2008 WI 16
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Supreme Court of |
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Case No.: |
2005AP1829 |
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Complete Title: |
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State of Plaintiff-Respondent-Petitioner, v. Harenda Enterprises, Inc., Defendant-Appellant. |
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REVIEW OF A DECISION OF THE COURT OF APPEALS 2006 WI App 230 Reported at: 297 (Ct. App. 2006-Published) |
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Opinion Filed: |
March 13, 2008 |
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Submitted on Briefs: |
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Oral Argument: |
October 3, 2007
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Source of Appeal: |
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Court: |
Circuit |
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County: |
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Judge: |
Kitty Brennan |
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Justices: |
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Concurred: |
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Dissented: |
ZIEGLER, J., dissents. PROSSER and
ROGGENSACK, JJ., join the dissent. |
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Not Participating: |
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Attorneys: |
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For the plaintiff-respondent-petitioner there was oral argument by Jeffrey M. Gabrysiak, assistant attorney general, with whom on the briefs was also J.B. Van Hollen, attorney general.
For the defendant-appellant there was a brief by Mark W. Rattan and Litchfield Cavo,
2008 WI 16
notice
This opinion is subject to further editing and modification. The final version will appear in the bound volume of the official reports.
REVIEW of a decision of the Court of Appeals. Reversed.
¶1 ANN WALSH BRADLEY, J. The petitioner, State of
¶2 The case centers on the question of the proper method for testing whether material constitutes asbestos-containing material under Wis. Admin. Code § NR 447.02[2] and 40 C.F.R. Pt. 763, Subpt. E., App. E, § 1.7.2.1. The State asserts that the court of appeals erred in concluding that the rule prescribing the method of testing clearly requires the averaging of the test results. It contends that the rule is ambiguous and that we should give deference to the clarifications of the rule issued by the United States Environmental Protection Agency (EPA), which explain that each layer of a multi-layer sample must be tested. It maintains that under the rule, ACM is present if a single layer of the sample contains greater than one percent asbestos.
¶3 Harenda argues that the State's interpretation is inconsistent with the plain language of the rule, which requires averaging of the test results. It maintains that the clarifications issued by the EPA are inconsistent with § 1.7.2.1 and should therefore be accorded no deference. Harenda further argues that the clarifications outlining the single layer test method constitute impermissible rule making. Finally, it argues that the State's enforcement action violates its substantive due process rights.
¶4 We determine, first, that the language of § 1.7.2.1 is ambiguous. Giving deference to an agency's interpretation of its own rule, we conclude that the EPA's interpretation is controlling because it is neither inconsistent with § 1.7.2.1 nor clearly erroneous. We further determine that the clarifications do not constitute impermissible rule making; rather, they are valid interpretive rules. Finally, we determine that the circuit court's judgment does not violate Harenda's substantive due process rights. We therefore reverse the court of appeals.
I
A
¶5 To better understand the issues presented, it is helpful to examine the regulatory framework. We begin with a brief summary of the federal and state regulations at play in this case.
¶6 Under the federal Clean Air Act, the United States Environmental
Protection Agency (EPA) is authorized to publish a list of hazardous air
pollutants and to establish national emission standards (National Emission
Standards for Hazardous Air Pollutants, or "NESHAPs") for each
pollutant on the list. 42 U.S.C. § 7412;
¶7 The original asbestos NESHAP was published in 1973, and included standards governing removal of asbestos prior to building demolition. 38 Fed. Reg. 8,820 (1973). In 1975, the asbestos NESHAP was expanded to address the handling of asbestos during building renovations. 40 Fed. Reg. 48,293 (1975); National Can, 126 F. Supp. 2d at 523. The current asbestos NESHAP, which was published in 1990, is found at 40 C.F.R. § 61.140 et seq.
¶8 The Wisconsin Department of Natural Resources (DNR) is authorized
by the Wisconsin Statutes to promulgate rules implementing clean air standards
consistent with chapter 285 of the Wisconsin Statutes and the federal Clean Air
Act.
¶9 Chapter NR 447 is patterned after the federal NESHAP standards. See
note to Wis. Admin. Code § NR
447.01. Most importantly with respect to the present matter, chapter 447 has
adopted measures requiring owners and operators to inspect facilities prior to
demolition or renovation.
¶10 As discussed more fully below in Part III A, the regulations define
ACM as material that contains "more than 1% asbestos as determined using
the method specified in Appendix E to Subpart E, 40 CFR part 763, section 1,
Polarized Light Microscopy . . . ."
¶11 The text of the instructions, however, quickly became a source of confusion. On two occasions the EPA issued notices of clarification to address how multi-layered samples are to be analyzed. 59 Fed. Reg. 542 (Jan. 5, 1994); 60 Fed. Reg. 65,243 (Dec. 19, 1995).
¶12 The December 1995 clarification explained that § 1.7.2.1 continued EPA's past policy that separate layers in multi-layered systems were to be analyzed separately, such that "no averaging or dilution by combining layers of asbestos-containing material with nonasbestos-containing material was allowed." 60 Fed. Reg. 65,243 (Dec. 19, 1995).
¶13 The clarification allowed that a source sending a multi-layered
sample to a laboratory for testing may request that certain samples first be
composited for analysis in an effort to reduce time and the costs associated
with the sample. It advised that when the composite analysis indicates that the
average of the sample's layers is greater than one percent, the sample is
deemed to be ACM and an individual analysis of the layers is not necessary.
However, when the composited sample analysis results in less than one percent
asbestos, but greater than zero, an "analysis by layers is required to
ensure that no layer in the system contains greater than one percent
asbestos."
¶14 Pursuant to its regulatory authority the DNR initiated an enforcement action against Harenda. In this case we examine whether we owe deference to an agency's interpretation of its own rule concerning the testing of multi-layered samples for asbestos content.
B
¶15 The background facts of this case are not in dispute. The circuit court set forth those facts in its Findings of Fact and Conclusions of Law entered along with its order granting judgment in the State's favor.
¶16 This case stems from a decision by the Wisconsin Center District to renovate the Milwaukee Auditorium. In 2001, the Wisconsin Center District retained Harenda to conduct an inspection of the Auditorium for possible ACM prior to renovation. Among the areas Harenda inspected were the walls of the Auditorium's second floor bowl area (the "disputed area"). As part of its pre-demolition inspection, Harenda took samples from the disputed area and sent them to a testing laboratory. The test results indicated that none of the samples contained greater than one percent asbestos.
¶17 The demolition of the disputed area, which was carried out by a contractor, commenced in March 2002 and proceeded without following chapter NR 447 asbestos abatement regulations. After demolition had started, representatives of the State took samples from the walls of the disputed area for testing. The laboratory that tested the samples found a layer in a multi-layered sample that contained greater than one percent asbestos. Demolition ceased, and the State collected three further samples from the disputed area. The tests on these samples showed that the samples each contained greater than one percent asbestos.
