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No. 10604422
United States Court of Appeals for the Ninth Circuit
Sovereign Inupiat for a Living Arctic v. United States Bureau of Land Management
No. 10604422 · Decided June 13, 2025
No. 10604422·Ninth Circuit · 2025·
FlawFinder last updated this page Apr. 2, 2026
Case Details
Court
United States Court of Appeals for the Ninth Circuit
Decided
June 13, 2025
Citation
No. 10604422
Disposition
See opinion text.
Full Opinion
FOR PUBLICATION
UNITED STATES COURT OF APPEALS
FOR THE NINTH CIRCUIT
CENTER FOR BIOLOGICAL
No. 23-3624
DIVERSITY; FRIENDS OF THE
EARTH; GREENPEACE, INC.; D.C. No.
NATURAL RESOURCES 3:23-cv-00061-
DEFENSE COUNCIL;DEFENDERS SLG
OF WILDLIFE,
OPINION
Plaintiffs - Appellants,
v.
UNITED STATES BUREAU OF
LAND MANAGEMENT; UNITED
STATES FISH & WILDLIFE
SERVICE; NATIONAL MARINE
FISHERIES SERVICE; UNITED
STATES DEPARTMENT OF THE
INTERIOR; UNITED STATES
DEPARTMENT OF COMMERCE;
DOUG BURGUM, in his official
capacity as Secretary of the Interior;
KATHARINE MACGREGOR, in
her official capacity as Deputy
Secretary of the Interior; HOWARD
LUTNICK, in his official capacity as
Secretary of Commerce; KEVIN
PENDERGAST, in his official
capacity as Alaska State Director of
Bureau of Land Management; SARA
2 CTR. FOR BIOLOGICAL DIVERSITY V. BUREAU OF LAND MGMT.
BOARIO, in her official capacity as
Regional Director of United States
Fish and Wildlife Service;
JONATHAN KURLAND, in his
official capacity as Regional
Administrator of National Marine
Fisheries Service,
Defendants - Appellees,
CONOCOPHILLIPS ALASKA,
INC.; ARCTIC SLOPE REGIONAL
CORPORATION; NORTH SLOPE
BOROUGH; KUUKPIK
CORPORATION; STATE OF
ALASKA,
Intervenor-Defendants -
Appellees.
SOVEREIGN INUPIAT FOR A
No. 23-3627
LIVING ARCTIC; ALASKA
WILDERNESS LEAGUE; D.C. No.
ENVIRONMENT AMERICA; 3:23-cv-00058-
NORTHERN ALASKA SLG
ENVIRONMENTAL CENTER;
SIERRA CLUB; THE
WILDERNESS SOCIETY,
Plaintiffs - Appellants,
v.
UNITED STATES BUREAU OF
CTR. FOR BIOLOGICAL DIVERSITY V. BUREAU OF LAND MGMT. 3
LAND MANAGEMENT; UNITED
STATES FISH & WILDLIFE
SERVICE; UNITED STATES
DEPARTMENT OF THE
INTERIOR,
Defendants - Appellees,
CONOCOPHILLIPS ALASKA,
INC.; ARCTIC SLOPE REGIONAL
CORPORATION; NORTH SLOPE
BOROUGH; KUUKPIK
CORPORATION; STATE OF
ALASKA,
Intervenor-Defendants -
Appellees.
Appeal from the United States District Court
for the District of Alaska
Sharon L. Gleason, Chief District Court, Presiding
Argued and Submitted February 5, 2024
San Francisco, California
Filed June 13, 2025
Before: Ryan D. Nelson, Danielle J. Forrest, and Gabriel P.
Sanchez, Circuit Judges.
Opinion by Judge R. Nelson;
Concurrence by Judge R. Nelson;
Partial Concurrence and Partial Dissent by Judge Sanchez
4 CTR. FOR BIOLOGICAL DIVERSITY V. BUREAU OF LAND MGMT.
SUMMARY*
Environmental Law
In a case in which environmental groups challenge the
Bureau of Land Management’s approval of the Willow
Project, an oil and gas venture in America’s northern Arctic,
the panel (1) affirmed in part and reversed in part the district
court’s order granting summary judgment and dismissing
plaintiffs’ claims under the National Environmental Policy
Act (NEPA), the Alaska National Interest Lands
Conservation Act (ANILCA), the Naval Petroleum Reserves
Production Act (Reserves Act), and the Endangered Species
Act (ESA); and (2) remanded without vacatur.
The Bureau of Land Management (BLM) approved the
Willow Project in 2023, allowing ConocoPhillips Alaska,
Inc. to construct oil and gas infrastructure in Alaska's
National Petroleum Reserve. Following a prior 2021 remand
by the district court, BLM prepared a Supplemental
Environmental Impact Statement (SEIS), where it insisted
that in selecting project alternatives, it could only adopt a
development proposal that would fully develop the oil field
and not strand a large quantity of oil and gas that, standing
alone, was economic to develop. BLM adopted the full field
development standard, in part, because it did not want a
project alternative that would lead to piecemeal
development.
Addressing plaintiffs’ claim that BLM’s SEIS
alternatives analysis violated NEPA, the panel held that,
*
This summary constitutes no part of the opinion of the court. It has
been prepared by court staff for the convenience of the reader.
CTR. FOR BIOLOGICAL DIVERSITY V. BUREAU OF LAND MGMT. 5
given the legitimate concerns associated with segmentation,
BLM did not abuse its discretion in basing its environmental
review on the full field development standard to avoid the
risks of piecemeal development. BLM conceded in this
litigation, however, that its final chosen alternative did not
fully comply with the full field development standard.
Because under the Administrative Procedure Act (APA), an
agency must provide a reasoned analysis for changes to its
existing position, and BLM did not provide a reasoned
explanation at the Record of Decision stage for potentially
deviating from the full field development standard, its 2023
approval of the Willow Project was arbitrary or capricious
under the APA.
The BLM’s assessment of the downstream emissions
from the future oil development caused by the Willow
Project, however, complied with NEPA. By estimating
greenhouse gas emissions from potential future development
in the cumulative effects section of the SEIS, BLM
considered both indirect effects and cumulative impacts,
which is all that NEPA and its implementing regulations
require.
The panel next addressed plaintiffs’ claim that, in
approving the Willow Project and applying the full field
development standard, BLM failed to consider its mandate
under the Reserves Act to protect surface resources. The
panel held that BLM can satisfy the Reserves Act’s
maximum-protection directive with mitigation measures that
the Secretary of the Interior deems necessary or appropriate,
even while using the full field development standard.
Because nothing in the full field development standard
precludes BLM from implementing protective conditions on
exploration, it does not itself violate the Reserves Act. BLM
also considered mitigation measures addressing downstream
6 CTR. FOR BIOLOGICAL DIVERSITY V. BUREAU OF LAND MGMT.
greenhouse gas emissions before explaining why it chose to
go in a different direction, and thus did not act arbitrarily in
selecting mitigation measures under the Reserves Act.
The panel rejected plaintiffs’ claim that BLM approved
the Willow Project in contravention of its obligations to
reduce impacts to subsistence users under § 810 of
ANILCA. After determining at step one that the alternatives
it analyzed would significantly restrict subsistence uses,
BLM complied with step two by providing notice and
hearing procedures and making the specified factual
findings, including that reasonable steps will be taken to
minimize adverse impacts upon subsistence uses and
resources. Because BLM’s application of the full field
development standard was not contrary to § 810, BLM’s
approval of the Project satisfied ANILCA.
Finally, addressing the ESA claim, the panel held that the
Center for Biological Diversity (CBD), had standing
because its members’ declarations identified redressable,
concrete, and imminent injuries. On the merits, the decisions
by BLM, the Fish and Wildlife Service, and the National
Marine Fisheries Service to maintain the scope of the
existing § 7 consultation were not arbitrary or capricious.
Each agency satisfied its § 7 obligations by providing
detailed scientific explanations for its conclusions that the
effects of the Willow Project’s greenhouse gas emissions on
listed species were not sufficiently linked to merit further
evaluation.
The panel remanded the NEPA claim without vacatur.
BLM’s lone error of failing to explain whether or why its
adopted alternative complied with the full field development
standard at the Record of Decision stage was, at heart, a
procedural, not a substantive violation. Vacatur was
CTR. FOR BIOLOGICAL DIVERSITY V. BUREAU OF LAND MGMT. 7
unwarranted because the procedural error was minor and the
on-the-ground consequences of vacatur would be severe.
Concurring, Judge R. Nelson wrote separately to respond
to Judge Sanchez on the validity of agency regulations under
§ 7 of the ESA pertaining to causation, pursuant to which if
a consequence to ESA-protected species and habitat fails the
“but for” causation test, it does not warrant further
evaluation under § 7. Judge R. Nelson disagrees with Judge
Sanchez’s suggestion that but-for causation conflicts with
§ 7’s text and purpose. But-for causation is the background
against which Congress legislates, and it is the default rule
that Congress is presumed to have incorporated, absent an
indication to the contrary in the statute itself. There is
nothing in § 7 that rebuts the presumption of but-for
causation. Rather, the but-for causation standard tracks
longstanding agency practice and is entrenched in the § 7
framework.
Concurring in part and dissenting in part, Judge Sanchez
wrote that he cannot join the majority’s adoption of an
improper remedy—remand without vacatur—under the
circumstances of this appeal. BLM’s errors were more
fundamental than simply failing to explain how it applied the
full field development standard among the alternatives it
reviewed. At bottom, the agency failed to provide any
reasoned explanation for its adoption of full field
development. The standard conflicts with various procedural
and substantive requirements under NEPA, ANILCA, and
the Reserves Act, and constitutes a manifest abuse of
discretion requiring vacatur. Judge Sanchez concurred with
the majority that CBD has standing to challenge BLM’s
failure to engage in formal consultation with other federal
agencies on the climate impacts of the Willow Project, but
CBD did not demonstrate how informal consultation was
8 CTR. FOR BIOLOGICAL DIVERSITY V. BUREAU OF LAND MGMT.
arbitrary and capricious under the governing regulations.
Nonetheless, he wrote separately to question whether the
operative regulations that permitted BLM—in conjunction
with the Fish and Wildlife Service and the National Marine
Fisheries Service—to forego formal consultation are
consistent with the text and purpose of the ESA.
COUNSEL
Erik C. Grafe (argued), Carole A. Holley, and Jeremy C.
Lieb, Earthjustice, Anchorage, Alaska; Eric P. Jorgensen,
Earthjustice, Juneau, Alaska; Kristen Monsell, Center for
Biological Diversity, Oakland, California; Cecilia Segal,
Natural Resources Defense Council, San Francisco,
California; Michelle Wu, Natural Resources Defense
Council, New York, New York; Suzanne Bostrom (argued),
Bridget Psarianos, and Brook Brisson, Trustees for Alaska,
Anchorage, Alaska; for Plaintiffs-Appellants.
Amy E. Collier (argued), Rickey D. Turner Jr., Paul A.
Turcke, Thekla Hansen-Young, and Robert J. Lundman,
Attorneys; Todd Kim, Assistant Attorney General;
Environment & Natural Resources Division, United States
Department of Justice, Washington, D.C.; Mike Routhier
and Mike Gieryic, Attorneys, Office of the Solicitor, United
States Department of the Interior, Washington, D.C.; for
Defendants-Appellees.
Jason T. Morgan (argued), Tiffany Wang, Luke A. Sanders,
and Ryan P. Steen, Stoel Rives LLP, Seattle, Washington;
Whitney A. Brown, Stoel Rives LLP, Anchorage, Alaska;
Stacey M. Bosshardt, Perkins Coie LLP, Washington, D.C.;
Eric B. Fjelstad and James N. Leik, Perkins Coie LLP,
CTR. FOR BIOLOGICAL DIVERSITY V. BUREAU OF LAND MGMT. 9
Anchorage, Alaska; Melinda L. Meade Meyers, Jonathan D.
Simon, and Tyson C. Kade, Van Ness Feldman LLP,
Washington, D.C.; Charlene Koski, Van Ness Feldman LLP,
Seattle, Washington; Patrick Munson (argued), Charles A.
Cacciola, and Kody George, Chandler Falconer Munson &
Cacciola LLP, Anchorage, Alaska; Mary H. Gramling, Chief
Assistant Attorney General; Treg Taylor, Attorney General;
State of Alaska, Department of Law, Juneau, Alaska; for
Intervenor-Defendants-Appellees.
Max Sarinsky and Donald L. R. Goodson, Institute for
Policy Integrity, New York University School of Law, New
York, New York; for Amicus Curiae Institute for Policy
Integrity at New York University School of Law.
Andrew L. Welle, Our Children's Trust, Eugene, Oregon, for
Amicus Curiae Our Children's Trust.
Jonathan W. Katchen and William R. Crowther, Holland &
Hart LLP, Anchorage, Alaska; for Amici Curiae Alaska
Congressional Delegation and Alaska State Legislature.
Alison Borochoff-Porte and George Krebs, Pollock Cohen
LLP, New York, New York, for Amici Curiae Members of
Congress.
Sarah K. McMillan and Melissa A. Hornbein, Western
Environmental Law Center, Helena, Montana; Andrew M.
Hawley, Western Environmental Law Center, Seattle,
Washington; for Amicus Curiae Naqsragmiut Tribal
Council.
Michael Burger and Jessica Wentz, Sabin Center for Climate
Change Law, Columbia Law School, New York, New York,
for Amicus Curiae Sabin Center for Climate Change Law.
10 CTR. FOR BIOLOGICAL DIVERSITY V. BUREAU OF LAND MGMT.
OPINION
R. NELSON, Circuit Judge:
The Willow Project is an oil and gas venture in
America’s northern Arctic. The Bureau of Land
Management approved the Project in 2023, allowing
ConocoPhillips Alaska, Inc. to construct infrastructure to
produce and transport oil and gas from its leases in Alaska’s
National Petroleum Reserve. Several environmental groups
sued. The district court granted summary judgment and
dismissed their claims under the National Environmental
Policy Act, the Naval Petroleum Reserves Production Act,
the Alaska National Interest Lands Conservation Act, and
the Endangered Species Act. We affirm in part, reverse in
part, and remand without vacatur.
I
A
In the 1920s, the federal government established a Naval
Petroleum Reserve on Alaska’s North Slope to ensure a
continuing oil supply for national defense. See N. Alaska
Env’t Ctr. v. Kempthorne, 457 F.3d 969, 973–74 (9th Cir.
2006). Fifty years later, in the Naval Petroleum Reserves
Production Act (Reserves Act), Congress transferred
jurisdiction to the Secretary of the Interior and redesignated
the Reserve as the National Petroleum Reserve-Alaska
(NPR-A).1 Pub. L. No. 94-258, §§ 102–03, 90 Stat. 303, 303
(1976) (codified at 42 U.S.C. §§ 6502–03).
1
Please excuse our reliance on acronyms. Because “environmental
litigation is awash in such alphabetical shorthand,” we include a brief
CTR. FOR BIOLOGICAL DIVERSITY V. BUREAU OF LAND MGMT. 11
At first, private oil development was prohibited in the
NPR-A. That changed in 1980 when Congress, motivated
by the oil crisis, amended the Reserves Act to instruct the
Secretary to begin an “expeditious program of competitive
leasing of oil and gas in the Reserve.” See Pub. L. No. 96-
514, 94 Stat. 2957, 2964 (1980) (codified as amended at 42
U.S.C. § 6506a(a)). While expanding development
opportunities for private energy companies, Congress
retained certain environmental protections. First, activities
authorized under the Reserves Act “shall include or provide
for such conditions, restrictions, and prohibitions as the
Secretary deems necessary or appropriate to mitigate
reasonably foreseeable and significantly adverse effects on
the surface resources” of the NPR-A. 42 U.S.C. § 6506a(b).
Second, “[a]ny exploration” of designated areas—those
“containing any significant subsistence, recreational, fish
and wildlife, or historical or scenic value”—must be
conducted in a way that “will assure the maximum
protection of such surface values . . . .” Id. § 6504(a). Under
the Reserves Act, the federal government cannot greenlight
private development without considering “the subsistence
interests of Native American tribes in the area and the need
to protect the environment.” Kempthorne, 457 F.3d at 973.
The task of balancing these directives falls to the Bureau
of Land Management (BLM). See N. Alaska Env’t Ctr. v.
U.S. Dep’t of the Interior, 983 F.3d 1077, 1081 (9th Cir.
2020) (“The [Reserves Act] directs BLM to lease Reserve
land to private entities for oil and gas development, while
taking such measures as BLM deems necessary or
appropriate to mitigate adverse environmental impacts.”
glossary at the end. Ariz. ex rel. Darwin v. EPA, 815 F.3d 519, 525 n.3
(9th Cir. 2016) (cleaned up).
12 CTR. FOR BIOLOGICAL DIVERSITY V. BUREAU OF LAND MGMT.
(citing 42 U.S.C. § 6506a)). In the late 1990s, BLM began
issuing leases in the NPR-A to ConocoPhillips Alaska, Inc.,
an Anchorage-based oil and gas producer. After lengthy
exploration drilling, ConocoPhillips announced in 2017 that
it had discovered oil and gas prospects in the Bear Tooth
Unit of the NPR-A, sparking what is now known as the
Willow Project.
B
BLM first approved the Willow Project in 2020. See
Sovereign Iñupiat for a Living Arctic v. Bureau of Land
Mgmt. (SILA I), 555 F. Supp. 3d 739, 752–53 (D. Alaska
2021). The district court vacated the approval, holding that
BLM violated the National Environmental Policy Act
(NEPA) by declining to consider reasonable project
alternatives in its Environmental Impact Statement (EIS)
based on the assumption that ConocoPhillips had the right to
“extract all possible oil and gas from its leases.” Id. at 805.
Because the Reserves Act requires BLM to mitigate adverse
impacts on surface resources in the NPR-A, the district court
disagreed with the agency that ConocoPhillips’ leases gave
the company the “unfettered right” to extract all oil and gas
within the leased areas. Id. at 768–69, 770. The district
court also concluded that the 2020 EIS violated NEPA
because it did not analyze the effects of Willow’s
downstream foreign greenhouse gas emissions. Id. at 762–
67, 805. So the district court vacated the approval,
remanded, and instructed BLM to “reassess its alternatives
analysis” with the court’s decision in mind. Id. at 770, 805.
C
Following remand, BLM prepared a Supplemental
Environmental Impact Statement (SEIS) to correct the
deficiencies identified in the district court’s order. To
CTR. FOR BIOLOGICAL DIVERSITY V. BUREAU OF LAND MGMT. 13
understand what happened next, a bit of background is
useful. Under NEPA, federal agencies must “prepare a
detailed EIS for all ‘major Federal actions significantly
affecting the quality of the human environment.’” Blue
Mountains Biodiversity Project v. Blackwood, 161 F.3d
1208, 1212 (9th Cir. 1998) (quoting 42 U.S.C.
§ 4332(2)(C)). The EIS “ensures that the agency, in
reaching its decision, will have available, and will carefully
consider, detailed information concerning significant
environmental impacts.” Ctr. for Biological Diversity v.
U.S. Dep’t of Interior, 623 F.3d 633, 642 (9th Cir. 2010)
(quoting Dep’t of Transp. v. Pub. Citizen, 541 U.S. 752, 768
(2004)). An EIS must “study, develop, and describe
appropriate alternatives” to the proposed agency action, 42
U.S.C. § 4332(2)(H), thus informing policymakers and the
public of options “that would avoid or minimize adverse
effects” on the environment, 40 C.F.R. § 1502.1(b). This
alternatives analysis is the “heart” of the EIS. 40 C.F.R.
§ 1502.14.
The Project’s SEIS analyzed two kinds of alternatives:
alternative components and action alternatives. The former
are best understood as initial proposals—generated by BLM,
cooperating agencies, and in some cases, the public—that
describe different project design features, configurations,
and timelines. BLM then applied screening criteria to
whittle down the alternative components into a group of four
action alternatives. The action alternatives—not the
alternative components—received full analysis in the SEIS.
BLM’s criteria for selecting the action alternatives is a
key issue in this case. In selecting from the alternative
components, BLM insisted that it could only adopt a
development proposal that would “fully develop” the oil
field. According to the SEIS, full field development is
14 CTR. FOR BIOLOGICAL DIVERSITY V. BUREAU OF LAND MGMT.
development that would “not strand such a large quantity of
oil and gas that, standing alone, is economic to develop.”
