1997); Spoklie v. Montana, 411 U.S. 1051, 1057 (9th Cir. 2005).
2. Due Process-The Vested Right To Mine
Citing Hansen Bros. Enterprise v. Board of Supervisors, 12 Cal. 4th 533 (1996), the County defendants argue the reconsideration of the vested right to mine does not violate due process. Plaintiffs counter they have properly alleged that their mining operation had not improperly intensified, that they did not receive notice of or a hearing on the revocation, and that their claim is based in part on Teichert's improper involvement.
Plaintiffs do not seriously dispute the proposition that a county may act to extinguish a vested right to mine, but allege the county acted arbitrarily in this case by extinguishing the right when the claimed impermissible expansion was not supported by the record and by undertaking its action as part of Teichert's scheme to drive them out of business.
The Ninth Circuit has recognized that such claims are sufficient to withstand a motion to dismiss. In Del Monte Dunes at Monterey, Ltd. v. City of Monterey, 920 F.2d 1496, 1508 (9th Cir. 1990), the court found a substantive due process claim sufficient to withstand summary judgment when the landowner presented evidence that the city council denied approval for a condominium project because of pressure from other landowners to preserve the property as open space. Similarly, in Bateson v. Geisse, 857 F.2d 1300, 1303 (9th Cir. 1988), the court found that the landowner stated a substantive due process claim by alleging he had satisfied all the requirements for the issuance of a building permit but the city council nevertheless refused to issue it. These allegations are sufficient.
In addition, plaintiffs also allege they did not receive notice of or an opportunity to participate in the proceedings that led to extinguishment of the right to mine, though they acknowledge that the property owner was afforded these rights. Defendants do not argue that proceedings to extinguish a vested right can be undertaken without due process. See., e.g., Calvert, 145 Cal. App. 4th at 625-26 (a determination of vested rights is "adjudicatory in nature and therefore subject to notice and hearing requirements") (internal citation, quotation omitted); Bauer v. City of San Diego, 75 Cal. App. 4th 1281, 1296 (1999) (city violated due process by terminating grandfathered liquor license without opportunity for hearing). Instead, defendants appear to argue that because this notice was properly provided to Schneider, due process has been satisfied; as they have cited nothing in support of this argument, they have not borne their burden of showing that plaintiffs will be unable to succeed on their claims. See CAL. PUB. RES. CODE §§ 2774.1 (a)-(b) (if lead agency determines that a surface mine is not in compliance, it may "notify the operator" of the violation and may not enforce any order until the operator has been provided a hearing), 2731 (operator is person engaged in surface mining operations).
3. Due Process-Increased Financial Assurance Cost Estimate
Plaintiffs allege that defendants Storelli and Moffitt, as well as the County, arbitrarily and capriciously increased their financial assurance requirement and then told plaintiffs they could not operate without posting the increased financial assurance mechanism. They also allege the County has not provided any appeal procedures for the increased financial assurances.
As discussed above, the protections of the due process clause, both substantive and procedural, do not attach to all deprivations or allegedly arbitrary state actions. Although plaintiffs have alleged that their amendment adding these claims is not futile, they have not addressed why their proposed due process claims have merit except to argue that the deprivations were arbitrary and undertaken without sufficient process.
As noted, before plaintiffs may pursue their procedural due process claim, they must answer the following questions: do they have a protected property interest and, if so, did they receive all the process that was due them? Walls, 653 F.3d at 967-68. Currently, the protected property interest is only hazily described. It is unclear if plaintiffs are alleging they have a property right in the determination of the financial assurance cost estimate. Such a claim does not appear to have merit: California law recognizes that "the amount of financial assurances required of a surface mining operation for any one year shall be adjusted annually to account for new lands disturbed by surface mining operations, inflation, and reclamation of lands in accomplished in accordance with the approved reclamation plan." CAL. PUB. RES. CODE § 2773.1(a)(3). As there is no property interest in a fixed financial assurance amount, there is no due process claim.
In addition, the court has already recognized that a substantive due process claim cannot be based on anything but a violation of fundamental rights. Brittain, 451 F.3d at 996. Financial assurance amounts do not qualify as fundamental rights.
4. Equal Protection-Increased Financial Assurance
As already discussed, to establish a "class of one" equal protection claim, plaintiffs must show the defendants "(1) intentionally (2) treated [plaintiffs] differently than other similarly situated [mine operators], (3) without a rational basis." Gearhart, 637 F. 3d at 1022. And as with the previous discussion of equal protection claims, the "class of one" discussion in this portion of the amended complaint is conclusory, alleging only that the defendants "have violated Plaintiffs' rights to equal protection by intentionally and irrationally singling out Plaintiffs to pay increased financial assurances, while other similarly situated individuals are not required to pay such exorbitant rates." ECF No. 42-1 ¶ 154. Here, there is a conclusory claim that plaintiffs were treated differently than similarly situated operators of surface mines but no attempt to describe how the recalculated financial assurance cost estimate was determined "irrationally" in light of the statutory command that there be an annual adjustment based on circumstances. Because these deficiencies are not necessarily fatal to the class of one claim, the court cannot say plaintiffs will be unable to amend this portion of the complaint against Moffitt and Storelli.
VII. New Allegations Against Taras
In the FAC, plaintiffs allege that defendant Taras, an employee of the Central Valley Flood Protection Board, inspected a portion of the mine alongside the Cosumnes River in May 2009 and then sent plaintiffs a cease and desist letter. Id. ¶¶ 75-76. Plaintiffs allege this action has deprived them of substantive and procedural due process, as they were not afforded an opportunity to challenge the order. Id. ¶¶ 135-136. Nothing before the court suggests this portion of the FAC cannot be included in a further amended pleading. VIII. Motion for Sanctions (ECF No. 38)
SMAQD has moved for sanctions, alleging that the claims against it were brought in bad faith. Although the court has found plaintiffs' case should be stayed, the court does not find therefore that plaintiffs' complaint was brought in bad faith.
IT IS THEREFORE ORDERED that:
1. Plaintiffs' motion to file an amended complaint is granted, but the first amended complaint is dismissed as discussed in the body of the order; plaintiffs' second amended complaint, prepared in light of the discussion set forth above in this order, is due within twenty-one days of the date of this order;
2. The SMAQD defendants' motion to dismiss or stay is granted and the case is stayed upon the filing of the second amended complaint;
3. The state defendants' motion to dismiss is granted in part and denied in part as stated in the body of this order;
4. The federal defendants' motion to dismiss is granted in part and denied in part as stated in the body of this order;
5. The county defendants' motion to dismiss is granted in part and denied in part, as stated in the body of this order; and
6. The SMAQD defendants' motion for sanctions is denied.
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UNITED STATES DISTRICT JUDGE