¶18 Two days later, the State collected ten samples of plaster material from the disputed area that had been demolished. It provided a "split" of each of these samples to Harenda. The laboratory found that four of the State's ten samples were multi-layered samples containing a single layer of material with one percent asbestos or more, but with an overall asbestos content of less than one percent.
¶19 Harenda sent its split samples to an independent laboratory for testing. The laboratory found five of the ten samples were multi-layered samples containing a single layer of two percent asbestos and one layer of material that was a non-detect for asbestos. In contrast to the laboratory used by the State, Harenda's laboratory did not obtain an overall asbestos content for the five multi-layered asbestos-containing samples.[5]
¶20 The State, upon the request of the DNR, filed a complaint against Harenda. Based on the tests of its samples from the disputed area, the State alleged that material from the disputed area contained a sufficient amount of ACM for it to be considered regulated asbestos-containing material. It alleged that Harenda was therefore liable for violations of several provisions of Wis. Admin. Code Ch. NR 447. These include failure to adequately wet ACM in violation of § NR 447.08(6)(a), failure to carefully lower ACM in violation of § NR 447.08(6)(b), failure to remove ACM prior to demolition activity in violation of § NR 447.08(1), discharge of visible emissions to the outside air during the disturbance of ACM in violation of § NR 447.13(1), and failure to file an accurate notice of intent to renovate a facility containing ACM in violation of § NR 447.07.
¶21 The parties entered into a stipulation according to which Harenda
would owe $37,138.50 in penalties and surcharges if it were held liable. They
further stipulated that Harenda is an "operator" under chapter NR 447 and that the asbestos
testing results from the various laboratories are "accurate within the
analytical testing method that each respective laboratory utilized."
¶22 The circuit court granted a motion for summary judgment by the State. It determined that the State satisfied its burden of demonstrating that there was ACM under § NR 447.01(1)(a) and § NR 447.02(1)(b) and the relevant federal regulation, 40 C.F.R. Pt. 763, Subpt. E., App. E, § 1.7.2.1. The circuit court further determined that the State met its burden in showing that the ACM was stripped or removed without complying with the requirements of chapter NR 447 as alleged in the complaint.
¶23 Harenda appealed. The court of appeals determined that the State's
interpretation of 40 C.F.R. Pt. 763, Subpt. E., App. E, § 1.7.2.1, which was based upon clarifications of
the rule issued by the United States Environmental Protection Agency, was
inconsistent with the plain language of § 1.7.2.1.
II
¶24 The central issue
in this case concerns the interpretation of the method used to test for
asbestos-containing material (ACM) pursuant to chapter NR 447 of the Wisconsin
Administrative Code. This case is before us on the circuit court's grant
of summary judgment in favor of the State. We review the grant or denial of
summary judgment independently, but apply the same methodology as used by the
circuit court. Wis. Mall Props., LLC v. Younkers, Inc., 2006 WI 95, ¶19, 293 Wis. 2d 573; 717
N.W.2d 703 (citing Green Spring Farms v. Kersten, 136 Wis. 2d 304, 315,
401 N.W.2d 816 (1987)). Summary judgment is appropriate where there are no
genuine issues of material fact and the moving party is entitled to judgment as
a matter of law.
¶25 Administrative code provisions are interpreted according to
principles of statutory construction.[6]
Orion Flight Servs., Inc. v. Basler Flight Serv., 2006 WI 51, ¶18, 290 Wis. 2d 421, 714 N.W.2d 130. When an
administrative code provision is ambiguous, we turn to extrinsic sources in
order to determine agency intent.
¶26 In addressing whether the regulation is clearly erroneous we
consider the intent or purpose of the regulation. In resolving ambiguities,
"[i]t is fundamental that we must favor a construction of a statute or
regulation which will fulfill the intent of the statute or regulation over one
which defeats its manifest object." Baierl v. McTaggart, 2001 WI
107, ¶21, 245
¶27 It is often difficult to discern the difference between an
interpretive rule and a legislative rule, as they lie upon a "hazy
continuum."
¶28 In this case we also address the issue of whether the circuit
court's judgment violated Harenda's constitutional right to substantive due
process. Such an inquiry presents a question of law which we review
independently.
III
A
¶29 Under
Bulk samples of building materials taken for the identification and quantitation of asbestos are first examined for homogeneity at low magnification with the aid of a stereomicroscope. The core sample may be examined in its container or carefully removed from the container onto a glassine transfer paper or clean glass plate. If possible, note is made of the top and bottom orientation. When discrete strata are identified, each is treated as a separate material so that fibers are first identified and quantified in that layer only, and then the results for each layer are combined to yield an estimate of asbestos content for the whole sample.
40 C.F.R. Pt. 763, Subpt. E, App. E, § 1.7.2.1 (emphasis added).
¶30 The focus of our inquiry is on the last sentence of the above rule. It describes two different types of testing measurements: (1) a quantification of asbestos fibers in each discrete layer, and (2) an "estimate of asbestos content for the whole sample" achieved by combining the results from discrete layers. However, it is unclear which of these measurements is relevant in determining whether material is ACM.
¶31 The circuit court aptly describes the ambiguity in the two main clauses of the sentence, noting that they say different things:
[I]f they can discern discrete strata, they're supposed to come up with a number for each layer. It says that in the first clause of the final sentence that I read. And then it's got a conjunction—and—which supports [Harenda's] argument, and the second clause, which says, And then you composite or come up with a total for all the layers. And the question what does it mean? . . . . I'm going to borrow from my early life as an English teacher. There's two clauses in one sentence, and they say two different things. They don't rule each other out, either. They say two different things, and they're joined by a linking conjunction. . . .
[I]t doesn't say whether the violation occurs in both parts of the sentence, just one, or the other. It is not clear. However, I think it's significant that each half of the sentence doesn't rule the other out. And so then the question becomes, is this interim method rule . . . clear? No, it's not clear. And that's pretty obvious. [9]
¶32 The second clause of the sentence reveals further ambiguity with respect to how to arrive at an "estimate of asbestos content for the whole sample." It directs that "and then the results of each layer are combined." However, it is unclear what is meant here by the word "combined." The State asserts that it is ambiguous, but posits that a reasonable interpretation is that the results are added together. Harenda maintains that "combined" means that the results are averaged.
¶33 The court of appeals, without explanation, concluded that
"combining" the results from each layer requires that the percentage
of asbestos for each layer be averaged. Harenda Enterprises, 297
¶34 Moreover, "combine" means to "bring into a state of
unity; merge." American Heritage Dictionary of the English Language,
377 (3rd ed. 1992). "Average" is defined as the "arithmetic
mean."