This full field development standard, BLM explained, is
“routinely applied” across similar projects, and is the
agency’s “interpretation” of the regulations and the district
court’s order vacating BLM’s initial approval of the Project.
So, in BLM’s eyes, if an alternative component did not meet
the full field development standard, it was required to strike
that component from further consideration.
With full field development in mind, BLM declined to
advance several alternative components that would have
minimized adverse environmental effects in the NPR-A,
including in the special areas that the Reserves Act singles
out for additional protection. See 42 U.S.C. § 6504(a)
(requiring the Secretary to assure “maximum protection” of
“significant” surface values in certain parts of the NPR-A).
For example, alternative number 43 would have eliminated
two surface-disturbing drill sites. And alternative number
44 would have kept all infrastructure out of the Teshekpuk
Lake Special Area (TLSA)—a critical habitat for local
caribou herds and migratory birds. But BLM explained that,
because these components “would strand an economically
viable quantity of recoverable oil,” they did not “fully
develop” the oil field, and were thus “eliminated from
further analysis.”
After excluding the alternative components that did not
permit full field development, BLM was left with four action
alternatives and a no-action alternative for baseline
comparison. The SEIS summarized the environmental
consequences of adopting each alternative. For example,
BLM quantified the downstream greenhouse gas emissions
resulting from projected changes in domestic and foreign oil
consumption for each alternative. Cf. SILA I, 555
CTR. FOR BIOLOGICAL DIVERSITY V. BUREAU OF LAND MGMT. 15
F. Supp. 3d at 762–67 (faulting BLM for not analyzing the
effects of Willow’s downstream emissions in its 2020
approval). And it predicted the climate effects and “social
cost of greenhouse gases” for each option analyzed in the
SEIS. In the end, the agency identified the fourth option—
Alternative E—as its “preferred alternative.” By eliminating
certain drill sites and deferring approval of another, that
option would cut the “amount of surface infrastructure,”
particularly in the TLSA.
As it was preparing the SEIS, BLM also initiated
consultation with the U.S. Fish and Wildlife Service (FWS)
and the National Marine Fisheries Service (NMFS) under
§ 7 of the Endangered Species Act (ESA), 16 U.S.C. § 1536.
“Section 7 requires federal agencies to ensure that none of
their activities . . . will jeopardize the continued existence of
listed species or adversely modify a species’ critical habitat.”
Karuk Tribe v. U.S. Forest Serv., 681 F.3d 1006, 1020 (9th
Cir. 2012) (en banc). BLM’s § 7 consultation focused on the
Project’s potential effects on two listed species: the polar
bear and ice seal. In early 2023, FWS issued a Biological
Opinion (BiOp) concluding that Willow was unlikely to
jeopardize the continued existence of the polar bear or
adversely modify its critical habitat. And NMFS similarly
issued a Letter of Concurrence noting that Willow was
unlikely to adversely affect the ice seal.
Soon after, BLM issued its final Record of Decision
(ROD) reapproving the Project. But rather than adopt its
“preferred alternative,” BLM approved a modified version
of Alternative E that was not analyzed in the SEIS. Unlike
Alternative E, which deferred approval of a fourth drill site
and disapproved of a fifth, the alternative advanced in the
ROD disapproved the fourth and fifth drill sites altogether.
BLM explained that rejecting both the fourth and fifth drill
16 CTR. FOR BIOLOGICAL DIVERSITY V. BUREAU OF LAND MGMT.
sites reduced construction time and associated
environmental impacts. In its words, “[t]his decision strikes
a balance,” and allows for “development to
occur . . . consistent with the terms of existing leases” while
also “requiring the implementation of robust protections for
surface resources, as well as measures to limit greenhouse
gas emissions and thereby reduce climate impacts.”
By disapproving another drill pad, modified Alternative
E barred development on several of ConocoPhillips’ leases.
BLM never explained whether this constituted full field
development or not.
D
The Center for Biological Diversity (CBD) and
Sovereign Iñupiat for a Living Arctic (SILA) sued. 2 See
Sovereign Iñupiat for a Living Arctic v. Bureau of Land
Mgmt. (SILA II), 701 F. Supp. 3d 862 (D. Alaska 2023).
They alleged that BLM, FWS, NMFS, and several other
defendants violated federal law in approving the Project
despite its purported danger to the environment, endangered
species, and the subsistence needs of rural Alaskans.
Although CBD and SILA (collectively, Plaintiffs) filed
separate suits, the district court consolidated the cases, and
we have done the same.3
2
Plaintiffs include several other member-based environmental
organizations. We refer to the lead plaintiffs—CBD and SILA—as
shorthand for all the plaintiff organizations and their respective
members.
3
The district court permitted ConocoPhillips, Arctic Slope Regional
Corporation, North Slope Borough, Kuukpik Corporation, and the State
of Alaska to intervene as defendants in both cases.
CTR. FOR BIOLOGICAL DIVERSITY V. BUREAU OF LAND MGMT. 17
Plaintiffs moved for summary judgment, arguing that
BLM again approved Willow without considering a
reasonable range of alternatives under NEPA, its mandate to
protect surface resources under the Reserves Act, and its
obligation to reduce impacts to subsistence users under
§ 810 of the Alaska National Interest Lands Conservation
Act (ANILCA). Plaintiffs also argued that BLM violated § 7
of the ESA by not consulting with FWS and NMFS on how
Willow’s carbon emissions might affect protected species
and their critical habitat.
The district court denied Plaintiffs’ motions for summary
judgment and dismissed their claims. Id. at 924. It found
that BLM had rectified the errors identified in its 2021 order,
including any impermissible narrowing of NEPA
alternatives based on a misunderstanding of the agency’s
authority. Id. at 875–86. For similar reasons, the district
court concluded that BLM’s alternatives analysis satisfied
the Reserves Act and ANILCA. Id. at 891, 893–95. Turning
to the ESA claims, the district court held that while Plaintiffs
had Article III standing, id. at 901–05, they had not shown
that Defendants violated § 7 by not addressing how
Willow’s greenhouse gas emissions could affect polar bears
or ice seals, id. at 915–24.4 This appeal followed.
4
Before the district court, CBD made two related ESA arguments—an
“incidental take” claim and the greenhouse gas emissions claim that it
pursues on appeal. The district court reasoned that CBD had standing to
challenge FWS’s BiOp under the “incidental take” claim and—on the
merits—concluded that no “incidental take” would result to polar bears
from the general construction and operation of the Willow Project. SILA
II, 701 F. Supp. 3d at 901–05, 906–15. CBD has forfeited its ESA
“incidental take” claim by failing to raise it on appeal.
18 CTR. FOR BIOLOGICAL DIVERSITY V. BUREAU OF LAND MGMT.
II
We have jurisdiction under 28 U.S.C. § 1291. Plaintiffs’
claims are reviewed under the Administrative Procedure Act
(APA), which authorizes courts to “hold unlawful and set
aside agency action if it is ‘arbitrary, capricious, an abuse of
discretion, or otherwise not in accordance with law.’” Fejes
v. Fed. Aviation Admin., 98 F.4th 1156, 1159 (9th Cir. 2024)
(quoting 5 U.S.C. § 706(2)(A)). We review de novo the
district court’s summary judgment ruling, Karuk Tribe, 681
F.3d at 1017, and review the agency’s factual conclusions
for substantial evidence, Bark v. U.S. Forest Serv., 958 F.3d
865, 869 (9th Cir. 2020).
III
We address the four claims on appeal that largely, not
entirely, track Plaintiffs’ case to the district court. First,
Plaintiffs press similar NEPA claims, although CBD makes
another argument about Willow’s downstream carbon
emissions. Second, Plaintiffs both assert, though on
different grounds, that BLM violated the Reserves Act.
Third, SILA argues that BLM violated ANILCA by
disregarding more protective alternatives and failing to
reduce impacts on subsistence uses by rural Alaskans. And
finally, CBD brings a modified version of its ESA § 7 claim
that focuses solely on the effects of Willow’s greenhouse gas
emissions on listed species and their critical habitat.
A
We begin with Plaintiffs’ NEPA claims. NEPA has
“twin aims.” Kern v. U.S. Bureau of Land Mgmt., 284 F.3d
1062, 1066 (9th Cir. 2002) (quoting Balt. Gas & Elec. Co. v.
Nat. Res. Def. Council, Inc., 462 U.S. 87, 97 (1983)). It first
requires that a federal agency “consider every significant
CTR. FOR BIOLOGICAL DIVERSITY V. BUREAU OF LAND MGMT. 19
aspect of the environmental impact of a proposed action.”
Id. (quotation omitted). It then ensures that the agency will
“inform the public that it has indeed considered
environmental concerns in its decisionmaking process.” Id.
(quotation omitted). “NEPA does not mandate particular
results”—it is a purely procedural statute that requires the
federal government to “take a hard look at the environmental
consequences” before acting. Kempthorne, 457 F.3d at 975
(quoting Muckleshoot Indian Tribe v. U.S. Forest Serv., 177
F.3d 800, 814 (9th Cir. 1999)). An “agency is not
constrained by NEPA from deciding that other values
outweigh the environmental costs.” Seven County
Infrastructure Coal. v. Eagle County, No. 23-975, slip op. at
6 (U.S. May 29, 2025) (quoting Robertson v. Methow Valley
Citizens Council, 490 U.S. 332, 350 (1989)).
Again, NEPA mandates preparation of an EIS when a
“major” federal action would “significantly affect[] the
quality of the human environment.” 42 U.S.C. § 4332(2)(C).
NEPA further requires agencies to use the EIS to analyze a
reasonable range of alternatives to the proposed action. Id.
§ 4332(2)(C)(iii), (F), (H); see also 43 C.F.R. § 46.415(b).
The alternatives analysis “requires disclosure of the
environmental impacts of the proposed action and its
alternatives, including their direct, indirect, and cumulative
effects.” Audubon Soc’y of Portland v. Haaland, 40 F.4th
967, 980 (9th Cir. 2022). “But ‘for alternatives which were
eliminated from detailed study,’ an agency need only
‘briefly discuss the reasons for their having been
eliminated.’” Id. (quoting 40 C.F.R. § 1502.14(a)). In the
end, the “touchstone” of our review “is whether an EIS’s
selection and discussion of alternatives fosters informed
decision-making and informed public participation.” Id. at
982 (quoting Westlands Water Dist. v. U.S. Dep’t of Interior,
20 CTR. FOR BIOLOGICAL DIVERSITY V. BUREAU OF LAND MGMT.
376 F.3d 853, 868 (9th Cir. 2004)). And as the Supreme
Court put it: our review of an agency’s alternatives analysis
“must be at its ‘most deferential.’” Eagle County, slip op. at
11 (quoting Balt. Gas & Elec. Co., 462 U.S. at 103).
1
Both Plaintiffs argue that BLM’s alternatives analysis
for the Project violated NEPA because BLM used the full
field development standard to select which alternative
components would be advanced for further analysis in the
SEIS. We disagree.
Plaintiffs also argue that BLM’s alternatives analysis
required full field development to select from the alternative
components, but the agency then chose an alternative that
did not comply with full field development. The problem
for BLM is that it never explained in the ROD how its chosen
alternative complied with full field development. Before
this court (but not before the district court) BLM concedes
that the final approval did not comply with full field
development. In its words, “BLM ‘evaluate[d] the impacts
of full field development,’ but then approved a scaled-back
Project that does not allow ConocoPhillips to extract all
economically viable oil from several of its leases.” Stated
another way, BLM took one position throughout the SEIS
process—that it needed to screen out alternative components
that stranded an economically viable quantity of oil. And
then when it came time to issue the final approval, it never
explained whether its adopted alternative satisfied the full
field development standard.
Based on the agency’s argument before this court, which
is not contained in BLM’s explanation in the ROD, BLM
changed its position on the necessity of full field
development. If BLM is correct in its litigating position
CTR. FOR BIOLOGICAL DIVERSITY V. BUREAU OF LAND MGMT. 21
before us, then the agency changed its standard after the
alternatives analysis. “[A]n agency changing its course must
supply a reasoned analysis.” Motor Vehicle Mfrs. Ass’n v.
State Farm Mut. Auto. Ins., 463 U.S. 29, 57 (1983) (quoting
Greater Bos. Television Corp. v. FCC, 444 F.2d 841, 852
(D.C. Cir. 1970)). The record lacks explanation whether or
why BLM may have backed away from the full field
development standard at the ROD stage. BLM likely offered
an adequate rationale for applying the full field development
standard to choose action alternatives. But it failed to
discuss whether its adopted alternative either satisfied the
full field development standard or to explain why it departed
from that standard without providing a “reasoned
explanation” for its change of heart. See, e.g., Organized
Vill. of Kake v. U.S. Dep’t of Agric., 795 F.3d 956, 966–67
(9th Cir. 2015) (en banc). Because BLM did not provide the
explanation that NEPA requires, its 2023 approval of the
Project was arbitrary or capricious under the APA.
a
First, the legal standard. An agency must “[r]igorously
explore and objectively evaluate all reasonable alternatives”
to a proposed action. Or. Nat. Desert Ass’n v. Bureau of
Land Mgmt., 625 F.3d 1092, 1100 (9th Cir. 2010) (alteration
in original) (quoting 40 C.F.R. § 1502.14(a) (2019)). 5
Because the stated purpose and need of a proposed agency
5
BLM initiated its NEPA process before the effective dates of the 2020
and 2022 amendments to the NEPA regulations, so BLM applied the
regulations in effect before the amendments, codified at 40 C.F.R.
§ 1500.1 et seq. (2019). See Update to the Regulations Implementing
the Procedural Provisions of the National Environmental Policy Act, 85
Fed. Reg. 43,304 (July 16, 2020); National Environmental Policy Act
Implementing Regulations Revisions, 87 Fed. Reg. 23,453 (Apr. 20,
2022).
22 CTR. FOR BIOLOGICAL DIVERSITY V. BUREAU OF LAND MGMT.
action dictates the range of alternatives that an agency must
consider under NEPA, we “begin[] by determining whether
or not the [EIS’s] Purpose and Need Statement was
reasonable.” Audubon, 40 F.4th at 981 (first alteration in
original) (quoting Westlands, 376 F.3d at 865). If it is, we
then employ a “rule of reason” analysis to determine whether
the agency considered an adequate range of alternatives to
the proposed action. Westlands, 376 F.3d at 868 (citing City
of Carmel-By-The-Sea v. U.S. Dep’t of Transp., 123 F.3d
1142, 1155 (9th Cir. 1997)).
But an agency “need not consider an infinite range of
alternatives, only reasonable or feasible ones.” Id.
(quotation omitted). Nor does NEPA require a discussion of
“[a]lternatives that are unlikely to be implemented” or that
are “inconsistent with the [agency’s] basic policy
objectives.” Res. Ltd., Inc. v. Robertson, 35 F.3d 1300, 1307
(9th Cir. 1993) (quotation omitted). This inquiry is
“‘essentially the same’ as an abuse of discretion analysis.”
Audubon, 40 F.4th at 980 (quoting Ctr. for Biological
Diversity v. Bernhardt, 982 F.3d 723, 734 (9th Cir. 2020)).
“Thus, an ‘agency will have acted arbitrarily and
capriciously only when the record plainly demonstrates that
[the agency] made a clear error in judgment in concluding
that a project meets the requirements of NEPA.’” Id.
(alteration in original) (internal quotation marks omitted)
(quoting Native Ecosystems Council v. Weldon, 697 F.3d
1043, 1052 (9th Cir. 2012)). Simply put, our “only role” is
“to confirm” that the agency has addressed feasible
alternatives to the proposed project. Eagle County, slip op.
at 9 (quotation omitted).
CTR. FOR BIOLOGICAL DIVERSITY V. BUREAU OF LAND MGMT. 23
b
Next, the record. BLM maintained throughout the
evaluation process that it must limit its analysis to
alternatives that would “fully develop” the oil field, meaning
those that would not “strand” an economically viable
quantity of oil. BLM acknowledged that its full field
development standard “is not defined in regulation or case
law.” And Willow’s SEIS does not explain how BLM came
up with the economic viability constraint. But the agency
did provide three explanations for the full field development
standard at other places in the record.
First, and most often, BLM cited the Reserves Act’s
implementing regulations. Title 43 C.F.R. § 3137.71 is one
of several regulations imposing development requirements
on NPR-A lessees. Section 3137.71(b) instructs lessees to
“submit to BLM a plan . . . [that] must describe the activities
to fully develop the oil and gas field.” According to BLM,
the full field development standard “derives directly from”
this language.
Second, BLM suggested that full field development was
necessary to satisfy the Project’s stated purpose and need.
Appendix D.1 to the final SEIS discussed the alternative
components that BLM considered but then eliminated from
further analysis. Several components—including those that
would eliminate surface-disturbing drill sites (alternative
number 43) and keep infrastructure out of the TLSA
(alternative number 44)—were eliminated because they
“would not meet the Project’s purpose and need and would
strand an economically viable quantity of recoverable oil.”
Third, BLM adopted the full field development standard
because it “[did] not want an alternative that would [lead to]
piecemeal development” in the NPR-A. BLM elaborated on
24 CTR. FOR BIOLOGICAL DIVERSITY V. BUREAU OF LAND MGMT.
this rationale during the notice and comment process. “The
purpose of a master development plan,” the agency
explained, “is to evaluate the impacts of full field
development to ensure that the [NEPA] analyses are not
segmented.” “Segmentation is an attempt to circumvent
NEPA by breaking up one project into smaller projects and
not studying the overall impacts of the single overall
project.” Coal. on W. Valley Nuclear Wastes v. Chu, 592
F.3d 306, 311 (2d Cir. 2009) (quotation omitted). To avoid
segmentation, BLM concluded that it must limit its analysis
to alternatives that would fully develop the oil field.
Otherwise, the agency “would expect to receive a future
permit application to develop” stranded quantities of
economically viable oil, likely requiring additional NEPA
review. So in line with its anti-segmentation rationale, BLM
“screen[ed] out” alternative components that did not meet
the full field development standard.
c
Finally, our analysis. We first ask whether Willow’s
purpose and need statement was “reasonable.” Audubon, 40
F.4th at 981 (quoting Westlands, 376 F.3d at 865). In
vacating BLM’s 2020 approval of the Project, the district
court held that the agency’s EIS statement of purpose
conflicted with the Reserves Act’s requirement that BLM
“mitigate adverse effects on the surface resources” of the
NPR-A. SILA I, 555 F. Supp. 3d at 768–69; see 42 U.S.C.
§ 6506a(b). The revised purpose and need statement in the
SEIS is “to construct the infrastructure necessary to allow
the production and transportation to market of federal oil and
gas resources in the Willow reservoir located in the Bear
Tooth Unit (BTU), while providing maximum protection to
significant surface resources within the NPR-A, consistent
with BLM’s statutory directives.” Willow’s purpose and
CTR. FOR BIOLOGICAL DIVERSITY V. BUREAU OF LAND MGMT. 25
need statement is now consistent with the Reserves Act, and
Plaintiffs do not argue otherwise. See 42 U.S.C.
§§ 6506a(a), 6506a(b), 6504(a).
The next question is whether BLM considered
reasonable alternatives given the Project’s purposes and
needs. Westlands, 376 F.3d at 868. Plaintiffs maintain that
BLM, by screening out proposals that did not meet the full
field development standard, violated NEPA’s requirement to
“[r]igorously explore and objectively evaluate reasonable
alternatives to the proposed action.” 40 C.F.R. § 1502.14(a).
In their view, the full field development standard is arbitrary
for at least two reasons. First, to the extent that BLM offered
explanations for using this standard, its reasoning falls short.
Second, BLM ultimately approved a plan that did not allow
ConocoPhillips to fully develop the oil field. Plaintiffs are
right in some respects and wrong in others.
Let’s start with the agency’s reliance on the Reserves
Act’s implementing regulations. We agree with Plaintiffs
that 43 C.F.R. § 3137.71(b)(1) does not require BLM to
screen alternative components in line with the full field
development standard. The regulation mandates that
ConocoPhillips propose a plan that fully develops the oil
field. See 43 C.F.R. § 3137.71(b)(1) (“If you have drilled a
well that meets the productivity criteria, your plan must
describe the activities to fully develop the oil and gas
field.”). But the regulation does not speak to
ConocoPhillips’s lease rights or otherwise compel BLM to
only analyze and adopt alternatives that permit full field
development. And the agency never elaborated on how the
full field development standard “derives directly” from the
regulation, despite the regulation’s sole focus on
development requirements for NPR-A lessees. Thus,
26 CTR. FOR BIOLOGICAL DIVERSITY V. BUREAU OF LAND MGMT.
BLM’s screening criterion is not supported by
§ 3137.71(b)(1).