¶35 Further, the language of the section leaves unclear which layers are combined to yield an estimate of the asbestos content of the whole sample. There are two plausible interpretations. The first is that only the results from each layer in which there are asbestos fibers are combined to yield an estimate of the asbestos content of the whole sample. The second interpretation is that the results from every layer identified, including those in which no asbestos fibers are identified and quantified, are combined to yield the estimate of asbestos content for the whole sample. This appears to be the interpretation embraced by the court of appeals.
¶36 In light of these interpretations, we reject Harenda's contention that the text of the rule is unambiguous. It is unclear how the first clause of the relevant sentence relates to the second clause. Likewise, the meaning of the word "combine" is uncertain, and there are competing interpretations as to what layers are to be combined to yield an estimate of asbestos content. We therefore determine that the language of § 1.7.2.1 is ambiguous.
B
¶37 The determination that § 1.7.2.1
is ambiguous, however, does not end our inquiry. We must next examine whether
the State's interpretation is inconsistent with the regulation or clearly
erroneous. As we have noted, an administrative agency's interpretation of its
own regulations is controlling unless the agency's interpretation is
"inconsistent with the language of the regulation or is clearly
erroneous." Orion Flight Servs., 290
¶38 The State maintains that under § 1.7.2.1, material is ACM if a single layer from a multi-layered sample contains greater than one percent asbestos. It bases its position on the interpretations advanced in two clarifications issued by the EPA in response to questions regarding the testing of multi-layered samples.
¶39 In the first, issued in January 1994, the EPA stated that the clarification was a response to members of the regulated community who had "frequently asked" questions regarding the analysis of multi-layered samples.
The Agency has learned that some of the regulated community have questions concerning the analysis of samples which may contain multiple layers, any or all of which may be asbestos containing materials (ACM) . . . . Because these questions are frequently asked, EPA is making this clarification.
59 Fed. Reg. 542 (Jan. 5, 1994).
¶40 The clarification provided that when multi-layered samples are
tested, the results from each layer should be reported. It stated that
"[i]n general, when a sample consists of two or more distinct layers or
materials, each layer should be treated separately and the results reported by
layer (discrete stratum)."
¶41 Thus, the EPA's interpretation of § 1.7.2.1 is that the results of each layer are relevant in determining whether material is ACM. This addresses the first ambiguity in § 1.7.2.1 that we describe above. It sheds light on the circuit court's question of "whether the violation occurs in both parts of the sentence, just one, or the other." The January 1994 statement clarifies that a violation occurs in the first part of the sentence.
¶42 The second clarification in which the EPA interprets its rule was issued in December 1995 in response to continued questions regarding the testing of multi-layered samples. The EPA explains in the second clarification that prior to adopting the procedures set forth in 40 C.F.R. Pt. 763, Subpt. E, App. E, § 1.7.2.1, on November 20, 1990, the EPA had informal policies of treating each layer in multi-layer systems separately and against diluting asbestos-containing layers by combining them with layers not containing asbestos:
EPA's unwritten policy based on the definition of "friable asbestos material" was that each layer in a multi-layered system was to be analyzed as a separate material (no averaging or dilution by combining layers of asbestos-containing material with nonasbestos-containing material was allowed).
60 Fed. Reg. 65,243 (Dec. 19, 1995).
¶43 Further, the December 1995 statement explained that the January
1994 clarification interpreted § 1.7.2.1
as precluding averaging. It states that in multi-layered systems, "results
were not allowed to be combined to determine average asbestos content
(continuing the policy that dilution of an asbestos-containing material is not
allowed)."
¶44 The EPA's December
1995 clarification therefore provides guidance on a second ambiguity in
§ 1.7.2.1. "Combining" the results from discrete layers does not
mean averaging the content of those layers where doing so dilutes the results.
¶45 The document also describes a potentially cost-saving method for testing multi-layered samples. It explains that in testing multi-layered samples, labs may composite layers first in order to determine whether it is necessary to perform potentially more costly and time-consuming testing of discrete layers:
Any source sending multi-layered bulk samples to a lab may request that certain sample(s) or portions of sample(s) be composited for analysis first (to potentially reduce time and cost of sampling).
(Note: A composite sample does not mean that multiple samples may be composited into one sample. It means that multiple layers of one core sample may be composited for analysis.)
¶46 The clarification then explains that if the analysis of composited layers shows that the average content of asbestos for the whole sample is greater than one percent, the system must be treated as ACM. However, if the analysis shows the presence of asbestos, but in a concentration of less than one percent, each discrete strata must be treated separately. If a single layer is found to contain greater than one percent asbestos, then that layer must be treated as ACM.
If the result of the composite analysis shows that the average content for the multi-layered system (across the layers) is greater than one percent, then the multi-layered system must be treated as asbestos-containing and analysis by layers is not necessary. If the result of the composite sample analysis indicates that the multi-layered system as a whole contains asbestos in the amount of one percent or less, but greater than none detected, then analysis by layers is required to ensure that no layer in the system contains greater than one percent asbestos. If any layer contains greater than one percent asbestos, that layer must be treated as asbestos-containing. This will have the effect of requiring all layers in a multi-layered system to be treated as asbestos-containing if the layers can not be separated without disturbing the asbestos-containing layer. Once any one layer is shown to have greater than one percent asbestos, further analysis of the other layers is not necessary if all the layers will be treated as asbestos-containing.
¶47 The December 1995
statement therefore reiterates the position of the January 1994 statement that
the measure of asbestos content from a single layer may render multi-layer
material ACM. It also provides an opportunity to perform first a composite test
in order to determine more quickly and efficiently that a sample is ACM.
Notably, it does not imply that the "estimate of asbestos content
for the whole sample" described
in § 1.7.2.1 is an average of all layers. Rather, it clarifies that
averaging may not be used to dilute the measure of asbestos content in
multi-layer samples. The composite test allows averaging, but it is a separate
test used to forestall the expense of analyzing individual layers and not as a
means of dilution.
¶48 The State's
argument regarding the testing method is therefore supported by the EPA's
clarifications, which are not inconsistent with § 1.7.2.1. Moreover, the
EPA's interpretation is not clearly erroneous, as its interpretation is
supported by the purpose of regulation and basic principles of statutory
construction.
¶49 The manifest purpose of chapter NR 447 of the Wisconsin Administrative Code, which incorporates 40 C.F.R. Pt. 763, Subpt. E, App. E, § 1.7.2.1, is to protect workers and the public from air pollution from asbestos. Prohibiting the dilution of ACM by averaging the asbestos content of multi-layer systems serves that purpose.[11]
¶50 The interpretation suggested by Harenda, and adopted by the court of appeals, runs contrary to the purpose of the rule. At oral argument, the State explained that averaging layers would allow that a layer of wall containing (for example) 1.9 percent asbestos would constitute ACM if it were standing alone, but not constitute ACM if attached to a layer of wall with no asbestos. The State explained, however, that whether the asbestos-containing layer is attached to a non-asbestos-containing layer does not diminish the amount of asbestos that disperses into the air when a worker strikes the wall with a hammer or a wrecking ball.[12]
¶51 The State's and EPA's interpretation is also required in order to
harmonize the language of § NR
447.02(1)(b) and § 1.7.2.1.
It is a basic principle of statutory and administrative rule construction that
"provisions relating to the same subject matter should be read together
and harmonized when possible." State v. Morford, 2004 WI 5, ¶21, 268
¶52 Section 447.02(1)(b) states that "'Category II nonfriable ACM' means any material" that contains greater than one percent asbestos under § 1.7.2.1. (Emphasis added.) Section 1.7.2.1 is explicit that where a sample contains discrete strata, "each is treated as a separate material." (Emphasis added.) Reading these two provisions together, discrete strata must be treated as separate material under § 1.7.2.1, and any material containing greater than one percent asbestos is ACM under § NR 447.02(1)(b). It therefore follows that a discrete strata containing greater than one percent asbestos is ACM.
¶53 Interpreting the regulations such that a discrete strata in a multi-layer sample cannot be ACM would require that "material" have different meanings in § 1.7.2.1 and § NR 447.02(1)(b). However, it seems implausible that § NR 447.02(1)(b) uses the word "material" to mean one thing, but employs and directly refers to a test for ACM that uses "material" to mean something altogether different.
¶54 Harenda argues, however, that the EPA's interpretation of § 1.7.2.1 contradicts
the section because it renders the second clause of the sentence (estimating
the asbestos content of the entire sample) superfluous. Construction of
statutes and administrative rules should avoid whenever possible
interpretations that render language superfluous. Hutson v. State Pers.
Comm'n, 2003 WI 97, ¶49,
263
¶55 First, its argument assumes that "combining" the results
from discrete layers to "yield an estimate of asbestos content for the
whole sample" means averaging the results. The EPA was clear in the
January 1994 and December 1995 documents that layers could not be averaged as a
means to dilute layers containing greater than one percent asbestos. 59 Fed. Reg.
542 (Jan. 5, 1994); 60 Fed. Reg. 65,243 (Dec. 19, 1995). The discussion of
averaging the asbestos contents for multiple layers occurs in the context of
providing testers the opportunity to do a preliminary cost- and time-saving
test in order to establish whether analyzing discrete layers is necessary.
¶56 Second, it is Harenda's interpretation of § 1.7.2.1 that renders language superfluous. If the asbestos content of an entire multi-layer sample is the only measure relevant in determining whether material is ACM, there would be no need to treat each layer "as a separate material so that fibers are first identified and quantified in that layer only." Material could be determined ACM without analyzing discrete strata. Harenda's argument is unpersuasive.[13]
¶57 We therefore conclude that the EPA's January 1994 and December 1995 clarifications are not inconsistent with the language of § 1.7.2.1. We also conclude that the EPA's interpretation is not clearly erroneous. The EPA's interpretation fulfills the purpose of the asbestos regulations, whereas the alternative interpretation Harenda proposes defeats that purpose. Moreover, the EPA's view is supported by basic principles of statutory construction. Giving deference to an agency's interpretation of its own rule, we conclude that the interpretation of § 1.7.2.1 explained in the EPA's January 1994 and December 1995 clarifications is controlling. [14]
IV
¶58 Harenda also argues that the clarifications impose new obligations, and absent the clarifications, there would be no basis for the State's enforcement action. It contends that the clarifications are therefore legislative rules, and that they are unenforceable because they were not enacted through the proper administrative rule making procedures pursuant to 5 U.S.C. § 553.
¶59 Under the federal Administrative Procedures Act (APA), an agency
may issue a legislative rule only if it uses the note and comment procedure
described in 5 U.S.C. § 553(b) or establishes an exception under 5 U.S.C. § 553(b)(3)(B). Hemp
Indus. Ass'n v. DEA, 333 F.3d 1082, 1087 (9th Cir. 2003). However, an
agency need not follow the note and comment procedure in order to issue an
interpretive rule.
¶60 The difference between interpretive rules and legislative rules is,
roughly speaking, that interpretive rules merely explain substantive law, and
legislative rules create rights, impose obligations, or effect a change in existing
law. Yesler Terrace Community Council v. Cisneros, 37 F.3d 442, 449 (9th
Cir. 1994). A rule is legislative if, "in the absence of the rule, there
would not be an adequate legislative basis for enforcement action." Hemp
Indus. Ass'n, 333 F.3d at 1087. However, as noted above, interpretive rules
and legislative rules lie upon a "hazy continuum" and distinguishing
them is a case-specific endeavor.
¶61 Harenda cites to a recent, unpublished case from
¶62 The court determined that the "single-layer" method
described in the clarifications conflicts with the test set forth in
§ 1.7.2.1. It interpreted the § 1.7.2.1 test to mean that
"material is not regulated unless the combined result yields more than 1
percent asbestos."
¶63 The court's conclusion in SDG&E, however, turns on an interpretation of § 1.7.2.1 that we have rejected. As explained above, it is our determination that a reasonable interpretation of § 1.7.2.1 is that multi-layer material is ACM if a single layer has an asbestos content of greater than one percent. That interpretation is supported by EPA's clarifications, the manifest purpose of the rule, and principles of statutory construction.[15] Further, the SDG&E court uncritically adopts the view, which we reject, that in § 1.7.2.1 "combine" means average.
¶64 Moreover, § 1.7.2.1 provides an adequate basis for the enforcement action even without the clarifications. As we discuss above, § 1.7.2.1 is ambiguous, and the EPA's interpretation is consistent with the section. Specifically, § 1.7.2.1 supports the interpretation that if a single layer of a multi-layer sample contains greater than one percent asbestos, the material is ACM. Also as outlined above, that interpretation is supported by the purpose of the regulations and basic principles of construction.
¶65 Finally, we are mindful that the EPA characterized the 1994 and 1995 statements as "clarifications to the final rule" rather than rules. When courts consider an agency's characterization of its actions they "generally give deference to the agency's views." Beverly Health & Rehab., 223 F. Supp. 2d at 103. The EPA's view supports our conclusion that the statements are interpretive rules rather than legislative rules. We therefore determine that, contrary to SDG&E, § 1.7.2.1 provides an adequate legislative basis for the State's enforcement action.[16] The clarifications are not legislative rules. Rather, they are valid interpretive rules.