BLM’s reliance on Willow’s purpose and need also falls
flat. The purpose and need in the SEIS was “to construct the
infrastructure necessary to allow the production and
transportation to market of federal oil and gas resources in
the Willow reservoir . . . while providing maximum surface
protection to significant surface resources within the NPR-
A, consistent with BLM’s statutory directives.” It is unclear
how full field development is necessary to meet these goals.
To illustrate, consider an alternative that reduces the number
of drill pads or locates infrastructure outside of sensitive
areas in the NPR-A. That alternative could presumably
allow for oil and gas development (the first purpose) while
providing maximum protection to resources in the NPR-A
(the second purpose) consistent with BLM’s statutory
mandates. Such an alternative would still satisfy the
Project’s purpose and need, even if it does not fully develop
the oil field. See Earth Island Inst. v. U.S. Forest Serv., 87
F.4th 1054, 1065 (9th Cir. 2023) (“An alternative is
reasonable if it . . . advances the project’s purpose and
need . . . .”).
BLM did not grapple with this inconsistency—it simply
concluded without explanation that it eliminated the
challenged alternatives because they “would not meet the
Project’s purpose and need and would strand an
economically viable quantity of oil.” So that justification—
and that justification alone—is what we review.
BLM’s explanation is not otherwise obvious.
Construction of infrastructure to allow production and
transportation to market is required for any degree of oil and
gas development, not just full field development. Nothing
CTR. FOR BIOLOGICAL DIVERSITY V. BUREAU OF LAND MGMT. 27
in Willow’s purpose and need statement barred BLM from
adopting an alternative that would strand an economically
viable quantity of oil. Therefore, unlike the district court,
see SILA II, 701 F. Supp. 3d at 883, we conclude that this
statement cannot serve as the basis for the agency’s full field
development standard.
All that said, BLM’s third explanation—the anti-
segmentation rationale—supports its reliance on the full
field development standard. As the district court explained,
adopting a partial development alternative “would invite
challenges that BLM was improperly segmenting the project
and failing to consider the impacts associated with drill sites
that were likely to be constructed and were sufficiently
connected to the Willow project to require consideration in
a single EIS.” SILA II, 701 F. Supp. 3d at 881–82 (internal
quotation marks omitted). It is reasonable to think that a
piecemeal development approach “fails to address the true
scope and impact” of ConocoPhillips’s activities in the NPR-
A. See Del. Riverkeeper Network v. FERC, 753 F.3d 1304,
1313 (D.C. Cir. 2014); see also Native Ecosystems Council
v. Dombeck, 304 F.3d 886, 897 (9th Cir. 2002)
(“NEPA . . . requires the assessment of the cumulative
impact of ‘individually minor but collectively significant
actions taking place over a period of time.’” (quoting 40
C.F.R. § 1508.7)). In public comments on the draft SEIS,
Plaintiffs insisted that while BLM should consider an
alternative that permits less than full field development, it
must also “be clear about the true scope of Willow and
should not allow Conoco to piecemeal its proposal.” So
Plaintiffs appear to agree that drawbacks exist to not
considering the environmental effects of the full scope of
development that could arise under a given lease in a single
EIS, instead leaving BLM to conduct supplementary (i.e.,
28 CTR. FOR BIOLOGICAL DIVERSITY V. BUREAU OF LAND MGMT.
segmented) review for additional permit requests down the
line.
What makes sense to Plaintiffs is lost on the dissent. In
the dissent’s view, by approving BLM’s reliance on anti-
segmentation as a basis for the full field development
standard, we are “overstep[ping]” our authority by
“supplying a rationale that the agency did not explain.”
Dissent at 81. Far from it. BLM explained that a master
development plan measures “the impacts of full field
development to ensure that the [NEPA] analyses are not
segmented.” Because if BLM adopted an “alternative
concept [that] strands an economically viable quantity of
oil,” it “would expect to receive a future permit application
to develop it.” “Such an alternative concept,” the agency
explained, “does not disclose and analyze the impacts of full
field development and is a false comparison to other action
alternatives.” These are BLM’s words, not ours.
In the end, the “bedrock principle of judicial review in
NEPA cases can be stated in a word: Deference.” Eagle
County, slip op. at 15. Accordingly, the rule of reason guides
our review of BLM’s choice of alternatives. Am. Rivers v.
FERC, 201 F.3d 1186, 1200 (9th Cir. 1999) (citing Carmel,
123 F.3d at 1155). This deferential standard gives BLM
significant discretion to choose parameters that narrow its
alternatives analysis.6 Indeed, we have held repeatedly that
NEPA analysis under the rule of reason is functionally
identical to abuse of discretion review. E.g., City of Los
6
The alternatives analysis must include a no-action alternative. 40
C.F.R. § 1502.14(c); see 42 U.S.C. § 4332(2)(C)(iii). That BLM
analyzed a no-action alternative consistent with the regulations does not
cast doubt on its reasons for using the full field development standard to
avoid segmented NEPA review. See Dissent at 80–81.
CTR. FOR BIOLOGICAL DIVERSITY V. BUREAU OF LAND MGMT. 29
Angeles v. Fed. Aviation Admin., 63 F.4th 835, 842 (9th Cir.
2023); see also Marsh v. Or. Nat. Res. Council, 490 U.S.
360, 377 n.23 (1989) (noting that the difference between the
Ninth Circuit’s “reasonableness” standard and an arbitrary-
or-capricious or abuse of discretion standard is “not of great
pragmatic consequence”).
We do not fault an agency for excluding alternatives that
“are infeasible, ineffective, or inconsistent with . . . basic
policy objectives.” Headwaters, Inc. v. Bureau of Land
Mgmt., 914 F.2d 1174, 1180 (9th Cir. 1990). So while the
dissent may disagree with BLM’s policy choice, that is not
enough to conclude that the agency’s use of the full field
development standard to select alternatives falls outside a
“broad zone of reasonableness.” Eagle County, slip op. at
12. Given the legitimate concerns associated with
segmentation, we cannot say that BLM abused its discretion
in using the full field development standard to avoid the risks
of piecemeal development in the NPR-A.
But our review does not stop there. Because we assess
BLM’s NEPA compliance under the APA, we must ensure
that BLM obeyed general principles of administrative law
that apply to all final agency action. See, e.g., Ctr. for
Biological Diversity, 982 F.3d at 733. And on this point,
BLM’s approval of the Project falls short. BLM endorsed a
revised alternative (modified Alternative E) that it suggests
was “within the scope” of the four action alternatives. Oral
Arg. at 27:05–23. And those alternatives, according to the
agency, had to facilitate full field development. Yet BLM
concedes in litigation that it “approved a scaled-back Project
that does not allow ConocoPhillips to extract all
economically viable oil from several of its leases.” To put a
finer point on it, although not explained in the ROD, BLM
30 CTR. FOR BIOLOGICAL DIVERSITY V. BUREAU OF LAND MGMT.
now asserts that its chosen alternative did not fully comply
with the full field development standard.
Taking BLM’s statements at face value, its views may
have shifted. Certainly, the APA allows for an agency’s
views to shift over time. See Solar Energy Indus. Ass’n v.
FERC, 80 F.4th 956, 979 (9th Cir. 2023) (“The APA does
not require regulatory agencies to establish rules of conduct
to last forever, and agencies may adapt their rules and
policies to the demands of changing circumstances.”
(cleaned up)). But when an agency changes course, it must
provide a “reasoned analysis” for that decision. State Farm,
463 U.S. at 57; see FCC v. Fox Television Stations, Inc., 556
U.S. 502, 514–16 (2009).
BLM did not explain whether or how its final alternative
complied with full field development or whether full field
development was required at the ROD stage. To be sure,
“[w]hen an agency changes its existing position, it ‘need not
always provide a more detailed justification than what would
suffice for a new policy created on a blank slate.’” Encino
Motorcars, LLC v. Navarro, 579 U.S. 211, 221 (2016)
(quoting Fox, 556 U.S. at 515). But it has to say something.
See id. (“[T]he agency must at least ‘display awareness that
it is changing position’ and ‘show that there are good reasons
for the new policy.’” (quoting Fox, 556 U.S. at 515)). And
we are left to wonder why BLM may have approved an
alternative that stranded economically viable quantities of
oil, even though it screened out alternative components
during the SEIS process—including some that better
protected surface resources in the NPR-A—because they did
not allow for full field development.
BLM framed its environmental review based on the full
field development standard and had a rational explanation
CTR. FOR BIOLOGICAL DIVERSITY V. BUREAU OF LAND MGMT. 31
for doing so. But that does not permit BLM to potentially
deviate from the standard without explanation. Because our
APA review requires more, we conclude that BLM’s 2023
approval of the Project was arbitrary or capricious.
2
CBD separately argues that BLM violated NEPA by
failing to present estimates of potential downstream
emissions from reasonably foreseeable future oil
development caused by the Project. The SEIS discusses
potential “development opportunities to the south and west
of the Project area” and notes that infrastructure from the
Project may make exploration and development of those
areas easier and less expensive. CBD argues that although
BLM accounted for these potential downstream emissions as
cumulative impacts, it did not separately present these
emissions as indirect effects of potential future activity,
particularly in the West Willow area of the NPR-A.
“NEPA requires agencies to evaluate the direct and
indirect effects of the proposed action.” Ctr. for Biological
Diversity, 982 F.3d at 737 (citing 40 C.F.R. § 1502.16). The
“direct effects occur ‘at the same time and place’ as the
proposed project, while indirect effects occur ‘later in time
or [are] farther removed in distance.’” Id. (alteration in
original) (quoting 40 C.F.R. § 1508.8(a), (b)). But the
agency only needs to consider “reasonably foreseeable”
indirect effects or ones that “a person of ordinary prudence
would take . . . into account in reaching a decision.” Id.
(quoting 40 C.F.R. § 1508.8(b); EarthReports, Inc. v. FERC,
828 F.3d 949, 955 (D.C. Cir. 2016)). Growth-inducing
effects may need to be considered, but only if they are
“reasonably foreseeable.” See id. (quoting 40 C.F.R.
§ 1508.8(b)).
32 CTR. FOR BIOLOGICAL DIVERSITY V. BUREAU OF LAND MGMT.
Willow’s SEIS estimated cumulative greenhouse gas
emissions from the Project, including the emissions from
potential West Willow discovery. It acknowledged that
“there is no certainty as to whether, how, or when this
discovery [in West Willow] could be developed.” But BLM
still estimated that those discovery wells have a resource
potential of around 75 million barrels, and it provided
projections of the greenhouse gas emissions that would
result if this oil were developed cumulatively along with the
other emissions from the Willow Project.
The SEIS also tiered to (i.e., incorporated by reference)
Integrated Activity Plans and EISs from 2012 and 2020 to
develop its cumulative emissions estimates. Cf. Kern, 284
F.3d at 1073 (“Tiering, or avoiding detailed discussion by
referring to another document containing the required
discussion, is expressly permitted by federal
regulation . . . .” (citing 40 C.F.R. § 1502.20)). Those
documents include estimates of greenhouse gas emissions
from theoretical development scenarios in the Willow area.
The SEIS used the higher end of the projected emissions
from these documents to conservatively account for all
projected emissions.
CBD counters that tiering to past documents is
misleading because those statements “aggregate[d] impacts
from many potential projects,” thus “hid[ing] the effects
induced by Willow itself.” It argues that BLM should have
specifically highlighted Willow’s potential downstream
emissions because it is “essential for the public and the
decisionmaker to understand” the Project’s effects. But
CBD cites no authority requiring BLM to separately present
estimates of the potential downstream emissions from
reasonably foreseeable oil development in the West Willow
area. CBD argues that because NEPA’s implementing
CTR. FOR BIOLOGICAL DIVERSITY V. BUREAU OF LAND MGMT. 33
regulations split the requirement that an agency consider
indirect effects and cumulative impacts into two subsections,
BLM is therefore required to consider indirect and
cumulative effects separately. See 40 C.F.R. §§ 1508.7,
1508.8(b) (2019). But nothing in the text of those
regulations prohibits BLM from considering indirect effects
and cumulative impacts together. The text only requires
BLM to consider both, which it did.
Nor does CBD explain how separating out this analysis
would further NEPA’s “twin aims” to consider “every
significant aspect of the environmental impact of a proposed
action” and to ensure the public has the information needed
for informed decisionmaking.7 Balt. Gas & Elec. Co., 462
U.S. at 97 (quotation omitted). It is inconceivable that the
public and policymakers would find it informative to
separate out this single piece of information from a 441-page
SEIS with over 20 supporting documents. See Bureau of
Land Mgmt., BLM National NEPA Register (2023),
https://perma.cc/WN8D-DNDF.
In sum, by estimating the greenhouse gas emissions from
potential future development in the cumulative effects
section of the SEIS, BLM considered the indirect effects and
the cumulative impacts. NEPA and its implementing
regulations require no more.8 Thus, BLM’s assessment of
7
There is every reason to think that analyzing Willow’s downstream
greenhouse gas emissions in the cumulative effects section facilitated
informed decisionmaking. According to the U.S. Environmental
Protection Agency, the SEIS contained “the most transparent analysis
[it] has seen” regarding greenhouse gas emissions and their social cost.
8
Nor was BLM required to evaluate possible environmental effects from
potential future or geographically separate projects that may be built or
expanded as a result of the Willow Project. Eagle County, slip op. at 16.
34 CTR. FOR BIOLOGICAL DIVERSITY V. BUREAU OF LAND MGMT.
the downstream emissions from the future oil development
caused by the Project complied with NEPA.
B
We now turn to Plaintiffs’ claims under the Reserves
Act. Both CBD and SILA assert that BLM violated this Act
by approving the Project, but on different grounds. SILA’s
argument is closely related to its NEPA challenge; it claims
that by applying the full field development standard to
screen alternative components, BLM unlawfully rejected
alternatives that would have reduced effects on significant
surface values in the NPR-A, including in designated special
areas like the TLSA. See 42 U.S.C. §§ 6504(a), 6506a(b).
CBD, for its part, argues that Willow will cause downstream
greenhouse gas emissions detrimental to surface resources,
and that BLM did not explain how the Project’s mitigation
measures comport with the Reserves Act given this potential
harm. Both arguments fail.
Recall that the Reserves Act gives BLM several relevant
directives. First, BLM must undertake “an expeditious
program of competitive leasing of oil and gas” in the NPR-
A. Id. § 6506a(a). Second, “[a]ny exploration” within
certain special areas must “be conducted in a manner which
will assure the maximum protection” of “significant
subsistence, recreational, fish and wildlife, or historical or
scenic value[s]” to “the extent consistent with the
requirements of [the] Act.” Id. § 6504(a). Third, the
Secretary of the Interior must “provide for such conditions,
restrictions, and prohibitions” as he “deems necessary or
appropriate to mitigate reasonably foreseeable and
significantly adverse effects on the surface resources” of the
Reserve. Id. § 6506a(b). This final authorization—the
“mitigation mandate”—is discretionary. The Reserves Act
CTR. FOR BIOLOGICAL DIVERSITY V. BUREAU OF LAND MGMT. 35
does not confer “discretion not to lease,” but it does give the
Secretary discretion “to develop restrictions necessary to
mitigate adverse impact on the NPR–A.” Kunaknana v.
Clark, 742 F.2d 1145, 1149 (9th Cir. 1984) (citing 42 U.S.C.
§ 6508). So while we must confirm that BLM complied with
the Reserves Act in approving the Project, when it comes to
mitigation measures, we have less “power to specify what
the action must be.” See Norton v. S. Utah Wilderness All.,
542 U.S. 55, 65 (2004). We therefore consider whether the
mitigation measures imposed were arbitrary or capricious.
See 5 U.S.C. § 706(2)(A).
1
SILA and the dissent maintain that BLM violated the
Reserves Act by using the full field development standard to
eliminate proposed alternatives that protect or minimize
impacts to surface resources. See Dissent at 84–86. The
argument goes like this: BLM declined to consider
alternative components that would reduce surface impacts,
including by eliminating all infrastructure in the TLSA,
because those components would strand an economically
viable quantity of oil. And the full field development
standard violates the Reserves Act’s clear requirement that
“[a]ny exploration” “shall be conducted in a manner which
will assure the maximum protection” of significant surface
values in the TLSA. 42 U.S.C. § 6504(a) (emphasis added).
That is, SILA contends that the Reserves Act’s “oil and gas
program does not override the statute’s mandate that
protections be implemented to avoid or reduce impacts to
important resources and designated Special Areas, including
after lease issuance.”
While the Reserves Act requires BLM to evaluate
surface impacts in the TLSA, it adds a caveat: activity in
36 CTR. FOR BIOLOGICAL DIVERSITY V. BUREAU OF LAND MGMT.
designated special areas must maximally protect surface
values, but only “to the extent consistent with the
requirements of [the] Act for the exploration of the reserve.”
Id. And one of those requirements is the Secretary’s
mitigation mandate. See Kunaknana, 742 F.2d at 1149.
Putting those provisions together, BLM had to ensure
“maximum protection” of significant surface values in the
TLSA, and one way it could do that “consistent with” the
Reserves Act was by imposing “conditions, restrictions, and
prohibitions” seen as “necessary or appropriate to mitigate
reasonably foreseeable and significantly adverse effects on
the surface resources” of the NPR-A. See 42 U.S.C.
§§ 6504(a), 6506a(b).
Leaning on the term “maximum protection,” the dissent
argues that the Reserves Act signals “Congress’s intent that
agencies exercise the full extent of their authority, consistent
with their other obligations, to safeguard sensitive areas” in
the NPR-A. Dissent at 85. But the Reserves Act, like all
statutes, does not “pursue[] a single policy at all costs.”
Advoc. Christ Med. Ctr. v. Kennedy, 145 S. Ct. 1262, 1274
(2025) (quotation omitted). And the Reserves Act balances
two objectives: oil and gas development and protection of
surface resources. See 42 U.S.C. §§ 6504(a), 6506a(a), (b).
BLM can satisfy the Reserves Act’s maximum-protection
directive with mitigation measures that “the Secretary deems
necessary or appropriate,” id. § 6506a(b), even while using
the full field development standard to eliminate some
proposed alternatives that would better protect the TLSA.
That is what BLM did. The SEIS and ROD contain
specific elements designed to mitigate surface impacts,
including in the TLSA. For example, BLM will require
ConocoPhillips to promote subsistence uses by designing
boat ramps, pullouts, and bridges so they are safe for
CTR. FOR BIOLOGICAL DIVERSITY V. BUREAU OF LAND MGMT. 37
community use. ConocoPhillips will also be forced to
minimize air traffic during calving season to reduce
disturbances to local caribou herds. And BLM will likewise
develop plans to mitigate impacts on caribou by providing a
buffer around Teshekpuk Lake and moving infrastructure
from calving areas.
SILA does not challenge these mitigation measures, and
they weaken SILA’s argument that the full field
development standard is out of step with the Reserves Act.
BLM can analyze alternatives consistent with full
development of the oil field, while also “condition[ing]
permits for drilling on implementation of environmentally
protective measures.” Kempthorne, 457 F.3d at 976; see
also id. (noting that the government “can deny a specific
application altogether if a particularly sensitive area is
sought to be developed and mitigation measures are not
available” (emphasis added)). Because nothing in the full
field development standard precludes BLM from
implementing protective conditions on exploration in the
NPR-A, it does not itself violate the Reserves Act.
2
CBD’s Reserves Act argument is distinct from SILA’s.
CBD does attack the adequacy of BLM’s mitigation
measures. In its view, “BLM took modest steps to limit
Willow’s greenhouse gas emissions” but then “stopped
short.” While the agency “elected to impose some
mitigation measures to address Willow’s direct emissions,”
it allegedly “rejected proposed measures to meaningfully
limit the Project’s indirect, or downstream, emissions—i.e.,
emissions from the transport, processing, and combustion of
oil it produces.” And CBD maintains that those emissions
will cause “reasonably foreseeable and significantly
38 CTR. FOR BIOLOGICAL DIVERSITY V. BUREAU OF LAND MGMT.
adverse” harm to the Reserve’s surface values, such as its
wetlands, water resources, and wildlife. 42 U.S.C.