V
¶66 We turn finally to Harenda's due process argument. Harenda contends that its pre-demolition sampling and testing satisfied the applicable regulations and indicated that the material in the disputed area was not ACM. It further maintains that the differences between the results of its tests on the split samples and the State's tests on the split samples create an issue of fact as to whether the material from the disputed area was ACM. Thus, it argues that the circuit court granted the State's motion for summary judgment on the basis of "conflicting test results." It maintains that the decision was therefore arbitrary, and it violated Harenda's right to due process.
¶67 Harenda's contention that the circuit court's decision was arbitrary is unpersuasive. Its due process argument is thus without foundation.
¶68 The circuit court based its decision on a four-element test as set forth in National Can, 126 F. Supp. 2d 521:
In order to establish liability under the asbestos NESHAP, the government must prove that 1) [American Can] was an owner or operator of a facility, 2) a renovation occurred, 3) asbestos was removed or stripped without complying with the requirements and practices delineated in the asbestos NESHAP, and 4) a jurisdictional amount of asbestos was disturbed.
¶69 Under the above test, owners and operators are strictly liable for
asbestos abatement regulation violations occurring at their regulated
facilities. The State does not have to prove any negligence or intent to
violate the regulation. As stated in
Having been deemed an owner or operator, [the defendant] has no valid challenge against application of the Act, regardless of how minimal the company's responsibilities or knowledge may actually have been. The Act imposes strict liability on all owners and operators of properties in violation of the Act.
¶70 The parties have stipulated that Harenda is an operator of a facility. There is also no dispute that a renovation occurred and that removal of material from the disputed area occurred without following the procedures outlined in chapter 447. Further, Harenda does not contest that if the material removed from the disputed area is ACM, a jurisdictional amount of asbestos was disturbed.[17] The issue is whether the material removed from the disputed area is ACM.
¶71 Harenda is correct that the State has offered no argument that Harenda failed to conduct its pre-demolition sampling and testing according to the regulations. In fact, the State offers no opinion on the issue. Instead, the State asserts that liability does not depend on whether an owner or operator conducts pre-demolition sampling testing in accord with the regulations.
¶72 The State is correct. The elements set forth above do not require that the owner or operator sample or test improperly, and Harenda offers no argument that sampling and testing according to the regulations is a defense. Thus, in the present case liability depends on whether the material disturbed was ACM, not on the quality of Harenda's pre-demolition sampling and testing.
¶73 Harenda's argument that the circuit court made an arbitrary choice between "dueling test results" is similarly unpersuasive. It makes much of the fact that the tests of the split samples conducted for the State and for Harenda had different results. Harenda contends that such "analytic variability" in testing results undermines the basis of the circuit court's decision and renders it arbitrary.
¶74 It is correct that Harenda's tests indicated that one more sample contained ACM than the State's test, and it is also correct that the tests differed with respect to the precise amount of asbestos in some samples. However, the samples are not "dueling" with respect to whether the material was ACM under the regulations. The tests on the split samples conducted for Harenda and the tests on the split samples conducted for the State both came back positive for ACM. Regardless of "analytic variability," the two sets of tests were consistent in the relevant respect, namely, whether the material was ACM.
¶75 Harenda's pre-demolition sampling and testing was the only set of tests that did not indicate that material from the disputed area was ACM. The State's test during demolition indicated that the material was ACM, and the State's test after demolition was halted indicated that the material was ACM. Further, both the State's and Harenda's tests on the split samples indicated that the material was ACM. The parties have stipulated that the tests were accurate within their testing method. Thus, the array of positive tests is sufficient to show the presence of ACM.
¶76 Accordingly, we determine that there was nothing arbitrary in the circuit court's conclusion that the tests showed that the material from the disputed area was ACM. Harenda therefore has no basis for a claim that the decision violated its right to due process.
VI
¶77 In sum, we determine, first, that the language of § 1.7.2.1 is ambiguous. Giving deference to an agency's interpretation of its own rule, we conclude that the EPA's interpretation is controlling because it is neither inconsistent with § 1.7.2.1 nor clearly erroneous. We further determine that the clarifications do not constitute impermissible rule making; rather, they are valid interpretive rules. Finally, we determine that the circuit court's judgment does not violate Harenda's substantive due process rights. We therefore reverse the court of appeals.
By the Court.—The decision of the court of appeals is reversed.
¶78 ANNETTE KINGSLAND ZIEGLER, J. (dissenting). In an area as crucial as asbestos removal, it
is important to have clear, understandable, enforceable testing methods. In general, clarifications may be a useful
guide, but the "clarifications" in this case are inconsistent with
the plain language of the rule and more than interpretive guidelines. In fact, the "clarifications"
effect a substantive change rather than clarify the alleged ambiguity in the
1990 rule. Despite the fact that the
"clarifications" do not clarify the alleged ambiguity, are contrary
to the promulgated rule, and were not adopted in this state, the majority still
gives them the force of law. As a result, I must respectfully
dissent.
I
¶79 Asbestos is a group of minerals that naturally occur as fibers. It has been widely used in many industrial products such as flooring, textiles, and insulation.[18] Exposure to asbestos can lead to mesothelioma, which is a rare form of cancer that affects the protective sac of most internal organs such as the lungs. "Most people who develop mesothelioma have worked on jobs where they inhaled asbestos particles."[19] Symptoms, however, may not appear until 30 to 50 years after exposure. The incidence of this rare cancer has increased over the past 20 years but may be stabilizing now. Once symptoms appear and the cancer is diagnosed, the disease is often very advanced.[20] Mesothelioma is often associated with a horrible death.
II
¶80 The Clean Air Act regulates hazardous pollutants, such as
asbestos. 42 U.S.C.A. § 7412 (West 1999). The Environmental Protection Agency (EPA)
enacted the National Emission Standards for Hazardous Air Pollutants (NESHAP)
pursuant to its authority under § 7412. In 1973, the EPA promulgated the first
asbestos NESHAP regulation. See
38 Fed. Reg. 8,820, 8,826-30 (Apr. 6, 1973).
The asbestos NESHAP specifies procedures for removing certain asbestos
materials. 40 C.F.R. Pt. 61, Subpt. M, § 61.145. The 1973 regulation underwent significant
changes in 1990 in order to "enhance enforcement and promote compliance
with the current standard without altering the stringency of existing
controls." 55 Fed.
¶81 Following the proper rule-making process, the EPA established the
"Interim Method" for determining asbestos content in bulk samples.[21] See id. at 48,415; 40 C.F.R. Pt.
763, Subpt. E, App. E, § 1.7.2.1,
Gross Examination. The DNR incorporated
by reference the 1990 testing method, but it did not so incorporate the 1994
and 1995 clarifications.[22] The 1990 method seems to require the
following: (1) examine the core sample for homogeneity; (2) if the sample is
homogeneous, identify fibers and quantify asbestos content for the sample; (3)
when discrete strata are identified, the fibers in each layer are identified
and quantified; "and then" (4) after the layers are
quantified, the results of each layer are combined to yield an estimate of
asbestos content for the whole sample. See,
e.g., State v. Harenda Enters., Inc., 2006 WI App 230, ¶4, 297
¶82 The
plain language of the 1990 rule is instructive.
It does not stop at the analysis of each layer. It reads: "and then the results
for each layer are combined to yield an estimate of asbestos content for the
whole sample." (Emphasis added.) If
the rule was intended to require removal when any one layer was over one
percent, the rule would not need the last clause, which requires that layers be
combined to yield a result for the whole sample.
¶83 The
majority, however, concludes that the language in § 1.7.2.1 is ambiguous
because of the word "combined."
See majority op., ¶¶29-36.
As a result, the majority relies on the 1994 and 1995 EPA
clarifications, which undermine the plain language of the properly promulgated
1990 rule.[23] The majority accepts the two EPA
"clarifications" even though they do not have the force of law, are
contrary to the plain language of the rule, and read the "combined"
requirement out of existence. See
majority op., ¶¶38-49. Because the
clarifications (1) do not clarify the ambiguity; (2) were not properly
promulgated and are not the law of this state; and (3) fail to fully protect
the worker, I must dissent.
A
¶84 Even
if we look to the 1994 and 1995 clarifications and ignore the fact that the DNR
did not adopt the clarifications but adopted only the 1990 rule, the
clarifications still do not clarify the alleged ambiguity of what
"combined" means. In 1994 and
1995, the EPA produced "clarifications" for the 1990 rule. The January 5, 1994, clarification briefly
explained, "when a sample consists of two or more distinct layers or
materials, each layer should be treated separately and the results reported by
layer (discrete stratum)." 59 Fed.
Reg. 542 (Jan. 5, 1994). Even if this is
an explanation, it still fails to explain what actions should be taken to combine
layers to yield an estimate for the whole sample.
¶85 To add to the confusion, the second clarification, issued in 1995, states that combining layers was never allowed. That contention, however, is clearly contrary to the plain language of the rule. The 1995 clarification states that the "unwritten policy" of the EPA dating back to the 1970s "was that each layer in a multi-layered system was to be analyzed as a separate material (no averaging or dilution by combining layers of asbestos-containing material with nonasbestos-containing material was allowed)." 60 Fed. Reg. 65,243 (Dec. 19, 1995). While this new test——the single layer approach——may be a better approach, it is contrary to the 1990 rule's plain language. Rather than clarify the alleged ambiguity, the clarifications create a new and distinct rule.
B
¶86 Under our system of government, any enforceable rule, however, must be vetted through the proper
rule-making process. The rule-making
process is an important part of our democracy.
It gives interested parties the opportunity to be heard. The Administrative Procedures Act
governs the promulgation of new federal agency rules, 5 U.S.C.A. § 553, and chapter 227
of the Wisconsin Statutes governs the promulgation of
¶87 When a rule is interpretive rather than substantive, the rule is excepted from the notice and comment period requirements. 5 U.S.C.A. § 553(c). Whether a rule is substantive rather than interpretive, however, depends upon whether it creates rights, assigns duties, or imposes new obligations. See Hemp Indus. Ass'n v. Drug Enforcement Admin., 333 F.3d 1082, 1087 (9th Cir. 2003) (concluding (1) that a legislative or substantive rule promulgated without following the rule-making requirements is invalid; and (2) that a rule is legislative or substantive if it imposes new obligations or changes existing law).[24]
¶88 Here, there can be no question that the 1994 and 1995
clarifications effect a substantive change to the law, impose new obligations
on companies such as Harenda, and create significant civil or criminal
liability. The
"clarifications" change the analysis from a multi-layered approach to
a single-layer approach. This changes
the rule——without following proper rule-making procedures——because instead of a
quantity of asbestos for the whole sample giving rise to an obligation for
special removal procedures, a company, such as Harenda, must follow special
removal procedures when only one layer out of many contains greater than one
percent asbestos. Because the clarifications
impose new obligations upon companies such as Harenda, the clarifications
change the rules governing asbestos testing.[25] In fact, the State
seems to concede that the clarifications change the rule; the State admits that
it cannot meet its burden of proof if the clarifications are not the law.[26] Thus, the
clarifications substantively change the rules governing asbestos testing.
¶89 The EPA even acknowledged its responsibility to promulgate a new rule so that it could properly enforce the new test. The 1995 clarification itself states that with regard to the composite analysis method, the "EPA intends to amend the asbestos NESHAP in the near future to refer specifically to these procedures." 60 Fed. Reg. 65,243 (Dec. 19, 1995). However, the EPA never took that action.
¶90 The 1995 clarification devised an alternative cost-saving test
method, which allows one to have the composite analyzed first.
¶91 As we see in this case, the clarifications have been enforced by
the DNR as if they have the force of a properly promulgated rule, despite the
fact that our state did not incorporate by reference the clarifications[28]
and they effect a substantive change to the rule. While an agency may interpret rules, they
cannot effect a new rule that changes the substantive rule. In effect, new rules governing asbestos
testing, which could result in civil or criminal penalties, have been imposed
without following proper rule-making procedures. See United States v.
¶92 Proper rule making is important because matters are openly debated and people have the opportunity to be heard. It is fundamentally unfair to subject anyone to significant liability——especially criminal liability——when proper rule making did not occur. Here, Harenda was exposed to $4 million in liability.[29] If the State intends to hold people or companies liable——potentially criminally liable——the rules must be properly enacted.[30] Furthermore, it runs counter to our system of justice to hold anyone civilly liable, and especially criminally liable, when the proper testing method is ambiguous as the majority claims.
¶93 The rule of lenity must be considered. While the case at hand is a civil action, our
interpretation of the rule will affect those who are subject to criminal
prosecution for "asbestos violations." The rule of lenity provides "that
ambiguous penal statutes should be interpreted in favor of the defendant." State v. Cole, 2003 WI 59, ¶67, 262
¶94 Here, the clarifications do not merely explain substantive law. Rather, they impose new obligations by changing existing law. Thus, the clarifications introduce substantive changes in the law without following the proper rule-making procedures.[31]
C
¶95 The current testing methods and procedures are dangerously ineffective. Harenda and the DNR both had testing completed under the clarifications method, yet they still acquired different results. Not only were the results different pre- and post-demolition, but the tests conducted post-demolition produced competing results. Harenda's pre-demolition samples did not give rise to special precautions. Post-demolition samples, however, which were divided and given to both Harenda and the State, were not consistent with each other although both results would have required ACM precautions. When the same test yields different results, even on the same sample area, how does a court resolve these competing facts at summary judgment?