§ 6506a(b).
CBD’s argument stumbles from the get-go. As
explained, the Reserves Act grants broad discretion to the
Secretary to determine the specifics of how to protect surface
resources in the NPR-A. See Kunaknana, 742 F.2d at 1149;
see also N. Alaska Env’t Ctr., 983 F.3d at 1081 (“The
[Reserves Act] directs BLM to lease Reserve land to private
entities for oil and gas development, while taking such
measures as BLM deems necessary or appropriate to
mitigate adverse environmental impacts.” (citing 42 U.S.C.
§ 6506a)). Although the Act requires the agency to
undertake some actions to mitigate the effect of greenhouse
gas emissions on surface resources, we must accord
deference to the agency’s mitigation measures under
§ 6506a(b). Cf. Norton, 542 U.S. at 65. They may be set
aside only to the extent that they are arbitrary. See 5 U.S.C.
§ 706(2)(A).
In any event, BLM considered mitigation measures
addressing downstream emissions before explaining why it
chose to go in a different direction. For example, BLM
reviewed a mitigation measure identified in public
comments that would require ConocoPhillips to offset 50%
of Willow’s projected net greenhouse gas emissions through
reforestation. The commenter explained that offsetting
Willow’s emissions in this way would help the United States
comply with its commitments under the 2016 Paris
Agreement. In rejecting the measure, BLM explained that it
“takes a narrow and prescriptive approach to what is a
layered, extremely complex, and evolving policy and
technical area guided by industry practice, government
policy and regulation.” And “[r]equiring the offset of
CTR. FOR BIOLOGICAL DIVERSITY V. BUREAU OF LAND MGMT. 39
downstream emissions (i.e., indirect emissions) from the
Willow [P]roject,” BLM continued, “would be redundant to
the reduction / offset efforts of the end-users of Willow oil.”
As the district court noted, BLM’s “well-reasoned
explanation” for rejecting this measure was far from
arbitrary. SILA II, 701 F. Supp. 3d at 893.
There are other examples too. The final SEIS lists
several proposed mitigation measures dealing with the
potential climate impacts of the Willow Project, such as
limiting the Project’s lifespan and requiring periodic NEPA
reviews should ConocoPhillips recover larger amounts of oil
than anticipated. BLM reasonably explained, consistent
with its discretion under the Reserves Act, why it chose not
to adopt these measures. See id. at 892–93. Thus, BLM did
not act arbitrarily in selecting mitigation measures under the
Reserves Act.
C
SILA and the dissent also argue that BLM violated
ANILCA by overlooking alternatives that would reduce
impacts to subsistence uses. See Dissent at 86–89. SILA
asserts that BLM’s ANILCA violation springs from its
arbitrary conclusion that, under the Reserves Act, BLM must
consider alternatives that provide for full field development.
SILA argues that by limiting its consideration of alternatives
based on this standard, BLM did not adequately consider
alternatives that would “reduce or eliminate the use,
occupancy, or disposition of public lands needed for
subsistence purposes” under § 810 of ANILCA. 16 U.S.C.
§ 3120(a). We affirm the district court’s order that BLM
complied with ANILCA in approving the Project.
First, some background. In ANILCA, Congress sought
to balance two purposes, often thought conflicting: “to
40 CTR. FOR BIOLOGICAL DIVERSITY V. BUREAU OF LAND MGMT.
‘provide[] sufficient protection for the national interest in the
scenic, natural, cultural and environmental values on the
public lands in Alaska’” and “to provide[] adequate
opportunity for satisfaction of the economic and social needs
of the State of Alaska and its people.” Sturgeon v. Frost,
587 U.S. 28, 36 (2019) (alterations in original) (quoting 16
U.S.C. § 3101(d)); see City of Angoon v. Marsh, 749 F.2d
1413, 1415–16 (9th Cir. 1984) (same). In striking that
balance, § 810 of ANILCA “does not prohibit all federal
land use actions which would adversely affect subsistence
resources.” Amoco Prod. Co. v. Vill. of Gambell, 480 U.S.
531, 544 (1987); see Ninilchik Traditional Council v. United
States, 227 F.3d 1186, 1192 (9th Cir. 2000) (“Subsistence
living, although at the heart of ANILCA, is not a per se
preemptive statutory priority.”). Rather, the statute “sets
forth a procedure through which such effects must be
considered and provides that actions which would
significantly restrict subsistence uses can only be undertaken
if they are necessary and if the adverse effects are
minimized.” Amoco Prod. Co., 480 U.S. at 544. It is this
“procedural mechanism”—outlined in § 810—that
“assure[s] the continuation of subsistence lifestyles” for
North Slope residents. Kunaknana, 742 F.2d at 1150; see 16
U.S.C. § 3101(c) (stating that ANILCA allows “rural
residents engaged in a subsistence way of life to continue to
do so”).
What does it mean to live a subsistence way of life? We
explained in John v. United States that the subsistence
purpose in § 101 is informed by ANILCA’s definition of
“subsistence uses,” which focuses on land-based resources.
720 F.3d 1214, 1218 (9th Cir. 2013). “[S]ubsistence uses”
include “the customary and traditional uses by rural Alaska
residents of wild, renewable resources for direct personal or
CTR. FOR BIOLOGICAL DIVERSITY V. BUREAU OF LAND MGMT. 41
family consumption as food, shelter, fuel, clothing, tools, or
transportation.”9 16 U.S.C. § 3113 (emphasis added). Such
uses are “accorded priority” over the taking of “fish and
wildlife for other purposes,” but not without exception. Id.
§ 3114; see Alaska v. Babbitt, 72 F.3d 698, 708 n.5 (9th Cir.
1995) (Hall, J., dissenting). ANILCA forbids “subsistence
uses” that are wasteful. 16 U.S.C. § 3112(2). It does not
consider the commercial sale of fish a “subsistence use[].”
Id. § 3113(2)(B). And it only supports a subsistence way of
life “consistent with management of fish and wildlife in
accordance with recognized scientific principles.” Id.
§ 3101(c).
ANILCA’s protection of “subsistence uses” is achieved
through § 810. The § 810 analysis is two-fold. See
Kunaknana, 742 F.2d at 1150–51. At step one, in deciding
whether to use or take a proposed action on public lands, the
agency must consider three factors: (1) “the effect of [the
proposed action] on subsistence uses and needs”; (2) “the
availability of other lands for the purposes sought to be
achieved”; and (3) “other alternatives which would reduce
or eliminate the use, occupancy, or disposition of public
lands needed for subsistence purposes.” 16 U.S.C.
§ 3120(a).
If the agency determines that its proposed action “would
significantly restrict subsistence uses,” then it must proceed
to step two, which imposes “notice and hearing procedures”
meant to inform affected communities about the proposed
agency action. Kunaknana, 742 F.2d at 1151; see 16 U.S.C.
§ 3120(a)(1)–(2). The agency also must make a set of
specific findings at step two: (1) that the restriction is
9
The definition of “subsistence uses” under Alaska law mirrors
ANILCA’s federal definition. See Alaska Stat. § 16.05.940(34).
42 CTR. FOR BIOLOGICAL DIVERSITY V. BUREAU OF LAND MGMT.
“necessary, consistent with sound [public lands]
management,” (2) that the “minimal amount of public lands
necessary” will be used, and (3) that “reasonable steps will
be taken to minimize the adverse impacts upon subsistence
uses and resources.” 16 U.S.C. § 3120(a)(3). After
complying with § 810’s “procedural requirements” and
“other applicable law,” the agency “may manage or dispose
of public lands . . . for any of those uses or purposes
authorized by [ANILCA] or other law.” Id. § 3120(d).
Echoing its NEPA and Reserves Act arguments, SILA
asserts that BLM’s use of the full field development standard
undercuts the third factor of the step one evaluation—
whether other alternatives “would reduce or eliminate the
use, occupancy, or disposition of public lands needed for
subsistence purposes.” Id. § 3120(a). In SILA’s view, the
full field development standard kept BLM from considering
more protective alternatives, and thus the agency
disregarded its obligations to consider alternatives that
“reduce” the use of public lands necessary for subsistence
use. Id. BLM’s approach also allegedly renders arbitrary its
related step two findings that Willow, as approved, included
“the minimal amount of public lands necessary” and that
“reasonable steps [were] taken to minimize adverse impacts
upon subsistence uses and resources.” Id. § 3120(a)(3)(B)–
(C).
Consistent with our analysis of NEPA and the Reserves
Act, we disagree that BLM’s selection of alternatives for
evaluation based on the full field development standard
violated ANILCA. For reasons already discussed, BLM’s
reliance on the full field development standard was not
contrary to the Reserves Act or arbitrary or capricious. Thus,
the first building block of SILA’s argument falls.
CTR. FOR BIOLOGICAL DIVERSITY V. BUREAU OF LAND MGMT. 43
Moreover, BLM’s obligation to consider “alternatives
which would reduce or eliminate the use . . . of public lands
needed for subsistence” is one of “three factors” informing
its determinations at step one. 16 U.S.C. § 3120(a);
Kunaknana, 742 F.2d at 1150. This factor forces the agency
to “compare the relative desirability” of its options.
Kunaknana, 742 F.2d at 1151. But while agencies are
required to consider alternatives, nothing in the text of § 810
establishes that the existence of alternatives that could have
a lesser impact on public lands needed for subsistence bars
BLM from proceeding with a proposed action. 10 The
availability of alternatives is but one data point that the
agency must consider in evaluating whether to proceed with
a proposed action and in determining whether such action
“would significantly restrict subsistence uses,” thus
triggering the step-two procedural requirements in
§ 810(a)(1) through (3). See 16 U.S.C. § 3120(a). Provided
BLM weighs the availability of alternatives, it can fill in “the
particular details concerning when, where, and how leasing
within the NPR-A shall occur.” Kunaknana, 742 F.2d at
1151.
To the extent that SILA and the dissent suggest the mere
existence of unconsidered alternatives that would reduce the
use of public lands needed for subsistence purposes
establishes a violation of ANILCA, we reject that premise.
It glosses over the Supreme Court’s recognition that
ANILCA “does not prohibit all federal land use actions
which would adversely affect subsistence resources”; it
instead “sets forth a procedure through which such effects
must be considered.” Amoco Prod. Co., 480 U.S. at 544; see
10
The relevant alternatives are limited to “other tracts within the NPR-
A which could be leased for oil and gas.” Kunaknana, 742 F.2d at 1151.
44 CTR. FOR BIOLOGICAL DIVERSITY V. BUREAU OF LAND MGMT.
also John, 720 F.3d at 1240 (“[A]NILCA simply recognizes
subsistence uses as ‘a public interest’ within a statutory
‘framework for reconciliation, where possible, of competing
public interests.’” (quoting Amoco Prod. Co., 480 U.S. at
545–46)). At most, ANILCA “does little more than provide
a broad outline of what uses must be preferred over others,”
leaving its “implementation to the Secretary of the Interior.”
United States v. Alexander, 938 F.2d 942, 945 (9th Cir.
1991); see also id. (“ANILCA . . . is a law without a bite.”).
So long as the agency considered alternatives and its
selection of alternatives was not arbitrary or capricious, its
step-one obligations are satisfied.
BLM has met that bar. Its SEIS and ROD contain a
thorough § 810 analysis for each of the four action
alternatives and the no-action alternative. For each
alternative, BLM evaluated the effects on subsistence uses,
the availability of other lands for accomplishing the same
purposes, and other alternatives that would reduce or
eliminate the use of public lands necessary for subsistence
needs. BLM further recognized that each action alternative
may alter caribou distribution and impact subsistence use,
triggering step two. But it sought to minimize Willow’s
impacts by selecting an alternative that disapproved a drill
site that was previously approved in the 2020 ROD. That
disapproval removed one of the impediments to caribou
movement and subsistence user access that underscored
BLM’s step one finding that each of the alternatives would
significantly restrict subsistence uses. And just as it did in
imposing limitations to reduce adverse impacts on surface
resources, as required by the Reserves Act, BLM discussed
other subsistence mitigation measures, such as altering flight
paths to avoid interfering with subsistence resources relied
CTR. FOR BIOLOGICAL DIVERSITY V. BUREAU OF LAND MGMT. 45
on by the local Nuiqsut community and protecting the
surface area of the Teshekpuk Lake.
Thus, contrary to SILA’s and the dissent’s contentions,
BLM did consider “alternatives which would reduce or
eliminate the use, occupancy, or disposition of public lands
needed for subsistence purposes.” 16 U.S.C. § 3120(a).
BLM only had to select an alternative which would “reduce
or eliminate” the lands needed for subsistence uses. Id.
(emphasis added). The use of “or” presupposes that BLM
was not required to “eliminate” impacts on subsistence uses.
See United States v. Woods, 571 U.S. 31, 45–46 (2013) (“or”
is “almost always disjunctive”); see also Amoco Prod. Co.,
480 U.S. at 545–46 (“Congress clearly did not state in
ANILCA that subsistence uses are always more important
than development of energy resources . . . .”). Reduction of
impacts was enough.
To sum up, BLM complied with § 810 by evaluating the
step one factors, determining that the alternatives it analyzed
would “significantly restrict subsistence uses,” and
complying with step two by providing “notice and hearing
procedures” and making the specified factual findings,
including that “reasonable steps will be taken to minimize
adverse impacts upon subsistence uses and resources.” 16
U.S.C. § 3120(a). Having satisfied § 810’s procedural
requirements, BLM was free to manage Alaska’s public
lands for “any of those uses or purposes” authorized under
federal law, id. § 3120(d), including for “an expeditious
program of competitive leasing of oil and gas” in the NPR-
A, 42 U.S.C. § 6508. Because BLM’s application of the full
field development standard was not contrary to § 810,
BLM’s approval of the Project satisfied ANILCA.
46 CTR. FOR BIOLOGICAL DIVERSITY V. BUREAU OF LAND MGMT.
D
Only CBD presses an ESA claim on appeal. Defendants
argue that CBD lacks Article III standing to assert this claim,
and that, in any event, BLM complied with § 7 of the ESA
in declining to consult with FWS and NMFS about the effect
of Willow’s greenhouse gas emissions on listed species.
Defendants are partly right. Although CBD has standing to
challenge BLM’s § 7 consultation, its substantive argument
fails on the merits.
1
We start with CBD’s standing. CBD is an organization,
so its standing turns on whether at least one of its members
“would otherwise have standing to sue in their own right.”11
Ass’n des Éleveurs de Canards et d’Oies du Québec v.
Bonta, 33 F.4th 1107, 1120 (9th Cir. 2022) (quotation
omitted). For one of CBD’s members to independently
satisfy Article III, that member must demonstrate “(i) that
[they] suffered an injury in fact that is concrete,
particularized, and actual or imminent; (ii) that the injury
was likely caused by the defendant; and (iii) that the injury
would likely be redressed by judicial relief.” TransUnion
LLC v. Ramirez, 594 U.S. 413, 423 (2021) (citing Lujan v.
Defs. of Wildlife, 504 U.S. 555, 560–61 (1992)). Because it
has shown that each element is met for at least two members,
CBD has standing.
a
Begin with injury in fact. In environmental cases,
Article III standing requires injury to the plaintiff, not the
11
The organizational standing doctrine has other requirements not
disputed here. See Hunt v. Wash. State Apple Advert. Comm’n, 432 U.S.
333, 343 (1977).
CTR. FOR BIOLOGICAL DIVERSITY V. BUREAU OF LAND MGMT. 47
environment. Friends of the Earth, Inc. v. Laidlaw Env’t
Servs. (TOC), Inc., 528 U.S. 167, 181 (2000). CBD alleges
a procedural injury—the failure to conduct a proper § 7
consultation under the ESA. We have held that such an
injury is cognizable for Article III purposes, but only if a
concrete interest is threatened by the asserted procedural
violation. See Citizens for Better Forestry v. U.S. Dep’t of
Agric., 341 F.3d 961, 970–71 (9th Cir. 2003). The initial
question, then, is whether any of CBD’s members have a
concrete interest threatened by BLM’s alleged consultation
error.
CBD argues that its members have spiritual, aesthetic,
and recreational interests in listed species located in and
around the Project area. “Of course, the desire to use or
observe an animal species, even for purely esthetic purposes,
is undeniably a cognizable interest for purposes of standing.”
Lujan, 504 U.S. at 562–63; see also Friends of the Earth,
528 U.S. at 183 (“We have held that environmental plaintiffs
adequately allege injury in fact when they aver that they use
the affected area and are persons ‘for whom the aesthetic and
recreational values of the area will be lessened’ by the
challenged activity.” (quotation omitted)). But when these
interests are tied to a particular area of land, generalized
averments about using that land in the future are “simply not
enough.” Lujan, 504 U.S. at 564. To show imminent injury,
a plaintiff must describe “concrete plans” for being in the
area where the use or observation interest will be harmed.
Id.
At least two CBD members have met that bar. Rosemary
Ahtuangaruak declares that she lives in Nuiqsut, which is
next to the Project area; has an interest in hunting bearded
seals around Oliktok Point; and has a subsistence and
cultural interest in polar bears on the North Slope.
48 CTR. FOR BIOLOGICAL DIVERSITY V. BUREAU OF LAND MGMT.
Ahtuangaruak details her activities near the gravel mine site
west of Nuiqsut, which include hunting, boating, walking,
and berry-picking, and how the increased mining activity
from the Project will likely injure her enjoyment of those
activities. CBD member Daniel Ritzman declares that he too
has recreational interests that will be injured by Willow,
including viewing polar bears around the Project area,
particularly near Teshekpuk Lake and the Colville River. He
has visited the area several times over many years for
personal reasons and to guide wildlife-viewing trips and
plans to return to the Colville River periodically to see polar
bears and other wildlife.
Ahtuangaruak and Ritzman have alleged cognizable
interests. But is an injury to those interests sufficiently
imminent? Generally, when a plaintiff has shown a concrete
interest in a procedural-injury case, the standard for proving
imminence is lower. Lujan, 504 U.S. at 572 n.7. Under this
relaxed standard, a plaintiff who asserts a procedural
violation under § 7 need only show that compliance “could
protect his concrete interests.” Nat. Res. Def. Council v.
Jewell, 749 F.3d 776, 783 (9th Cir. 2014) (en banc).
Willow’s approval “could” threaten CBD’s members’
concrete interests in subsistence, spiritual, and recreational
activities in areas directly affected by the Project. Although
parts of Willow will take years to complete, the potential
injury to Plaintiffs’ concrete interests is imminent enough to
satisfy Article III. See Lujan, 504 U.S. at 572 n.7 (noting
that affected residents would have standing even though the
challenged project “will not be completed for many years”).
And even remote development made possible at the end of
an agency’s planning process is sufficiently imminent. See,
e.g., Citizens for Better Forestry, 341 F.3d at 973; Idaho
Conservation League v. Mumma, 956 F.2d 1508, 1515–16
CTR. FOR BIOLOGICAL DIVERSITY V. BUREAU OF LAND MGMT. 49
(9th Cir. 1992) (finding an imminent injury although the
challenged action “does not propose any specific
development” and instead was to be followed by further
agency planning). Thus, CBD—through its members’
declarations—has satisfied the first prong of the standing
analysis by identifying a concrete and imminent injury in
fact.
b
Now consider causation. A plaintiff’s injury must be
“fairly traceable” to the defendant’s challenged conduct.
Lujan, 504 U.S. at 560 (cleaned up). Like the imminence
requirement, the causation inquiry is relaxed in cases
involving procedural injuries. WildEarth Guardians v. U.S.
Forest Serv., 70 F.4th 1212, 1216 (9th Cir. 2023). But “only
in the sense that a plaintiff ‘need not establish the likelihood
that the agency would render a different decision after going
through the proper procedural steps.’” Id. (quoting Ctr. for
Biological Diversity v. Exp.-Imp. Bank of the U.S., 894 F.3d
1005, 1012 (9th Cir. 2018)). “A plaintiff still must show ‘a
likelihood that the challenged action, if ultimately taken,
would threaten their interests.’” Id. at 1217 (quotation
omitted). Put another way, “environmental plaintiffs must
make some showing of how the agency’s failure to account
for environmental consequences affects them, even if the
environmental effects might not be realized ‘for many
years.’” Whitewater Draw Nat. Res. Conservation Dist. v.