¶96 While the DNR argues that the clarifications result in safer
working conditions, they still do not actually protect the worker. Although this court cannot require it, our
federal and state government should consider implementing guidelines that
actually protect the worker, such as requiring state authorities to conduct
testing prior to demolition. If the
clarifications are "adopted" by this court, then the DNR should act
to properly adopt them. For
example, the State of
III
¶97 The "clarifications" do not clarify the 1990 rule. The 1994 clarification promotes a single-layer test, which is not the test articulated in the properly enacted rule. The 1995 clarification confuses the issue even more. The clarifications do not clarify what "combined" means. Moreover, the clarifications are inconsistent with the plain language of the rule and are more than interpretive guidelines. In fact, they effect a substantive change. The clarifications and the majority's interpretation eliminate the last clause of the rule even though the clarifications have not been subjected to the proper rule-making process. The government should be required to clearly articulate and enact the lawful test in order to ensure that citizens are not exposed to asbestos and put companies on notice about potentially, significant liability for a violation of the "properly enacted rule."
¶98 Here, neither the EPA nor the DNR properly promulgated the clarifications. The clarifications effected a substantive change to the "Interim Method," and they are not the law of this state. In the case at issue, the State's motion for summary judgment should not have been granted.
¶99 For the foregoing reasons, I respectfully dissent.
¶100 I am authorized to state that Justices DAVID T. PROSSER and PATIENCE DRAKE ROGGENSACK join this dissent.
[1]
[2] All references to chapter NR 447 of the Wisconsin Administrative Code are to the June 2004 version unless otherwise noted.
[3]
(2) PURPOSE. This chapter is adopted under ss. 285.11, 285.13, 285.17 and 285.27, Stats., to establish emission limitations for asbestos air contaminant sources, to establish procedures to be followed when working with asbestos materials and to create additional reporting and recordkeeping requirements for owners or operators of asbestos air contaminant sources in order to protect air quality.
[4] All references to the Wisconsin Statutes are to the 2005-06 version unless otherwise noted.
[5] We note that all of the tests
performed on samples for both parties were performed based upon the
interpretation of regulations advocated by the State. The court of
appeals decision in this case indicates some confusion in this regard. In the
first paragraph of its opinion, the court concludes that "Harenda's
testing for asbestos contamination complied with the law, and, accordingly,
[we] reverse." Harenda Enterprises, 297
[6] See Wis. Stat. §
227.27(1), which states:
In construing rules, ss. 990.001, 990.01, 990.03(1), (2) and (4), 990.04 and 990.06 apply in the same manner in which they apply to statutes, except that ss. 990.001 and 990.01 do not apply if the construction would produce a result that is inconsistent with the manifest intent of the agency.
[7] Pfeiffer v. Board of
Regents, 110
[8]
(1) "ACM" means asbestos-containing material.
. . . .
(b) "Category II nonfriable ACM" means any material, excluding Category I nonfriable ACM, containing more than 1% asbestos as determined using the method specified in Appendix E to Subpart E, 40 CFR part 763, section 1, Polarized Light Microscopy that, when dry, cannot be crumbled, pulverized or reduced to powder by hand pressure.
See also Wis. Admin. Code § NR 484.04(28)(July 2007) (incorporating by reference 40 C.F.R. part 763, § 1 into § NR 447.02(1)(b)).
[9] See also In re LVI Envtl. Servs, Inc., 2001 WL 988722, 10 E.A.D. 99, 106 (Envtl. App. Bd. 2001)(noting lack of clarity in the text of 40 C.F.R. Pt. 763, Subpt. E, App. E, § 1.7.2.1 regarding which measure constitutes violation).
[10] The clarification details the procedure for analyzing composited layers.
[11] The dissent emphasizes
the importance of "clear, understandable, enforceable testing
methods" in "an area as crucial as asbestos removal." Dissent, ¶78. It next warns that
asbestos exposure can lead to a "horrible death."
Instead it would leave in place an ambiguous rule. It is unclear how the State would regulate demolition of ACM if the interpretive rule is invalidated. It would appear that under the dissent's view, workers would receive no protection in the demolition materials in which some layers contain greater than one percent ACM.
The dissent's reply that the majority
"invalidates the substantive rule" is incorrect.
[12] The court of appeals
rejected this argument. It determined that the argument led to the
"absurd" result that a "massively thick wall with an extremely
thin coat of paint" containing just over one percent asbestos could constitute
ACM. Harenda Enterprises, 297
[13] The dissent states that we
conclude the language in § 1.7.2.1 "is ambiguous because of the word
'combined.'" Dissent, ¶83. It further states that the 1994 and 1995
statements do not "clarify the alleged ambiguity," id.,
¶85 (emphasis added), and "change the analysis from a multi-layered
approach to a single-layer approach."
As we discuss in the text, there are two significant ambiguities in the rule. One concerns the word "combined." The other ambiguity, which was aptly described by the circuit court, is whether a violation occurs when asbestos content for discrete layers is quantified or whether a violation occurs only after the results from the discrete layers are "combined" (regardless of what "combined" means). While the dissent is correct that the clarifications do not fully explain what "combined" means, they directly address the ambiguity regarding what aspects of the test may give rise to a violation. The dissent's claim that the clarifications "do not address the alleged ambiguity" and thus "changes" the analysis is therefore mistaken.
[14] Harenda further
maintains that if § 1.7.2.1
is unclear, it is unconstitutionally vague and therefore void. However, its
argument on this point is broadly stated and not sufficiently developed. It
contends that the provision is unconstitutionally vague under the test set
forth in State v. McManus, 152
The standard Harenda cites applies to criminal
statutes and regulations.
Additionally, at oral argument Harenda acknowledged
that the laboratories conducting tests on its behalf were advised to use the
testing methods set forth in the clarifications (i.e., the same tests used by
the laboratories conducting tests for the State). It is unclear how Harenda can
now argue that the regulations fail to provide fair notice and standards for
enforcement when its lab was advised to use the testing method set forth in the
clarifications. Because Harenda's argument that the regulations are
unconstitutionally vague is insufficiently developed, we need not address it
here. Kristi L.M. v. Dennis E.M., 2007 WI 85, ¶20 n.7, 302
[15] Similarly, the dissent maintains that the clarifications do not apply because they have not been formally adopted by the DNR. Dissent, ¶¶90-91. However, the dissent's argument rests on a faulty premise. The DNR must formally adopt only legislative rules. For the reasons outlined in the text, the clarifications are interpretive rules that do not require formal adoption.
[16] Harenda asserts that the "State admits that, without the substantive changes . . . effected by the Clarifications, it loses this case . . . [and] admits that it can only establish a violation if the Clarification testing method is used." At oral argument the State rejected this characterization of its view. The State's view, it explained, is that the clarifications do not effect substantive change at all. Rather, the State admits that the average asbestos content of the samples from the disputed area is less than one percent.
[17]
(2) APPLICABILITY. The requirements of ss. NR 447.07 and 447.08 apply to each owner or operator of a demolition or renovation activity, including the removal of RACM as follows:
(a) In a facility being demolished, all the requirements of ss. NR 447.07 and 447.08 apply, except as provided in par. (c), if the combined amount of RACM meets any of the following:
1. At least 80 linear meters (260 linear feet) on pipes or at least 15 square meters (160 square feet) on other facility components; or
2. At least one cubic meter (35 cubic feet) off of facility components where the length or area could not be measured previously.
[18] National Cancer Institute, U.S. National Institutes of Health, Mesothelioma: Questions and Answers, available at http://www.cancer.gov/cancertopics/factsheet/Sites-Types/mesothelioma.
[19]
[20] American Cancer Society, ACS: What are the Key Statistics about Malignant Mesothelioma?, available at http://www.cancer.org/docroot/CRI/content/CRI_2_4_1X_What_are_the_key_statistics_for_malignant_mesothelioma_29.asp?sitearea=, revision 10/19/06.
[21] Section 1.7.2.1, Gross
Examination, provides:
Bulk samples of building materials taken for the identification and quantitation of asbestos are first examined for homogeneity at low magnification with the aid of a stereomicroscope. The core sample may be examined in its container or carefully removed from the container onto a glassine transfer paper or clean glass plate. If possible, note is made of the top and bottom orientation. When discrete strata are identified, each is treated as a separate material so that fibers are first identified and quantified in that layer only, and then the results for each layer are combined to yield an estimate of asbestos content for the whole sample.
40 C.F.R. Pt. 763, Subpt. E, App. E, § 1.7.2.1. (Emphasis added.)
[22] The 1990 testing method,
unlike the clarifications, was incorporated by reference on December 4, 1994. See
[23] The majority defers to the
agency's interpretation stating, "[a]n administrative agency's
interpretation of its own regulations is controlling 'unless the interpretation
is inconsistent with the language of the regulation or is clearly erroneous.'" See majority op., ¶25 (citing Orion
Flight Servs., Inc. v. Basler Flight Serv., 2006 WI 51, 290
[24] See also Yesler Terrace Cmty. Council v. Cisneros, 37 F.3d 442, 449 (9th Cir. 1994) (discussing the difference between interpretive and legislative rules); Elizabeth Williams, What constitutes "interpretative rule" of agency so as to exempt such action from notice requirements of Administrative Procedure Act (5 USCS § 553(b)(3)(A), 126 A.L.R. Fed. 347 (1995).
[25] See, e.g.,
Robert M. Howard, Patricia Guerrero, David B. McGrath, Drew R. Van Orden, The
EPA's Prosecution of Clean Air Act Asbestos NESHAP Cases Based Upon Non-binding
Bulk Material Test Methods, 44 San Diego L. Rev. 173, 202-03 (2007) (identifying
five substantive differences between the 1990 and 1993 test methods: (1)
averaging of multilayered material, which has been through federal rulemaking
three times, is rejected by the 1993 test method; (2) the 1990 rule
"mandates 'representative,' multilayered samples to quantify asbestos
content layer–by-layer" instead of material becoming regulated if any
single layer is greater than one-percent asbestos; (3) changing the "small
quantity" criteria for pipe wrap; (4) unlike the 1993 test method, the
1990 "method makes no laboratory determination of friability, as a
predictor of the material's actual condition in the field"; (5) "[u]nlike
the 1990 test method, the newer 1993 test method requires laboratories to
report on friability as that term is separately defined" in the new test
method). The 1993 method, which this
article refers to, is the method discussed in the clarifications. See id. at 182-86 (referring to
R.L. Perkins & B.W. Harvey, Test Method, Method for the Determination of
Asbestos in
[26] At the summary judgment hearing, the State said:
Then, question number 2 is whether or not the clarifications apply. Again, every test result that the State submitted were--used the clarification method. Every one. Why? Because they were all certified labs. And all certified labs under the NVLAP procedures have to follow the clarifications. They were all analyzed by layer. I'm first to admit that if you throw out the clarifications, you throw out the State's test results. Every one was analyzed I believe under the NVLAP approach. And so this is obviously a pivotal aspect.
(Emphasis added.)
[27] Presumably, this "averaging" arises out of the last sentence in § 1.7.2.1, Gross Examination. The 1995 clarification, thus, appears to try and utilize "combine" from § 1.7.2.1.
[28] In 1994, the DNR incorporated
by reference the federal 1990 rule. See
[29] Violations are contrary to Wis. Admin. Code §§ NR 447.08(6)(a), 447.08(6)(b), 447.08(1), and 447.13(1). Potential penalties for violations of asbestos regulations are provided in § NR 447.19, Penalties; it reads:
(1) The department may take appropriate
enforcement action against any owner or operator of a demolition or renovation
activity or any owner or operator of an active landfill, to which this chapter
applies, that violates this chapter.
Appropriate enforcement action includes letters of non-compliance,
notices of violation, citations, referrals to the Wisconsin department of
justice, and deferral or referrals to the
. . . .
(3) A citation may be issued which requires a forfeiture of not less than $500, nor more than $5,000, for each violation, except as provided in sub. (4). Each day of continued violation is a separate offense.
(4) When any owner or operator is found in violation of the regulatory requirements listed in sub. (2) by any court of this state, and the violation remains of record and unreversed, for any second or subsequent violation of the regulatory requirements listed in sub. (2) occurring within a 5-year period from the date of the prior adjudication, the minimum and maximum citation forfeitures shall be doubled.
[30] See
(1) Except as provided in s. 285.57(5) or 285.59(8), any person who violates this chapter or any rule promulgated, any permit issued or any special order issued under this chapter shall forfeit not less than $10 or more than $25,000 for each violation. Each day of continued violation is a separate offense.
(2)(a) Except as provided in par. (b), any person who intentionally commits an act that violates, or fails to perform an act required by this chapter, except s. 285.59, or any rule promulgated, any permit issued or any special order issued under this chapter, except s. 285.59, shall be fined not more than $25,000 per day of violation or imprisoned for not more than 6 months or both.
(b) If the conviction under par. (a) is for a violation committed after another conviction under par. (a), the person is guilty of a Class I felony, except that, notwithstanding the maximum fine specified in s. 939.50(3)(i), the person may be fined not more than $50,000 per day of violation.
[31] The majority claims the
dissent leaves the State of