Mayorkas, 5 F.4th 997, 1013 (9th Cir. 2021) (quoting Lujan,
504 U.S. at 572 n.7).
One of CBD’s theories is that Willow will increase
greenhouse gas emissions and contribute to climate change;
climate change will harm Alaskan polar bears and ice seals;
and this, in turn, will harm CBD’s members’ recreational
50 CTR. FOR BIOLOGICAL DIVERSITY V. BUREAU OF LAND MGMT.
and aesthetic interests in viewing the bears and seals. As
much as CBD’s causation theory rests on a link between
Willow’s greenhouse gas emissions and localized injuries to
listed species, that argument is foreclosed by our precedent.
In Washington Environmental Council v. Bellon, the
plaintiffs alleged that various state agencies failed to regulate
greenhouse gas emissions under the Clean Air Act. 732 F.3d
1131, 1138 (9th Cir. 2013). Their asserted injuries were
climate-related; for example, decreased snowpack and an
increased risk of forest fires owing to greenhouse gas
emissions. Id. at 1140–41. We assumed that the plaintiffs
had an Article III injury, and that man-made greenhouse gas
emissions are “causally linked to . . . climate change.” Id. at
1141, 1142.
But we held that the plaintiffs’ alleged causal link
between climate change and their injuries was too
attenuated. Id. at 1142–43; see also Food & Drug Admin. v.
All. for Hippocratic Med., 602 U.S. 367, 383 (2024) (“The
causation requirement also rules out attenuated links—that
is, where the government action is so far removed from its
distant (even if predictable) ripple effects that the plaintiffs
cannot establish Article III standing.”). We explained that
“there is a natural disjunction between Plaintiffs’ localized
injuries and the greenhouse effect. Greenhouse gases, once
emitted from a specific source, quickly mix and disperse in
the global atmosphere and have a long atmospheric
lifetime.” Bellon, 732 F.3d at 1143. And “there is limited
scientific capability in assessing, detecting, or measuring the
relationship between a certain [greenhouse gas] emission
source and localized climate impacts in a given region.” Id.
Thus, the plaintiffs’ conjectural link between the challenged
actions, climate-related harms, and their localized injuries
CTR. FOR BIOLOGICAL DIVERSITY V. BUREAU OF LAND MGMT. 51
was too speculative to meet the causation element of
standing. Id. at 1142–44.
In reaching this conclusion, we distinguished
Massachusetts v. EPA—which held that Massachusetts had
standing to challenge the EPA’s failure to regulate mobile
source greenhouse gas emissions—because that case
involved a procedural right, and the state received “special
solicitude” for standing purposes. Bellon, 732 F.3d at 1144–
45 (quoting Massachusetts v. EPA, 549 U.S. 497, 520
(2007)). Because Bellon involved neither a procedural right
nor a sovereign state, a relaxed causation requirement did not
apply. Id. at 1145. Even then, Bellon reasoned that if a
relaxed standard did apply, plaintiffs lacked standing
because Massachusetts involved vehicle-based emissions
that would make a “meaningful contribution” to global
greenhouse gas concentrations. Id. at 1145–46. The
emissions at issue in Bellon, by contrast, were comparatively
negligible. Id. So, under Bellon, a causal link between
greenhouse gas emissions and local effects cannot be
established, even in a procedural-injury case, when the
challenged government action involves negligible emissions
on a global scale.
BLM acknowledged that the Project will lead to more
greenhouse gas emissions, which will contribute to climate
change and reduced sea ice. But the agency emphasized that
it could not predict with reasonable certainty whether a
reduction in sea ice would harm any listed species in or
around the Project area.12 CBD does not offer persuasive
12
This lack of causality between greenhouse gas emissions and localized
injuries to species tracks longstanding agency views. In its original
listing rule for the polar bear, FWS noted that ESA consultation was not
52 CTR. FOR BIOLOGICAL DIVERSITY V. BUREAU OF LAND MGMT.
evidence to the contrary. Thus, under Bellon, CBD cannot
show causation by citing climate-related injuries to
localized, listed species.
If CBD asserted only climate-related injuries, then we
would stop here. But CBD also argues that its members
suffer aesthetic and recreational injuries caused by Willow’s
non-climate impacts. For instance, Ahtuangaruak alleges
injuries tied to construction of a Willow-based gravel mine.
And Ritzman declares that the immediate impacts of the
Project will impede his ability to use the Colville River for
recreational and professional pursuits.
These aesthetic and recreational injuries—caused by
local, on-the-ground development of the Project—establish
standing for CBD to raise its climate-related claim under the
ESA. When it comes to causation, the Supreme Court has
held that the claimed injury need not always be caused by
the specific deficiency or violation identified by the plaintiff.
In Duke Power Co. v. Carolina Environmental Study Group,
Inc., the Court explained that “outside the context of
taxpayers’ suits” a litigant need not demonstrate “more than
injury in fact and a substantial likelihood that the judicial
relief requested will prevent or redress the claimed injury.”
438 U.S. 59, 79 (1978); Bd. of Nat. Res. of Wash. v. Brown,
required for downstream greenhouse gas emissions impacts because
“there is no traceable nexus between the ultimate consumption of the
petroleum product and any particular effect to a polar bear or its habitat.”
Endangered and Threatened Wildlife and Plants; Determination of
Threatened Status for the Polar Bear (Ursus maritimus) Throughout Its
Range, 73 Fed. Reg. 28,212, 28,300 (May 15, 2008). Although climate
science has advanced since the original listing rule, BLM maintains that
“the level of reliability and granularity provided by existing models is
still insufficient to identify project-specific effects to listed species or
designated critical habitat.”
CTR. FOR BIOLOGICAL DIVERSITY V. BUREAU OF LAND MGMT. 53
992 F.2d 937, 945 (9th Cir. 1993) (same). To illustrate, take
Duke Power itself. The Court held that the plaintiffs had
standing to challenge the constitutionality of the Price-
Anderson Act, which generally deals with nuclear
companies’ liability for a meltdown, even though their
asserted injuries related to the immediate environmental and
aesthetic harms of specific nuclear development projects.
438 U.S. at 64–66, 69–70, 73–81. There was no need for a
“subject-matter nexus between the right asserted and the
injury alleged.” Id. at 79.
Applying that reasoning here, CBD has standing for its
§ 7 claim even without a specific causal connection between
its members’ injuries and BLM’s alleged failure to properly
consult with FWS and NMFS about Willow’s climate-
related effects on listed species. The members allege non-
climate related aesthetic and recreational injuries caused by
the challenged substantive agency action—approval of the
Project. And under Duke Power, CBD need not “allege a
climate-change related injury in order to have standing to
challenge BLM’s analysis of climate change impacts.”
WildEarth Guardians v. U.S. Bureau of Land Mgmt., 870
F.3d 1222, 1231 (10th Cir. 2017) (citing Duke Power, 438
U.S. at 72–79). The D.C. Circuit reached the same
conclusion. In WildEarth Guardians v. Jewell, the D.C.
Circuit noted that the plaintiffs “cannot establish standing
based on the effects of global climate change.” 738 F.3d
298, 307 (D.C. Cir. 2013) (citing Bellon, 732 F.3d at 1141–
46). But the D.C. Circuit explained that the plaintiffs still
“established a separate injury in fact not caused by climate
change—the harm to their members’ recreational and
aesthetic interests from local pollution.” Id. Thus, CBD has
satisfied the causation element of standing, even without a
54 CTR. FOR BIOLOGICAL DIVERSITY V. BUREAU OF LAND MGMT.
causal link between the Project’s greenhouse gas emissions
and ESA-listed species.
c
That leaves redressability. Typically, a plaintiff must
establish that its asserted injuries will “likely” be redressed
by a favorable judicial decision. Lujan, 504 U.S. at 561. But
under the relaxed redressability standard for procedural-
injury cases, id. at 572 n.7, CBD only must show that further
§ 7 consultation “may influence the agency’s ultimate
decision of whether to take or refrain from taking a certain
action,” Salmon Spawning & Recovery All. v. Gutierrez, 545
F.3d 1220, 1226–27 (9th Cir. 2008). “This is not a high bar
to meet.” Id. at 1227. Here, vacatur would redress CBD’s
members’ injuries because BLM’s re-approval of the Project
“could be influenced by” additional consultation with FWS
and NMFS about the effect of Willow’s greenhouse gas
emissions on polar bears and ice seals. Citizens for Better
Forestry, 341 F.3d at 976 (quoting Pub. Citizen v. Dep’t of
Transp., 316 F.3d 1002, 1019 (9th Cir. 2003)); see 5 U.S.C.
§ 706(2). No more is required. We therefore conclude that
CBD has standing to challenge BLM’s § 7 consultation.
2
We turn next to the merits of CBD’s ESA § 7 claim.
a
The ESA “is a comprehensive scheme with the ‘broad
purpose’ of protecting endangered and threatened species.”
Ctr. for Biological Diversity v. U.S. Bureau of Land Mgmt.,
698 F.3d 1101, 1106 (9th Cir. 2012) (quoting Babbitt v.
Sweet Home Chapter of Cmtys. for a Great Or., 515 U.S.
687, 698 (1995)). The ESA advances that goal through two
“interlocking provisions.” Id. Section 9 makes it unlawful
CTR. FOR BIOLOGICAL DIVERSITY V. BUREAU OF LAND MGMT. 55
for any person to “take” an endangered or threatened
species.13 16 U.S.C. § 1538(a)(1)(B). Section 7, in turn,
imposes on federal agencies “an affirmative duty to prevent
violations of Section 9.” Ariz. Cattle Growers’ Ass’n v. U.S.
Fish & Wildlife, 273 F.3d 1229, 1238 (9th Cir. 2001) (citing
16 U.S.C. § 1536(a)(2)).
Under § 7(a)(2), agencies must ensure that their actions
are “not likely to jeopardize the continued existence of any
endangered species or threatened species or result in the
destruction or adverse modification of [critical] habitat of
such species.” 16 U.S.C. § 1536(a)(2). To that end, § 7 sets
out a consultation process with FWS or NMFS, depending
on the species potentially affected.14
If listed species “may be present” in an agency’s project
area, the agency must conduct a “biological assessment” to
identify listed species “likely to be affected” by the project.
Id. § 1536(c)(1). If the agency determines that its proposed
action “may affect” any listed species or its critical habitat,
then consultation—either formal or informal—is required.
Karuk Tribe, 681 F.3d at 1027. An agency can only avoid
consultation if its action will have “no effect” on a listed
species or critical habitat. Id.
If an agency determines (and FWS or NMFS concurs)
that an action “may affect” but “is not likely to adversely
affect” a listed species or designated critical habitat, then
consultation may conclude informally. Id.; see 50 C.F.R.
13
“The term ‘take’ means to harass, harm, pursue, hunt, shoot, wound,
kill, trap, capture, or collect, or to attempt to engage in any such
conduct.” Sweet Home, 515 U.S. at 691 (quoting 16 U.S.C. § 1532(19)).
14
FWS administers the ESA with respect to terrestrial species, while
marine species are under the jurisdiction of NMFS. Westlands, 376 F.3d
at 873; see 50 C.F.R. § 402.01(b).
56 CTR. FOR BIOLOGICAL DIVERSITY V. BUREAU OF LAND MGMT.
§§ 402.13(c), 402.14(a)–(b). Otherwise, the agency must
formally consult with FWS or NMFS. 50 C.F.R.
§ 402.14(a). This process results in a BiOp, which reflects
the agency’s opinion on whether the proposed action “is
likely to jeopardize the continued existence of listed species
or result in the destruction or adverse modification of critical
habitat.” Ctr. for Biological Diversity, 698 F.3d at 1107
(quoting 50 C.F.R. § 402.14(g)(4)).
An agency must consider the “effects of the action” at
each stage of the § 7 process. For example, the regulations
provide that a “biological assessment shall evaluate the
potential effects of the action” on listed species and critical
habitat. 50 C.F.R. § 402.12(a) (emphasis added). The same
goes for formal consultation—FWS and NMFS are required
to “[e]valuate the effects of the action and cumulative
effects” on ESA-protected species and habitat. Id.
§ 402.14(g)(3) (emphasis added); see also id. § 402.14(h)(1)
(“The biological opinion shall include . . . (iii) A detailed
discussion of the effects of the action . . . .”).
“Effects of the action” are defined, in part, as “all
consequences to listed species or critical habitat that are
caused by the proposed action.” Id. § 402.02. “A
consequence is caused by the proposed action if it would not
occur but for the proposed action and it is reasonably certain
to occur.” Id. (emphasis added). So the plain text of the
ESA’s implementing regulations requires that the
reasonable-certainty requirement be applied to the
consequences of a proposed action on listed species and
critical habitat. See Ctr. for Biological Diversity v. Haaland,
87 F.4th 980, 988 n.4 (9th Cir. 2023); see also Endangered
and Threatened Wildlife and Plants; Regulations for
Interagency Cooperation, 84 Fed. Reg. 44,976, 44,977 (Aug.
27, 2019) (“Consequences to the species or critical habitat
CTR. FOR BIOLOGICAL DIVERSITY V. BUREAU OF LAND MGMT. 57
caused by the proposed action must also be reasonably
certain to occur.”).
Additionally, the regulations in effect during Willow’s
approval directed that a “conclusion of reasonably certain to
occur must be based on clear and substantial information,
using the best scientific and commercial data available.” 50
C.F.R. § 402.17(b) (2022) (repealed by Endangered and
Threatened Wildlife and Plants; Regulations for Interagency
Cooperation, 89 Fed. Reg. 24,268, 24,298 (Apr. 5, 2024)).
Other considerations for deciding whether a proposed
agency action causes consequences to a protected species or
critical habitat include temporal and geographic proximity,
and whether the “consequence is only reached through a
lengthy causal chain that involves so many steps as to make
the consequence not reasonably certain to occur.” Id.
§ 402.17(b)(1)–(3). The reasonable-certainty requirement is
“not a particularly stringent standard to meet,” provided that
the government does more than “rely on speculation
sprinkled with dabs of evidence.” Ctr. for Biological
Diversity, 87 F.4th at 989. CBD did not preserve any
argument that these regulations conflict with the ESA itself.
b
All this context leads to CBD’s argument. BLM
conducted a biological assessment of several listed species.
It determined that Willow “may affect and is not likely to
adversely affect” eleven listed marine mammal species,
including ice seals. And BLM initiated only informal
consultation with NMFS. BLM then secured a Letter of
Concurrence from NMFS agreeing that the Project was not
likely to adversely affect any listed species or critical habitat,
thus ending informal consultation. But when it came to
terrestrial species, BLM began formal consultation with
58 CTR. FOR BIOLOGICAL DIVERSITY V. BUREAU OF LAND MGMT.
FWS because it concluded that Willow is “likely to
adversely affect” two listed species, including polar bears.
The biological assessment provided to each Service did
not analyze Willow’s greenhouse gas emissions as an “effect
of the action.” See 50 C.F.R. § 402.12(a). After BLM
solicited public input on its draft SEIS, and while § 7
consultation with the Services was ongoing, CBD submitted
a comment asserting that § 7 required BLM to “consider the
impacts from the direct, indirect, and cumulative greenhouse
gas emissions caused by the project.” In response to CBD’s
comment, BLM issued a detailed memorandum explaining
why “additional climate changed-related information does
not alter” the existing scope of the § 7 consultations. BLM
reasoned that because it could not predict where sea ice loss
would occur because of emissions from the Project, or how
such sea ice loss would affect listed species, further analysis
of greenhouse gas emissions was unnecessary.
FWS agreed, responding that “the current state of
climate science does not allow us to draw causal links
between contributions from project-specific [greenhouse
gas] emissions to global climate change, and subsequent
project-specific effects on listed species.” The next day,
FWS issued a BiOp with a “no jeopardy” determination that
did not specifically analyze Willow’s climatic impacts as an
“effect of the action.” NFMS also concurred in BLM’s
finding “that the scope of the ESA Section 7 consultation
with respect to [greenhouse gas] emissions is appropriate.”
CBD challenges the reasoning behind BLM’s (and
FWS’s and NMFS’s) conclusions that the effects of the
Project’s greenhouse gas emissions on listed species were
not sufficiently linked to merit further analysis as an “effect
of the action.” These are policy determinations subject to
CTR. FOR BIOLOGICAL DIVERSITY V. BUREAU OF LAND MGMT. 59
arbitrary-or-capricious review under the APA. See Ctr. for
Biological Diversity, 87 F.4th at 987, 989; 5 U.S.C.
§ 706(2)(A). To survive APA review, “[an] agency must
examine the relevant data and articulate a satisfactory
explanation for its action including a ‘rational connection
between the facts found and the choices made.’” State Farm,
463 U.S. at 43 (quoting Burlington Truck Lines, Inc. v.
United States, 371 U.S. 156, 168 (1962)). If an agency
“entirely failed to consider an important aspect of the
problem” or “offered an explanation for its decision that runs
counter to the evidence before the agency,” its action is
arbitrary or capricious. Id.
First, regarding BLM’s analysis, CBD argues that the
“best scientific and commercial data available” shows a
direct causal link between increased greenhouse gas
emissions and decreased sea ice. See 50 C.F.R. § 402.17(b)
(2022). Thus, the argument goes, the effect of Willow’s
project-specific emissions on polar bears and ice seals is
“reasonably certain to occur,” demanding further § 7
consultation as an “effect of the action.” See id. § 402.02.
BLM reached a different conclusion, which was not
arbitrary or capricious. BLM’s supplemental memorandum
shows that the agency considered potential emissions effects
on listed species, and it explained why it declined to expand
the scope of its § 7 consultations. For example, BLM
acknowledged that Willow is “anticipated to result in a
marginal increase in global [greenhouse gas] emissions that
would contribute to climate change and, potentially, a
marginal seasonal decrease in sea ice extent somewhere in
the Arctic.” But it could not predict with any precision
where and when the sea ice reduction would occur, and thus
could not anticipate whether any reduction stemming from
the Project would cause a “reasonably certain” consequence
60 CTR. FOR BIOLOGICAL DIVERSITY V. BUREAU OF LAND MGMT.
to listed species in the Willow area. BLM supported that
conclusion with studies suggesting that the relationship
between sea ice loss and the impact to polar bears is non-
linear. As the agency explained, much more information
than what is available is needed “to understand the species-
specific consequences of a marginal sea ice loss caused by a
specific project” like Willow. Considering BLM’s detailed
explanation for why it did not view project-specific
greenhouse gas emissions as “effects of the action,” we see
no reason to conclude that its decision to retain the biological
assessment’s effects analysis was arbitrary or capricious.
See State Farm, 463 U.S. at 43.
Next, CBD argues that NMFS’s concurrence with
BLM’s decision to maintain the scope of the existing § 7
consultation was arbitrary. BLM concluded that
consultation on greenhouse gas emissions was unnecessary.
NMFS concurred: “Without commenting on the conclusions
that BLM has drawn, we agree that the scope of the ESA
Section 7 consultation with respect to [greenhouse gas]
emissions is appropriate.” And in its Letter of Concurrence,
NMFS did not include climate change as one of the “effects
of the action.” But NMFS’s response to BLM shows that it
considered the issue, and the fact that it omitted climate
change from its “effects of the action” analysis shows that it
agreed with BLM’s reasoning. That provides a “satisfactory
explanation” for its Letter of Concurrence. Native
Ecosystems Council v. U.S. Forest Serv., 418 F.3d 953, 965
(9th Cir. 2005). NMFS was not required to repeat the entire
effects analysis to survive judicial scrutiny.15
15
Even if NMFS’s explanation were deficient, any error would be
harmless because BLM’s underlying conclusion was not arbitrary or
CTR. FOR BIOLOGICAL DIVERSITY V. BUREAU OF LAND MGMT. 61
Finally, CBD argues that FWS’s concurrence with
BLM’s analysis was arbitrary or capricious because it did
not engage with the best available science. But FWS
“agree[d] that the current state of climate science does not
allow [it] to draw causal links between contributions from
project-specific [greenhouse gas] emissions to global
climate change, and subsequent project-specific effects on
listed species and designated critical habitat.” The Service
further “agree[d] that an estimate of a project-caused
decrease in sea ice occurring somewhere in the Arctic,
without more specific information . . . does not enable [it] to
predict any ‘effects of the action’ to listed species or
designated critical habitat per section 7 and its implementing
regulations.” Put simply, FWS fully concurred in BLM’s
scientific analysis. And because BLM’s analysis was not
arbitrary or capricious, FWS’s concurrence was not either.
At bottom, each agency “rationally explain[ed] why it
did what it did.” In re Big Thorne Project, 857 F.3d 968,
976 (9th Cir. 2017); see also id. (“[W]e have an
Administrative Procedure Act, not an Administrative Policy
Act.”). We thus hold that the agencies satisfied their § 7
obligations.
IV
Having found a NEPA deficiency in BLM’s approval of
the Project, we now assess the remedy. We remand without
vacatur only “in limited circumstances.” Cal. Cmtys.
Against Toxics v. EPA, 688 F.3d 989, 994 (9th Cir. 2012).
In deciding whether to vacate agency action, “[w]e weigh
the seriousness of the agency’s errors against ‘the disruptive
capricious. See Paulsen v. Daniels, 413 F.3d 999, 1006 (9th Cir. 2005)
(citing 5 U.S.C. § 706); SILA II, 701 F. Supp. 3d at 921–22.
62 CTR. FOR BIOLOGICAL DIVERSITY V. BUREAU OF LAND MGMT.
consequences of an interim change that may itself be
changed.’” Ctr. for Food Safety v. Regan, 56 F.4th 648, 663
(9th Cir. 2022) (quoting Cal. Cmtys., 688 F.3d at 992). We
also look to “whether the agency would likely be able to
offer better reasoning or whether by complying with
procedural rules, it could adopt the same rule on remand, or
whether such fundamental flaws in the agency’s decision
make it unlikely that the same rule would be adopted on
remand.” Pollinator Stewardship Council v. EPA, 806 F.3d
520, 532 (9th Cir. 2015).
BLM’s lone error is at heart a procedural, not a
substantive violation. NEPA is a procedural statute that,
unlike the ESA, does not require any substantive agency
response. BLM only failed to explain whether or why its
adopted alternative complied with the full field development
standard at the ROD stage. And while some procedural
errors could be “serious,” this one is not. See Cal. Cmtys.,
688 F.3d at 992. As we have noted, while the full field
development standard is not compelled by statute or
regulation, neither does it conflict with BLM’s statutory
obligations. Thus, BLM should be permitted to explain its
application of this principle better either at the screening
stage or the ROD stage. There are different considerations
the agency is tasked with balancing at each stage.
Although BLM does not explain in the ROD whether
modified Alternative E complies with full field
development, its adopted alternative would still produce
about 94% of the oil expected under Alternative E. This is
not a situation where “fundamental flaws” will require the
agency to adopt an alternative that is meaningfully different
from what it has already approved. Pollinator, 806 F.3d at
532. Even so, BLM needs to explain whether and how its
approved alternative strands economically viable oil despite
CTR. FOR BIOLOGICAL DIVERSITY V. BUREAU OF LAND MGMT. 63
maintaining throughout the SEIS process that it would only
consider alternatives that would fully develop the oil field.
See State Farm, 463 U.S. at 57. But “given the technical
nature of [BLM’s] error,” the agency “will ‘likely be able to
offer better reasoning’ and ‘adopt the same rule on remand.’”
Nat’l Fam. Farm Coal. v. EPA, 966 F.3d 893, 929 (9th Cir.
2020) (quoting Pollinator, 806 F.3d at 532).
Plus, the disruptive consequences of vacating Willow’s
approval would be severe. The Project is a billion-dollar
venture potentially employing upwards of 1,000 people. If
we vacated the ROD, it would be “economically disastrous.”
See Cal. Cmtys., 688 F.3d at 994 (remanding without vacatur
for a “venture employing 350 workers”). The ROD also
provides a host of local benefits that would evaporate with
vacatur.16 For example, the ROD guarantees a network of
gravel roads and boat ramps that facilitate safer and more
efficient access to subsistence resources. And the ROD
requires BLM to institute long-term mitigation measures for
the caribou herd, a critical subsistence source for rural
Alaskans. Willow’s benefits for the communities most
affected by the Project weigh strongly against vacatur here.
Having weighed the equities, see Idaho Farm Bureau
Fed’n v. Babbitt, 58 F.3d 1392, 1405 (9th Cir. 1995), vacatur
is unwarranted because the procedural error is minor and the
on-the-ground consequences of vacatur would be severe.
Still, we “expect and urge [BLM] to move promptly” in
rectifying the ROD’s deficiencies on remand. Nat’l Fam.
Farm Coal., 966 F.3d at 930 (quoting EME Homer City
Generation, L.P. v. EPA, 795 F.3d 118, 132 (D.C. Cir.
2015)). But because “we have been given no reason to
16
Because of these benefits and others, Willow has received
overwhelming support from Alaska’s state and federal elected leaders.
64 CTR. FOR BIOLOGICAL DIVERSITY V. BUREAU OF LAND MGMT.
believe that the agency would be unable to cure those
deficiencies,” Solar Energy Indus., 80 F.4th at 997, we
remand without vacating BLM’s 2023 approval of the
Project.
V
For these reasons, we largely affirm the district court’s
order granting summary judgment for Defendants and
dismissing Plaintiffs’ claims. We reverse the part of the
district court’s order approving BLM’s NEPA alternatives
analysis and remand without vacatur. Appellants’ motions
for injunctive relief pending appeal are denied as moot.
AFFIRMED IN PART, REVERSED IN PART, and
REMANDED WITHOUT VACATUR.
R. NELSON, Circuit Judge, concurring:
I write separately to respond to Judge Sanchez, who
opines on the validity of agency regulations under § 7 of the
Endangered Species Act (ESA).
Section 7 requires federal agencies to consult with the
Fish and Wildlife Service or the National Marine Fisheries
Service to “insure” that a proposed agency action is “not
likely” to jeopardize ESA-protected species or habitat. 16
U.S.C. § 1536(a)(2). The Services have long been required
to evaluate the “effects of the proposed action” during the
§ 7 process. Nat’l Wildlife Fed’n v. Nat’l Marine Fisheries
Serv., 524 F.3d 917, 924 (9th Cir. 2008); see also Interagency
Cooperation—Endangered Species Act of 1973, 51 Fed.
Reg. 19,926, 19,932 (June 3, 1986) (codified at 50 C.F.R.
§ 402.02). “Effects of the action” are “all consequences to
listed species or critical habitat that are caused by the
CTR. FOR BIOLOGICAL DIVERSITY V. BUREAU OF LAND MGMT. 65
proposed action.” 50 C.F.R. § 402.02 (emphasis added).
The proposed action “cause[s]” a consequence to listed
species or critical habitat if the consequence “would not
occur but for the proposed action” and “is reasonably certain
to occur.” Id. If a consequence to ESA-protected species
and habitat fails this causation test, it does not warrant
further evaluation under § 7.
The Bureau of Land Management (BLM), alongside the
Services, concluded that current science does not support a
sufficient causal link between the Willow Project’s
greenhouse gas emissions and sea ice loss in the Project area
that would adversely affect listed species like the polar bear.
So BLM declined to analyze the Project’s greenhouse gas
emissions as an effect of the action. Today, we hold that
BLM’s § 7 ESA decision was not arbitrary or capricious.
Maj. Op. at 58–61; see Ctr. for Biological Diversity v.
Haaland, 87 F.4th 980, 987 (9th Cir. 2023). On that point,
we all agree. See Dissent at 92.
But Judge Sanchez goes further, suggesting that but-for
causation conflicts with the text and purpose of the ESA. Id.
at 92–95. In my view, the ESA is not just consistent with
but-for causation—it compels it. Future courts should think
twice before casting doubt on this longstanding practice.
I
Judge Sanchez suggests that but-for causation conflicts
with § 7’s text and purpose. See id. I disagree. But-for
causation is “the background against which Congress
legislate[s],” and it is “the default rule[]” that Congress “is
presumed to have incorporated, absent an indication to the
contrary in the statute itself.” Univ. of Tex. Sw. Med. Ctr. v.
Nassar, 570 U.S. 338, 347 (2013); see Richards v. County of
San Bernardino, 39 F.4th 562, 572 (9th Cir. 2022) (“The
66 CTR. FOR BIOLOGICAL DIVERSITY V. BUREAU OF LAND MGMT.
traditional means of proving factual causation is the ‘but for’
causation test.”). In directing agencies to “insure” that their
actions are “not likely” to jeopardize a protected species or
habitat, § 7 implies that federal agencies must consider the
causal connection between a proposed action and any
adverse environmental consequences. 16 U.S.C.
§ 1536(a)(2). But it does not specify what causal link is
required before the consulting agency must consider a
consequence to a protected species or habitat as an effect of
the proposed action. Cf. Burrage v. United States, 571 U.S.
204, 213 (2014) (but-for causation where statutes use the
phrases “because of,” “based on,” and “by reason of”
(citations omitted)).
So there is nothing in § 7 that rebuts the presumption of
but-for causation. In fact, § 7 barely says anything about
causation at all. And while we no longer defer to an agency’s
interpretation of a statute’s ambiguity, see Loper Bright
Enters. v. Raimondo, 603 U.S. 369, 412–13 (2024), there is
no ambiguity in a provision that says virtually nothing about
causation. See Dissent at 92. With no clear reference to
causation, I presume that Congress incorporated the but-for
standard in drafting § 7. See Nassar, 570 U.S. at 347.
But-for causation also finds support in the broader
statutory scheme. The point of § 7 consultation is to identify
measures that federal agencies can take to “inure to the
benefit of a protected species.” Karuk Tribe v. U.S. Forest
Serv., 681 F.3d 1006, 1024 (9th Cir. 2012) (en banc). That
is why the ESA’s implementing regulations limit § 7’s
application to “actions in which there is discretionary
Federal involvement or control.” Nat’l Ass’n of Home
Builders v. Defs. of Wildlife, 551 U.S. 644, 666 (2007)
(quoting § 402.03). Think about how that implicates the
effects of the action. If a consequence to a protected species
CTR. FOR BIOLOGICAL DIVERSITY V. BUREAU OF LAND MGMT. 67
or habitat will happen despite the proposed action—in other
words, if the but-for causation test is not met—then an
agency’s discretionary efforts to protect listed species hit a
dead-end.
In that scenario, where the agency is powerless to stop a
consequence to a protected species or habitat that will occur
despite the proposed action, “there is no duty to consult
because ‘consultation would be a meaningless exercise.’”
See Karuk Tribe, 681 F.3d at 1024–25 (quoting Sierra Club
v. Babbitt, 65 F.3d 1502, 1508–09 (9th Cir. 1995)). Today,
agencies are required to consult on consequences that would
not occur but for the proposed action. See 50 C.F.R.
§§ 402.02, 402.14. Those circumstances are where the
action agency can implement discretionary measures to
mitigate harm to listed species or critical habitat. Identifying
such measures is a core reason for interagency consultation
under the ESA. The but-for causation standard therefore
reflects the justifications for the § 7 process.
II
The but-for causation standard also tracks longstanding
agency practice. For decades, “[e]ffects of the action”
referred to “the direct and indirect effects of an action on the
species or critical habitat, together with the effects of other
activities that are interrelated or interdependent with that
action.” 51 Fed. Reg. at 19,958. “Indirect effects” were
“those that are caused by the proposed action and are later in
time, but still are reasonably certain to occur.” Id. The
regulation did not use the words “but-for.” Still, we
interpreted aspects of the regulation to require but-for
causation in assessing effects of the action. See Sierra Club
v. Bureau of Land Mgmt., 786 F.3d 1219, 1225 (9th Cir.
2015) (“The test for interrelatedness or interdependentness
68 CTR. FOR BIOLOGICAL DIVERSITY V. BUREAU OF LAND MGMT.
is ‘but for’ causation . . . .” (quoting Sierra Club v. Marsh,
816 F.2d 1376, 1387 (9th Cir. 1987))).
In 2019, the Trump Administration made the first
comprehensive revisions to § 7’s regulations in over 30
years. See Endangered and Threatened Wildlife and Plants;
Regulations for Interagency Cooperation, 84 Fed. Reg.
44,976 (Aug. 27, 2019). Relevant here, the Services
simplified the definition for “effects of the action” by
collapsing the terms “direct,” “indirect,” “interrelated,” and
“interdependent” into a two-part test. Id. A consequence is
caused by the proposed action if, first, the consequence
would not occur “but for” the proposed action, and second,
if the consequence is “reasonably certain to occur.” Id.
In making these changes, the Services emphasized that
but-for causation is nothing new. “[T]he Services have
applied the ‘but for’ test to determine causation for decades.”
Id. at 44,977. Even before 2019, the Services “looked at the
consequences of an action and used the causation standard
of ‘but for’ plus an element of foreseeability (i.e., reasonably
certain to occur) to determine whether the consequence was
caused by the action under consultation.” Id. That was
especially true for “indirect effects” on listed species and
critical habitat—effects that are caused by a proposed action
but occur later in time. The original definition of “indirect
effects” referred to effects that are “caused by” the proposed
action. Id. at 44,991. But-for causation, the Services
explained, “is similar to ‘caused by’” in that “both tests
speak to a connection between the proposed action and the
consequent results of that action.” Id. The 2019 revisions
setting out the current two-part causation test were therefore
a continuation of past agency practice.
CTR. FOR BIOLOGICAL DIVERSITY V. BUREAU OF LAND MGMT. 69
In streamlining “effects of the action,” the Services
emphasized that the two-part test is “consistent with the prior
regulatory definition,” meaning “the scope of [the] effects
analyses will stay the same.” Id. at 44,990; see Ctr. for
Biological Diversity, 87 F.4th at 988 n.4 (the new language
in the definition was “not meant to change how the
regulation operates but clarifies and simplifies the
regulation”). At no point did the Services alter the existing
framework in making the but-for causation requirement
more explicit.
Two years later, President Biden issued an order
directing the Executive Branch to review agency actions
taken by the prior administration and, as appropriate,
consider revising or rescinding those actions if they impeded
the new administration’s environmental goals. See Exec.
Order No. 13,990, Protecting Public Health and the
Environment and Restoring Science to Tackle the Climate
Crisis, 86 Fed. Reg. 7037 (Jan. 20, 2021). In response, the
2019 revisions to § 7’s implementing regulations were
singled out for review. See Endangered and Threatened
Wildlife and Plants; Regulations for Interagency
Cooperation, 89 Fed. Reg. 24,268, 24,268 (Apr. 5, 2024). In
the end, the Biden Administration largely endorsed the 2019
revisions. And while it proposed small changes to “effects
of the action,” it reaffirmed the “longstanding” but-for
causation standard, which “has been part of [agency]
practice” since 1986. Id. at 24,272.
As this history shows, but-for causation is entrenched in
the § 7 framework. The standard persists across presidential
70 CTR. FOR BIOLOGICAL DIVERSITY V. BUREAU OF LAND MGMT.
administrations, garnering the support of both political
parties. And until recently, it has gone unchallenged.1
III
The slippery nature of climate modeling and projection
cannot justify our deviation from these longstanding
principles. See Dissent at 94–95. As Judge Sanchez
recognizes, climate science does not allow for a but-for
causal link between a particular project’s greenhouse gas
emissions and localized climatic effects. Id. In fact, it might
never allow that degree of causal or predictive certainty. See
id.
Federal agencies have said so for years. For example, in
its 2008 rule listing the polar bear as an ESA-protected
species, the Fish and Wildlife Service noted that § 7
consultation on downstream greenhouse gas emissions was
not required because the best scientific data “does not
provide the degree of precision needed to draw a causal
connection between the oil produced at a particular drilling
site, the [greenhouse gas] emissions that may eventually
result from the consumption of the refined petroleum
product, and a particular impact to a polar bear or its habitat.”
1
The 2019 revisions, along with other revisions to the ESA regulations,
were challenged. See, e.g., Ctr. for Biological Diversity v. Bernhardt,
No. 3:19-cv-05206 (N.D. Cal.). The district court at first vacated the
2019 revisions and remanded to the Services without reaching the merits.
After we temporarily stayed that decision, In re Wash. Cattlemen’s
Ass’n, No. 22-70194, 2022 WL 4393033, at *1 (9th Cir. Sept. 21, 2022),
the district court remanded the regulations without vacatur, allowing the
Services to proceed with a rulemaking process to amend some aspects of
the 2019 rule, see Amended Order Granting Motion to Remand, Ctr. for
Biological Diversity v. Bernhardt, No. 3:19-cv-05206 (N.D. Cal. Nov.
11, 2022), ECF No. 198. The 2024 regulations, which reaffirmed the
longstanding use of but-for causation, resulted from that process.
CTR. FOR BIOLOGICAL DIVERSITY V. BUREAU OF LAND MGMT. 71
Endangered and Threatened Wildlife and Plants;
Determination of Threatened Status for the Polar Bear
(Ursus maritimus) Throughout Its Range, 73 Fed. Reg.
28,212, 28,300 (May 15, 2008). BLM and the Services
decided much the same here, too. As our opinion explains,
the corresponding decision not to consult on the Project’s
emissions as an effect of the action was not arbitrary or
capricious. Maj. Op. at 58–61.
Though the current science makes it difficult to establish
but-for causal links in the climate context, see Dissent at 94,
that is no reason to jettison the but-for causation standard,
which is consistent with the text of the ESA. Because but-
for causation is baked into the statutory text, we have no
discretion to apply a looser standard when it compels results
we do not like. Whether to modify the ESA or its
implementing regulations is a decision best left to the
political branches, not the courts. See Loper Bright, 603
U.S. at 403–04. Until then, we should continue to enforce
but-for causation in identifying the effects of the action
subject to § 7 consultation.
SANCHEZ, Circuit Judge, concurring in part and dissenting
in part.
In reviewing and approving the largest domestic oil
drilling project on federal public lands, the Bureau of Land
Management (BLM) excluded from its review any
alternatives that did not “fully develop” the Willow Project’s
oil and gas fields. The agency determined that it would not
consider alternatives that would strand an “economically
viable” quantity of oil, even if they provided more robust
recreational, environmental, or subsistence protections to
72 CTR. FOR BIOLOGICAL DIVERSITY V. BUREAU OF LAND MGMT.
Alaska’s North Slope. Yet no statute, regulation, or even the
Willow Project’s purpose and need statement required BLM
to adopt this constrained view of its discretion. My
colleagues observe as much, see Maj. at 25–27, and conclude
that remand is necessary. See Maj. at 62–64. On these basic
points, we agree. But I cannot join the majority’s adoption
of an improper remedy—remand without vacatur—under
the circumstances of this appeal.
BLM’s errors were more fundamental than simply
failing to explain how it applied the full field development
standard among the alternatives it reviewed. At bottom, the
agency failed to provide any reasoned explanation for its
adoption of full field development. Other than a few cursory
responses to public comments and notes from consultation
meetings, BLM sheds no light on where this standard came
from, how it operates in light of BLM’s statutory mitigation
requirements, or why it would allow the agency to foreclose
review of other reasonable alternatives. The standard
appears to be based on the agency’s misreading of 43 C.F.R.
§ 3137.71(b)(1), a regulation that addresses a lessee’s
continuing development obligations and plainly does not
constrain BLM’s ability to consider alternative scenarios that
provide greater protection to surface resources.
Even if full field development did not rest on a
misreading of BLM’s regulatory authority, this standard
conflicts with various procedural and substantive
requirements under the National Environmental Policy Act
(NEPA), the Alaska National Interest Lands Conservation
Act (ANILCA), and the Naval Petroleum Reserves
Production Act (Reserves Act). Because the agency’s
unexplained decision constitutes a manifest abuse of
discretion and requires vacatur, I respectfully dissent from
this portion of the majority opinion.
CTR. FOR BIOLOGICAL DIVERSITY V. BUREAU OF LAND MGMT. 73
As to the Endangered Species Act (ESA) claim, I concur
with the majority that the Center for Biological Diversity
(CBD) has standing to challenge BLM’s failure to engage in
formal consultation with other federal agencies on the
climate impacts of the Willow Project, but that CBD did not
demonstrate how informal consultation was arbitrary and
capricious under the governing regulations. Maj. at 46–61.
Nonetheless, I write separately to question whether the
operative regulations that permitted BLM—in conjunction
with the Fish and Wildlife Service and the National Marine
Fisheries Service—to forgo formal consultation are
consistent with the text and purpose of the ESA.
I.
A.
It is undisputed that BLM only analyzed alternatives that
would allow ConocoPhillips to “fully develop” the Willow
Project’s oil and gas field. For its part, BLM acknowledged
that full field development “is not defined in regulation or
case law.” But the agency did not explain in its draft or final
Supplemental Environmental Impact Statement (SEIS) or
Record of Decision (ROD) what full field development is or
what justified its adoption, and the confusion arising from
the agency’s failure to do so lies at the heart of this appeal.
BLM seems to have adopted the full field development
standard after the district court vacated its approval of the
Willow Project in 2021. Sovereign Inupiat for a Living
Arctic v. Bureau of Land Mgmt., 555 F. Supp. 3d 739, 805
(D. Alaska 2021). There, the district court held that the
agency’s alternatives analysis violated NEPA because it
rested on an incorrect assumption that ConocoPhillips had
the right “to extract all the oil and gas possible within the
leased areas.” Id. at 768‒70. The court observed that “[t]he
74 CTR. FOR BIOLOGICAL DIVERSITY V. BUREAU OF LAND MGMT.
leases do not grant [ConocoPhillips] the unfettered right to
drill wherever it chooses or categorically preclude BLM
from considering alternative development scenarios,” and
added that “BLM’s asserted restriction on its authority is
[also] inconsistent with its own statutory responsibility to
mitigate adverse effects on the surface resources.” Id. at
768‒69.
After the district court order, BLM prepared an SEIS to
address the deficiencies identified by the court. During this
drafting process, BLM implemented new screening criteria,
including the requirement that alternatives “fully develop the
targeted oil and gas field.” The draft SEIS stated that this
criterion was derived “directly from language contained in
43 C.F.R. 3137.71(b)(1), which addresses the lessee’s
obligation to BLM in their development proposal” and
meant that “BLM may not permit a development proposal
that would strand an economically viable quantity of oil.”
The agency echoed this criterion in consultations with
stakeholders, maintaining that “an applicant cannot strand an
economically viable amount of recoverable resource” and
characterizing the full field development principle as
“BLM’s interpretation of the Alaska District Court’s ruling
and BLM’s regulation.”
In the agency’s final SEIS, however, the terms “full field
development” or “fully develop” were notably absent from
its stated screening criteria. Nonetheless, the agency’s final
SEIS rejected various alternative concepts on the grounds
that they would “strand an economically viable amount of
[recoverable] oil,” and referenced its definition of full field
development in its attached responses to at least three public
comments.
CTR. FOR BIOLOGICAL DIVERSITY V. BUREAU OF LAND MGMT. 75
Despite the agency’s repeated reliance on full field
development, there is no statutory or regulatory basis for this
standard. The regulation cited by BLM concerns a lessee’s
“continuing development obligations.” See 43 C.F.R.
§ 3137.71. It provides that once a lessee has met its “initial
development obligations” and has drilled a well that meets
productivity criteria, the lessee must submit a plan to BLM
that “describe[s] the activities to fully develop the oil and gas
field.” Id. at § 3137.71(b)(1). Notably, that is the only time
the phrase “fully develop” appears in any federal regulation
by the Department of Interior. No Interior regulation
mentions, much less describes, a “full field development”
requirement for oil and gas leases on public lands, including
regulations concerning the competitive leasing program for
oil and gas within the National Petroleum Reserve in Alaska.
See 43 C.F.R. §§ 3100, et seq. (Oil and Gas Leasing),
§§ 3120, et seq. (Competitive Leases), §§ 3130, et seq. (Oil
and Gas Leasing, National Petroleum Reserve, Alaska).
If full field development was a driving consideration of
the oil and gas leasing program under the Reserves Act, one
might expect this requirement to appear in regulations
governing the submission of bids or the award of leases, see
id. at §§ 3132.2, 3132.5; the extension or renewal of a lease,
see id. at §§ 3135.1-5, 3135.1-6; the requirements of an
NPR-A unit agreement or reasons BLM may reject a unit
agreement application, see id. at §§ 3137.21, 3137.24; or a
lessee’s initial development obligations and actions the
agency may take if a lessee does not meet a continuing
development obligation, see id. at §§ 3137.70, 3137.76. But
76 CTR. FOR BIOLOGICAL DIVERSITY V. BUREAU OF LAND MGMT.
no such regulation defines, explains, or implements a full
field development requirement.1
Even if full field development accurately reflects a
lessee’s obligations under the regulations, BLM does not
explain how this standard would constrain its own discretion
to review and approve oil and gas development alternatives.
The regulations do not restrict BLM’s ability to consider
alternative scenarios that provide greater protection to
surface resources, but rather direct BLM to develop “special
stipulations” when the agency “deems [it] necessary and
appropriate for mitigating reasonably foreseeable and
significant adverse impacts on the surface resources.” Id. at
§ 3131.3; see also id. at § 3135.2(a) (directing BLM to
require a lessee to suspend operations and production when
it determines, inter alia, that doing so “mitigates reasonably
foreseeable and significantly adverse effects on surface
resources” or “conserv[es] natural resources”). Moreover, it
is difficult to perceive any difference between the agency
standard the district court previously rejected—that
proposed alternatives must “extract all the oil and gas
possible within the leased areas”—and BLM’s current full
field development standard—that proposed alternatives may
not “strand an economically viable quantity of recoverable
oil.”
Nor does the Willow Project’s purpose and need
statement support the full field development standard. The
Project’s purpose statement highlights the need “to construct
the infrastructure necessary to allow the production and
1
Although BLM asserted that full field development of resources is
“something routinely applied across oil and gas projects” in one of its
consultation sessions, the agency failed to mention a single time that has
been so.
CTR. FOR BIOLOGICAL DIVERSITY V. BUREAU OF LAND MGMT. 77
transportation to market of federal oil and gas resources in
the Willow reservoir . . . while providing maximum
protection to significant surface resources within the NPR-
A, consistent with BLM’s statutory directives.” As the
majority observes, “[n]othing in Willow’s purpose and need
statement bar[s] BLM from adopting an alternative that
would strand an economically viable quantity of oil.” Maj.
at 26–27. In short, BLM appears to have invented the full
field development standard out of whole cloth with no
explanation for its course of action.
B.
When an agency fails to offer a reasoned explanation for
its decision, it violates a basic procedural requirement of
administrative decision-making. See Encino Motorcars,
LLC v. Navarro, 579 U.S. 211, 221 (2016); League of United
Latin Am. Citizens v. Regan, 996 F.3d 673, 696 (9th Cir.
2021) (“An agency has a baseline obligation to articulate a
satisfactory explanation for its action including a rational
connection between the facts found and the choice made.”
(internal quotations and citations omitted)). The agency’s
reasoning must provide an analytical “path [that] may
reasonably be discerned,” Encino Motorcars, 579 U.S. at
221 (quoting Bowman Transp., Inc. v. Ark.-Best Freight Sys.,
Inc., 419 U.S. 281, 286 (1974)), and must be “sufficient to
permit effective judicial review,” Dioxin/Organochlorine
Ctr. v. Clarke, 57 F.3d 1517, 1525 (9th Cir. 1995) (citing
S.E.C. v. Chenery Corp., 332 U.S. 194, 196‒97 (1947)).
An agency action is “arbitrary and capricious if the
agency has … offered an explanation for its decision that
runs counter to the evidence before the agency, or is so
implausible that it could not be ascribed to a difference in
view or the product of agency expertise.” Motor Vehicle
78 CTR. FOR BIOLOGICAL DIVERSITY V. BUREAU OF LAND MGMT.
Mfrs. Ass’n of the U.S., Inc. v. State Farm Mut. Auto. Ins.
Co., 463 U.S. 29, 43 (1983). “Unexplained inconsistency”
in agency action is “a reason for holding an interpretation to
be an arbitrary and capricious change.” Nat’l Cable &
Telecomms. Ass’n v. Brand X Internet Servs., 545 U.S. 967,
981 (2005).
By adopting a full field development standard in the draft
and final SEIS and subsequent 2023 ROD, BLM expressly
declined to consider any development alternatives that
would strand an “economically viable” quantity of oil. BLM
does not explain what an “economically viable” quantity of
oil means, or how this standard accords with the Willow
Project’s stated goal of providing “maximum protection to
significant surface resources within the NPR-A, consistent
with BLM’s statutory directives.” BLM’s response to public
comments asserted that full field development differs from
the previous standard of allowing ConocoPhillips to “extract
all possible oil and gas from its leases,” but failed to explain
what those differences are. BLM cited 43 C.F.R.
§ 3137.71(b)(1) as a basis for full field development but did
not explain how a regulation concerning a lessee’s
continuing development obligations could constrain the
agency’s own review of reasonable alternatives. Finally,
BLM failed to explain how full field development is
consistent with its procedural or substantive obligations
under NEPA, the Reserves Act, or ANILCA. As I discuss
below, full field development—as best we can glean from
the record—directly conflicts with several statutory
requirements. See infra I.C.
The majority agrees that full field development is not
explained or supported by 43 C.F.R. § 3137.71(b)(1) or the
Willow Project’s purpose and need statement, see Maj. at
25–27, but nonetheless concludes that an “anti-
CTR. FOR BIOLOGICAL DIVERSITY V. BUREAU OF LAND MGMT. 79
segmentation” rationale justifies the agency’s adoption of
the full field development standard, Maj. at 27–29. Under
this rationale, partial development options were permissibly
excluded from consideration because they would “segment”
the agency’s NEPA analysis by inviting future permit
applications to develop the remaining quantities of oil, as
purportedly required under 43 C.F.R. § 3137.71(b)(1). In
other words, evaluating partial development options would
prevent BLM from analyzing the true extent of the Willow
Project’s current and future environmental impacts because
it would not “disclose and analyze the impacts of full field
development.”
The anti-segmentation rationale is legally and logically
untenable. Nothing in NEPA or its implementing regulations
requires an agency to ignore partial development alternatives
in favor of those that constitute full development. On the
contrary, NEPA demands that agencies examine all
“reasonable” alternatives to a proposed action, 40 C.F.R.
§ 1502.14(a) (2019), which necessarily includes alternatives
that would mitigate significant adverse impacts to surface
resources, even if doing so strands oil. Moreover, nothing in
§ 3137.71(b)(1) provides ConocoPhillips the right or
obligation to develop all economically viable quantities of
oil on leased lands or prevents BLM from denying future
permit applications based on the adverse environmental
impacts BLM itself has identified. As discussed above,
§ 3137.71(b)(1) merely describes the contents of a lessee’s
continuing development plan, and no regulation, including
§ 3137.71(b)(1), describes, explains, or implements BLM’s
full field development standard.
The agency’s anti-segmentation logic does not withstand
even passing scrutiny. For one, the notion that the agency
cannot examine partial development options because such
80 CTR. FOR BIOLOGICAL DIVERSITY V. BUREAU OF LAND MGMT.
alternatives would “not disclose and analyze the impacts of
full field development” and would provide “false
comparison[s]” to other alternatives presupposes that full
field development of the Willow reserves must occur. Such
circular reasoning demonstrates that the agency already
made up its mind about the scope of development it would
approve. We have repeatedly cautioned that NEPA review
cannot be used “as a subterfuge designed to rationalize a
decision already made.” Metcalf v. Daley, 214 F.3d 1135,
1142 (9th Cir. 2000).
Moreover, just because a partial development alternative
might invite future permit applications, that does not
constrain BLM’s ability to evaluate the current and future
environmental impacts of the Willow Project. A future
application to develop other quantities of oil would require
the agency to consider the immediate, indirect, and
cumulative impacts of that proposed action in relation to the
environmental impacts of the current agency action, as well
as related projects. See 40 C.F.R. §§ 1508.7, 1508.8(a)‒(b)
(2019); Native Ecosystems Council v. Dombeck, 304 F.3d
886, 897 (9th Cir. 2002) (“NEPA . . . requires the assessment
of the cumulative impact of ‘individually minor but
collectively significant actions taking place over a period of
time.’” (quoting 40 C.F.R. § 1508.7)). It is BLM’s
responsibility to evaluate such impacts now and in the future
when such contingencies arise. Anti-segmentation seems to
boil down to a plea of convenience—the agency would
prefer to avoid another environmental impact analysis down
the road. But agency convenience cannot override BLM’s
statutory obligation to evaluate a reasonable range of
alternatives.
The record itself also undermines the anti-segmentation
rationale. For instance, the agency considered a No-Action
CTR. FOR BIOLOGICAL DIVERSITY V. BUREAU OF LAND MGMT. 81
alternative, as required under 40 C.F.R. § 1502.14(d) (2019),
and repeatedly affirmed that it could select that option in
response to several public comments. But the No-Action
alternative would also invite future permit applications to
develop the remaining oil in the Reserve. And by approving
modified Alternative E in the 2023 ROD, which the
government concedes “does not allow ConocoPhillips to
extract all economically viable oil from several of its leases,”
the agency did, in the end, open itself to another application
to develop the remaining quantities of oil.2 These actions
undercut any supposed need by the agency to avoid
segmenting its environmental analysis.
The district court and majority’s attempt to make sense
of the agency’s cursory responses to public comments by
supplying a rationale that the agency did not explain
oversteps the role of a reviewing court. See Encino
Motorcars, 579 U.S. at 224 (“It is not the role of the courts
to speculate on reasons that might have supported an
agency’s decision” and courts “may not supply a reasoned
basis for the agency’s action that the agency itself has not
given.” (internal quotations and citations omitted)); Garland
v. Ming Dai, 593 U.S. 357, 369 (2021) (“[R]eviewing courts
remain bound by traditional administrative law principles,
including the rule that judges generally must assess the
lawfulness of an agency’s action in light of the explanations
the agency offered for it rather than any ex post rationales a
court can devise.”). Rather, our review is “limited to the
2
BLM described the approved project as a “minor variation” of
Alternative E. Modified Alternative E’s total oil production is 52.9
million fewer barrels (8.4%) than Conoco’s proposal (Alternative B).
Thus, although modified Alternative E does not fully develop the field,
it corresponds to approximately 94% of the total possible extraction
under Alternative E’s full field development projections.
82 CTR. FOR BIOLOGICAL DIVERSITY V. BUREAU OF LAND MGMT.
explanations offered by the agency in the administrative
record,” Arrington v. Daniels, 516 F.3d 1106, 1113 (9th Cir.
2008), however flawed they may be.
BLM’s failure to offer a reasonable explanation for the
full field development standard is reason enough to vacate
the agency’s decision and remand for further proceedings.
See 5 U.S.C. § 706(2)(A) (“The reviewing court shall . . .
hold unlawful and set aside agency action, findings, and
conclusions found to be . . . arbitrary, capricious, an abuse of
discretion, or otherwise not in accordance with law.”
(emphasis added)). We have consistently done so in NEPA
challenges, which are reviewed under the Administrative
Procedure Act. See, e.g., Mont. Wildlife Fed’n v. Haaland,
127 F.4th 1, 50‒52 (9th Cir. 2025) (affirming vacatur of
BLM decision that failed to provide a reasoned explanation
for a change in policy); Organized Vill. of Kake v. United
States Dep’t of Agric., 795 F.3d 956, 969‒70 (9th Cir. 2015)
(en banc) (vacating an agency policy because “[t]he absence
of a reasoned explanation for disregarding previous factual
findings violate[d] the APA”).3
Even if the agency’s few comments and responses in the
administrative record constitute adequate explanation of the
full field development standard, the agency’s decision must
nevertheless be vacated because this standard cannot be
reconciled with the procedural and substantive requirements
of several governing statutory schemes.
3
BLM’s apparent reliance on an erroneous interpretation of 43 C.F.R.
§ 3137.71(b)(1) to adopt full field development is also a basis to vacate
the agency’s decision. See Motor Vehicle Mfrs. Ass’n, 463 U.S. at 43
(explaining an action is arbitrary and capricious if “the agency has relied
on factors which Congress has not intended it to consider”).
CTR. FOR BIOLOGICAL DIVERSITY V. BUREAU OF LAND MGMT. 83
C.
Under NEPA and its implementing regulations, an
agency must “[r]igorously explore and objectively evaluate
all reasonable alternatives” to a proposed action. 40 C.F.R.
§ 1502.14(a) (2019). While, under the “rule of reason,” the
agency “need not consider an infinite range of alternatives,
only reasonable or feasible ones,” Westlands Water Dist. v.
U.S. Dep’t of Interior, 376 F.3d 853, 868 (9th Cir. 2004)
(quotations and citation omitted), it must consider
alternatives “varied enough to allow for a real, informed
choice,” Friends of Yosemite Valley v. Kempthorne, 520 F.3d
1024, 1039 (9th Cir. 2008).4
Because the full field development standard lacks any
basis in law, the Willow Project’s purpose and need, or
legitimate feasibility concerns, BLM’s use of this standard
to artificially constrain its examination of reasonable
alternatives was patently unreasonable. See Env’t Def. Ctr.
v. Bureau of Ocean Energy Mgmt., 36 F.4th 850, 876‒78 (9th
Cir. 2022) (holding that agency failed to consider a
reasonable range of alternatives in its environmental
assessment); W. Watersheds Project v. Abbey, 719 F.3d 1035,
1051‒54 (9th Cir. 2013) (holding that BLM’s environmental
assessment was deficient where the agency only
meaningfully analyzed alternatives that reflected the same
level of grazing); State of Cal. v. Block, 690 F.2d 753, 767
(9th Cir. 1982) (holding that an agency erred in failing to
4
As the majority highlights, the Supreme Court recently reiterated that
the “rule of reason” guides our review of the adequacy of an EIS’s range
of alternatives under NEPA. See Seven Cnty. Infrastructure Coal. v.
Eagle Cnty., No. 23-975, slip op. at 12 (U.S. May 29, 2025). In so doing,
the Court affirmed the long-standing role of courts to “confirm that the
agency has addressed environmental consequences and feasible
alternatives as to the relevant project.” Id. at 9 (citation omitted).
84 CTR. FOR BIOLOGICAL DIVERSITY V. BUREAU OF LAND MGMT.
consider an alternative because it “uncritically assume[d]
that a substantial portion of the [project] areas should be
developed and consider[ed] only those alternatives with that
end result”).
The record discloses that other viable development
alternatives were excluded from the outset of the agency’s
supplemental review because they did not meet the full field
development standard. For example, BLM excluded from
consideration one alternative that would have eliminated two
surface-disturbing drill sites and another alternative that
would have prevented infrastructure in the Teshekpuk Lake
Special Area (TLSA). These proposed alternatives would
have kept infrastructure out of the TLSA, precluded
infrastructure in important subsistence-use areas, reduced
greenhouse gas emissions, or otherwise would have further
reduced impacts to surface resources. The “existence of a
viable but unexamined alternative renders the environmental
review conducted under NEPA inadequate.” City of Los
Angeles, Cal. v. Fed. Aviation Admin., 63 F.4th 835, 844 (9th
Cir. 2023) (quotations and citation omitted). And BLM’s
exclusion of viable partial development alternatives without
any reasonable justification is no exception.
Full field development also runs counter to the agency’s
mitigation obligations under the Reserves Act. While “[t]he
government cannot . . . consistent with current statutory
imperatives, forbid all oil and gas development,” N. Alaska
Env’t. Ctr. v. Kempthorne, 457 F.3d 969, 976 (9th Cir. 2006),
BLM retains the discretion, and indeed, is required to
conduct its oil and gas leasing program with mitigation
measures in mind. See Kunaknana v. Clark, 742 F.2d 1145,
1149 (9th Cir. 1984) (“[T]he Secretary was given the
discretion to provide rules and regulations under which
leasing would be conducted and was to develop restrictions
CTR. FOR BIOLOGICAL DIVERSITY V. BUREAU OF LAND MGMT. 85
necessary to mitigate adverse impact on the NPR-A.”
(citation omitted)).
The Reserves Act requires the agency to “include or
provide for such conditions, restrictions, and prohibitions as
the Secretary deems necessary or appropriate to mitigate
reasonably foreseeable and significantly adverse effects on
the surface resources” of the Reserve. 42 U.S.C. § 6506a(b);
see also 43 C.F.R. §§ 3131.3; 3135.2(a). Beyond surface
resource protection, the Act also designates certain “special
areas,” including the TLSA, for which “[a]ny exploration . .
. shall be conducted in a manner which will assure the
maximum protection of such surface values to the extent
consistent with the requirements of this Act for the
exploration of the reserve.” 42 U.S.C. § 6504(a) (emphasis
added). No reasonable interpretation of these mandates
would permit an agency to categorically exclude any
alternative that leaves behind “economically viable”
quantities of oil. This limitation flouts Congress’ explicit
directive to “maximize protection” of special areas and
wholly disregards the Act’s mitigation goals.
The majority missteps in concluding that BLM complied
with the Reserves Act because the “SEIS and ROD contain
specific elements designed to mitigate surface impacts,
including in the TLSA.” Maj. at 36. This reasoning glosses
over the fact that BLM adopted these mitigation measures
after artificially limiting its analysis to a set of narrow full
development alternatives. The “maximum protection”
directive of § 6504(a) clearly signaled Congress’s intent that
agencies exercise the full extent of their authority, consistent
with their other obligations, to safeguard sensitive areas such
as the TLSA. Because the record is undisputed that excluded
alternatives would have provided greater protection for the
TLSA and other surface resources, it cannot be the case that
86 CTR. FOR BIOLOGICAL DIVERSITY V. BUREAU OF LAND MGMT.
BLM “assure[d] the maximum protection of such surface
values” in special areas, 42 U.S.C. § 6504(a), or reasonably
calculated what measures would be “necessary or
appropriate” to “mitigate reasonably foreseeable and
significantly adverse effects on the surface resources,” id. at
§ 6506a(b). The majority fails to give effect or meaning to
the Reserve Act’s “maximum protection” and mitigation
directives. Nothing in the statutory text permits an agency
to impose an arbitrary constraint on its authority to fulfill
either of these objectives.
The full field development standard is also contrary to
BLM’s obligations under ANILCA. It bears repeating that
the Willow Project is the largest domestic oil drilling project
on federal public lands. These same lands, however, have
supported subsistence activities in Alaska’s North Slope for
thousands of years, which in turn have ensured the survival
of rural residents and their cultures. Despite the
unprecedented scale of Willow, this inherent tension
between the development of Alaska’s vast natural resources
and local reliance on those resources for survival is not
unique to this case. Rather, Congress passed ANILCA
against the backdrop of these competing interests, declaring
as a matter of policy that Alaska’s public lands must be
utilized in a way that would “cause the least adverse impact
possible on rural residents who depend upon subsistence
uses of the resources of such lands.” 16 U.S.C. § 3112(1).
To effectuate this intent, Congress expressly gave
“priority” to non-wasteful subsistence uses of resources over
the “taking on such lands of fish and wildlife for other
purposes.” Id. at § 3114. Accordingly, subsistence practices
“may not be restricted unless necessary to protect the
continued viability of fish and wildlife populations.” United
States v. Alexander, 938 F.2d 942, 945 (9th Cir. 1991)
CTR. FOR BIOLOGICAL DIVERSITY V. BUREAU OF LAND MGMT. 87
(citation omitted). In addition, § 810 of ANILCA provides
that in land use and subsistence decisions, BLM “shall
evaluate . . . other alternatives which would reduce or
eliminate” the action’s use of public lands needed for
subsistence purposes. 16 U.S.C. § 3120(a) (emphasis
added). No development proposal may be approved until the
agency has determined that significant restrictions on
subsistence uses are “necessary,” that “the proposed activity
will involve the minimal amount of public lands necessary”
to accomplish the proposal’s objectives, and that “reasonable
steps will be taken to minimize adverse impacts upon
subsistence uses.” Id. at § 3120(a)(3) (emphases added).
This process is “intended to minimize the impact of a
proposed project on resources which rural village residents
of Alaska use for subsistence.” City of Tenakee Springs v.
Clough, 915 F.2d 1308, 1310 (9th Cir. 1990).
BLM’s full field development standard clearly
contravenes these procedural and substantive obligations.
As a practical matter, the limitation effectively prevents the
agency from examining any alternative that would “reduce
or eliminate the use . . . of public lands needed for
subsistence purposes,” 16 U.S.C. § 3120(a), because such
alternatives would inevitably strand an economically viable
quantity of oil on public lands. The agency’s practice of
blindly eliminating any alternative that does not effectuate
full field development is also plainly antithetical to
Congress’ stated intent to ensure that land-use decisions
cause the “least adverse impact possible” on subsistence
activities. Id. at § 3112(1).
My colleagues conclude that the agency satisfied
ANILCA’s requirements, reasoning that while the agency
must consider alternatives at “step one” of the § 810
analysis, “[t]he availability of alternatives is but one data
88 CTR. FOR BIOLOGICAL DIVERSITY V. BUREAU OF LAND MGMT.
point that the agency must consider.” Maj. at 43. “[N]othing
in the text of § 810 establishes that the existence of
alternatives that could have a lesser impact on public lands
needed for subsistence bars BLM from proceeding with a
proposed action,” the majority explains. Therefore, because
BLM’s final SEIS and ROD provided a § 810 analysis of
subsistence impacts among the full development action
alternatives it considered, the agency’s process satisfied
ANILCA. Maj. at 45.
The majority’s reasoning is untethered to the plain text
and stated purposes of ANILCA. Consideration of a
project’s impacts on subsistence uses of public lands is not
simply a “data point” or factor for the agency to consider and
then cast aside. Rather, ANILCA expressly prohibits federal
approval of any proposal that would “significantly restrict
subsistence uses” unless and until the agency determines that
such a restriction is “necessary” and the proposed activity
“involve[s] the minimal amount of public lands necessary to
accomplish the purposes [of that proposal].” 16 U.S.C.
§ 3120(a)(3). And while ANILCA may not require that the
agency adopt the most protective alternative when faced
with a range of options, see Amoco Prod. Co. v. Vill. of
Gambell, 480 U.S. 531, 544 (1987), the statutory text clearly
requires that the agency at least evaluate more protective
alternatives when doing so may “reduce or eliminate” the
use or disposition of public lands needed for subsistence
purposes. 16 U.S.C. § 3120(a).
The majority notably fails to grapple with the above
portions of ANILCA’s plain text and statements of
congressional intent. It is difficult to see, for example, how
BLM’s chosen alternative—modified Alternative E—was
“necessary” and involved a “minimal amount of public
lands” used for subsistence purposes when the agency
CTR. FOR BIOLOGICAL DIVERSITY V. BUREAU OF LAND MGMT. 89
refused to consider other alternatives that afforded greater
protection for subsistence uses from the outset. A finding of
necessity requires the agency to engage in a good faith
comparative analysis of real alternatives. In short, ANILCA
does not permit the agency to disregard every viable
alternative that would realistically reduce or eliminate
impacts to subsistence lands simply because these
alternatives do not fully develop the Willow Project.5 Nor
was BLM’s error at step one of the § 810 analysis saved by
its consideration of mitigation measures for only the most
extractive development alternatives the agency did review.
In the same way that the majority fails to give effect or
meaning to the Reserve Act’s “maximum protection” to
sensitive areas, the majority similarly fails to give effect to
Congress’s stated goal that land use decisions cause the
“least adverse impact possible” on subsistence, id. at
§ 3112(1), and the “necessity” requirements underlying its
procedural review of alternatives, id. at § 3120.
D.
The majority acknowledges that errors were committed
by the agency but concludes that vacatur is not warranted
because BLM’s errors were “procedural,” not “substantive”
in nature and therefore not “serious.” Maj. at 62.
Respectfully, I disagree. As the majority points out, this
court will remand without vacatur only “in limited
5
For this reason, Appellants’ ANILCA claim does not rise and fall with
their NEPA challenge. Unlike NEPA, ANILCA adds a substantive
condition to the type of alternatives the agency must consider when
approving projects that significantly restrict subsistence uses. See 16
U.S.C. § 3120(a). In contrast, NEPA affords comparatively greater
discretion to the agency to consider alternatives that the agency
determines are “reasonable.” See 40 C.F.R. § 1502.14(a) (2019); 42
U.S.C. § 4332(2)(C)(iii).
90 CTR. FOR BIOLOGICAL DIVERSITY V. BUREAU OF LAND MGMT.
circumstances.” Cal. Cmtys. Against Toxics v. EPA, 688 F.3d
989, 994 (9th Cir. 2012) (per curiam). Here, BLM’s full field
development standard is unexplained, grounded in an
erroneous interpretation of a regulation, and contrary to the
agency’s obligations under NEPA, the Reserves Act, and
ANILCA. The agency’s improper reliance on this standard
at the outset of its supplemental analysis infected each
determination that the agency subsequently made.
Given the extent of agency error, I see no reason to
deviate from the typical remedy our cases and the APA have
required under such circumstances. See 5 U.S.C. § 706
(“The reviewing court shall . . . hold unlawful and set aside
agency action, findings, and conclusions found to be . . .
arbitrary, capricious, an abuse of discretion, or otherwise not
in accordance with law.” (emphasis added)); Cal. Wilderness
Coal. v. U.S. Dept. of Energy, 631 F.3d 1072, 1095 (9th Cir.
2011) (“When a court determines that an agency’s action
failed to follow Congress’s clear mandate the appropriate
remedy is to vacate that action.”); see also 350 Mont. v.
Haaland, 50 F.4th 1254, 1259 (9th Cir. 2022) (“The
presumptive remedy for violations of NEPA and the
Administrative Procedure Act is vacatur.” (citing 5 U.S.C.
§ 706)).
II.
CBD argues that BLM, the Fish and Wildlife Service
(FWS), and the National Marine Fisheries Service (NMFS)
(collectively, the Services) violated Section 7 of the ESA by
failing to conduct formal consultation on the effects of the
Willow Project’s greenhouse gas emissions on the
designated habitats of polar bears and ice seals. Section 7
“requires federal agencies to ensure that none of their
activities, including the granting of licenses and permits, will
CTR. FOR BIOLOGICAL DIVERSITY V. BUREAU OF LAND MGMT. 91
jeopardize the continued existence of listed species or
adversely modify a species’ critical habitat.” Karuk Tribe of
Cal. v. U.S. Forest Serv., 681 F.3d 1006, 1020 (9th Cir. 2012)
(en banc) (citation omitted).
As the largest domestic drilling project on federal lands,
it is estimated that the Willow Project will produce 576
million barrels of oil over its thirty-year lifespan and cause
239 million metric tons of indirect greenhouse gas emissions
to be released into the atmosphere. FWS acknowledged that
“[b]ecause the polar bear depends on sea ice for its survival,
loss of sea ice due to climate change is its largest threat
worldwide,” and concluded that the project was “likely to
adversely affect” polar bears.
Despite the well-established scientific linkages between
carbon emissions and climate change, melting sea ice, and
threatened habitats for protected species, BLM and the
Services concluded that they did not need to engage in
formal consultation on the effects of greenhouse gas
emissions resulting from the Willow Project on polar bears
or ice seals. In making that determination, the agencies
relied on the ESA’s implementing regulations, which require
formal consultation only for those consequences that “would
not occur but for the proposed action and [are] reasonably
certain to occur.” 50 C.F.R. § 402.02. The agencies also
apparently relied on guidance from 2008 determining that “a
proposed action that will involve the emission of
[greenhouse gases] cannot pass the ‘may affect’ test, and is
not subject to consultation under the ESA and its
implementing regulations” because “the causal link simply
cannot currently be made between emissions from a
proposed action and specific effects on a listed species or its
critical habitat.” U.S. Dep’t of Interior, M-37017,
“Guidance on the Applicability of the Endangered Species
92 CTR. FOR BIOLOGICAL DIVERSITY V. BUREAU OF LAND MGMT.
Act’s Consultation Requirements to Proposed Actions
Involving the Emission of Greenhouse Gases” (October 3,
2008).
CBD does not challenge this regulatory scheme or
guidance, and therefore any inquiry into the validity of the
but-for causation standard is not before this court.6 Under
the but-for causation standard, I agree with the majority that
CBD has not established that BLM and the Services’
decision not to engage in formal consultation was arbitrary
and capricious. Maj. at 54–61. Nonetheless, I question
whether the but-for causation requirement aligns with the
text and purpose of the ESA.
Following the Supreme Court’s decision in Loper Bright
Enters. v. Raimundo, we need not defer to an agency’s
interpretation of a statute’s ambiguity. 603 U.S. 369, 412‒
13 (2024). Although we may “seek aid from the
interpretations of those responsible for implementing
particular statutes,” our role under the APA “is, as always, to
independently interpret the statute and effectuate the will of
Congress subject to constitutional limits.” Id. at 394‒95.
The Supreme Court has explained that “examination of
the language, history, and structure of the [ESA] indicates
beyond doubt that Congress intended endangered species to
be afforded the highest of priorities.” Tenn. Valley Auth. v.
Hill, 437 U.S. 153, 174 (1978). Consistent with Congress’s
intent, Section 7 requires that federal agencies, “in
consultation with and with the assistance of” FWS or NMFS,
“insure that any action authorized, funded, or carried out by
6
As noted above, I agree with the majority’s conclusion that CBD has
standing to assert this claim because its asserted injuries are fairly
traceable to the defendants’ challenged conduct. See Maj. at 46–54.
CTR. FOR BIOLOGICAL DIVERSITY V. BUREAU OF LAND MGMT. 93
such agency . . . is not likely to jeopardize the continued
existence of any endangered species or threatened species or
result in the destruction or adverse modification” of critical
habitat based on “the best scientific and commercial data
available.” 16 U.S.C. § 1536(a)(2). Accordingly, “[t]he
only question is whether the agency’s proposed action is
likely to have an adverse effect on listed species or critical
habitats.” Nat. Res. Def. Council v. Haaland, 102 F.4th
1045, 1054 (9th Cir. 2024). And we have held that the
“minimum threshold for an agency action to trigger
consultation . . . is low,” W. Watersheds Project v.
Kraayenbrink, 632 F.3d 472, 496 (9th Cir. 2011), and that
agencies must analyze even imprecise consequences of a
large development project, see Conner v. Burford, 848 F.2d
1441, 1453‒54 (9th Cir. 1988).
Notably, nowhere in the text of Section 7 did Congress
exempt consultation for actions that fail to meet a strict but-
for causation standard but will nonetheless contribute to
adverse impacts on listed species or their designated critical
habitats. On the contrary, the ESA requires reliance on the
“best scientific and commercial data available,” 16 U.S.C.
§ 1536(a)(2), which does not demand a perfect causal
connection. A broader understanding of the purpose and
requirements of Section 7 would reflect the “conscious
decision by Congress to give endangered species priority
over the ‘primary missions’ of federal agencies.” Tenn.
Valley Auth., 437 U.S. at 185; Karuk Tribe of Cal., 681 F.3d
at 1020. Strict adherence to a but-for causation requirement
runs counter to the high priority Congress has placed on the
protection of endangered species and its intent to prevent
species’ “slow slide into oblivion.” Nat’l Wildlife Fed’n v.
Nat’l Marine Fisheries Serv., 524 F.3d 917, 930 (9th Cir.
2008).
94 CTR. FOR BIOLOGICAL DIVERSITY V. BUREAU OF LAND MGMT.
Though climate science has certainly progressed since
2008,7 there is no telling whether scientific development in
our time, or in generations to come, will allow for direct
attribution between a project’s particular greenhouse gas
emissions and its climate consequences. See, e.g., Michael
Burger, et al., The Law and Science of Climate Change
Attribution, 45 Colum. J. Env’t L. 57, 201 (2020) (“[T]he
problem for proving climate harms here is clear: emissions
of any one actor, or even any small set of actors, will be
difficult to pin down as a ‘but-for’ cause of impacts arising
from anthropogenic climate change.”); Douglas A. Kysar,
What Can Climate Change Do About Tort Law, 41 Env’t. L.
1, 30‒34 (2011) (noting “conceptual and empirical
difficulties” with but-for causation requirements in the
context of tort litigation arising from climate change harms);
Richard J. Lazarus, Super Wicked Problems and Climate
Change: Restraining the Present to Liberate the Future, 94
Cornell L. Rev. 1153, 1159‒79 (2009) (highlighting the
barriers to legislative reform posed by the temporal and
spatial distance between the causes and effects of climate
change). Nonetheless, this dilemma should not allow an
agency to cast aside their formal consultation obligations
when presented with evidence that their actions will, albeit
indirectly, adversely impact listed species. 8 Such a result
defies both logic and law.
7
The agencies’ continued reliance on dated 2008 guidance is also
questionable, given the ESA’s directive that agencies use the “best
scientific and commercial data available” in making consultation
determinations under the statute. 16 U.S.C. § 1536(a)(2).
8
In his concurrence, Judge Nelson suggests that agencies have no duty
to engage in formal consultation for climate impacts because they are
CTR. FOR BIOLOGICAL DIVERSITY V. BUREAU OF LAND MGMT. 95
Indeed, this case does not sound in vague claims of harm
arising from distant climate-forcing actions. The cause and
relevant effects of the Willow Project are discreetly located
in the North Slope, a region that remains uniquely vulnerable
to the impacts of the climate crisis. FWS acknowledged that
the loss of sea ice from climate change is the greatest threat
to polar bears and certain ice seals. BLM determined that
the Willow Project will release significant greenhouse gas
emissions, that those emissions will cause ice loss, and that
sea ice loss impacts protected animals. Yet, by demanding
scientific precision to meet a strict legal requirement that
finds no basis in the text or purpose of the ESA, the current
regulatory framework governing formal consultation has
fully exempted the climate impacts of the largest domestic
oil drilling project on federal public lands from Section 7’s
procedural mandate. This case is perhaps the best evidence
that a change in the regulatory scheme is past due. But that
task belongs to the Services, Congress, or another court.
“powerless to stop a consequence to a protected species or habitat that
will occur despite the proposed action.” Concurrence at 67. That is
simply not true. Even if one cannot establish a but-for causal link
between a proposed action and its climate consequences on specific
species and their designated habitats, agencies are not “powerless” to
mitigate the harms from climate-forcing actions. Formal consultation
can inform an agency’s mitigation strategies, which in turn helps prevent
the very problem of species extinction that the ESA was designed to
address. As the Supreme Court explained in Massachusetts v. EPA,
“[a]gencies, like legislatures, do not generally resolve massive problems
in one fell regulatory swoop. . . . They instead whittle away at them over
time, refining their preferred approach as circumstances change and as
they develop a more nuanced understanding of how best to proceed.”
549 U.S. 497, 524 (2007).
96 CTR. FOR BIOLOGICAL DIVERSITY V. BUREAU OF LAND MGMT.
GLOSSARY OF ACRONYMS
APA Administrative Procedure Act
ANILCA Alaska National Interest Lands Conservation
Act
BiOp Biological Opinion
BLM Bureau of Land Management
BTU Bear Tooth Unit
CBD Center for Biological Diversity
EIS Environmental Impact Statement
FWS U.S. Fish and Wildlife Service
NMFS National Marine Fisheries Service
NPR-A National Petroleum Reserve-Alaska
NEPA National Environmental Policy Act
ROD Record of Decision
SEIS Supplemental Environmental Impact
Statement
SILA Sovereign Iñupiat for a Living Arctic
TLSA Teshekpuk Lake Special Area
Plain English Summary
FOR PUBLICATION UNITED STATES COURT OF APPEALS FOR THE NINTH CIRCUIT CENTER FOR BIOLOGICAL No.
Key Points
01FOR PUBLICATION UNITED STATES COURT OF APPEALS FOR THE NINTH CIRCUIT CENTER FOR BIOLOGICAL No.
0223-3624 DIVERSITY; FRIENDS OF THE EARTH; GREENPEACE, INC.; D.C.
03NATURAL RESOURCES 3:23-cv-00061- DEFENSE COUNCIL;DEFENDERS SLG OF WILDLIFE, OPINION Plaintiffs - Appellants, v.
04UNITED STATES BUREAU OF LAND MANAGEMENT; UNITED STATES FISH & WILDLIFE SERVICE; NATIONAL MARINE FISHERIES SERVICE; UNITED STATES DEPARTMENT OF THE INTERIOR; UNITED STATES DEPARTMENT OF COMMERCE; DOUG BURGUM, in his official capacity as Secr
Frequently Asked Questions
FOR PUBLICATION UNITED STATES COURT OF APPEALS FOR THE NINTH CIRCUIT CENTER FOR BIOLOGICAL No.
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This case was decided on June 13, 2025.
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