Full opinion text
ORDER FROM CHAMBERS [Re: Motions and Cross-Motions for Summary Judgment; Dockets 22, 23, and 31] SEDWICK, District Judge. I. PRELIMINARY NATURE OF ORDER At docket 22, defendant-intervenors The Wilderness Society, et al. (“Wilderness Society”) move for summary judgment. At docket 23, plaintiffs Alaska State Snowmobile Association, Inc., et al. (“ASSA”) move for summary judgment. At docket 31, defendants Bruce Babbitt, et al. (“Babbitt”) move for summary judgment. The motions are opposed. Oral argument is scheduled for November 12, 1999. The purpose of this preliminary order is to express the court’s tentative views regarding how the motions should probably be resolved in the expectation that this will assist the parties prepare for and conduct oral argument. This preliminary order does not represent the court’s final order. The court may or may not adopt this preliminary order as its final order depending upon oral argument. II. BACKGROUND A. The Litigation Effective on or about February 4, 1999, the United States National Park Service (“Park Service”) closed a portion of the Denali National Park and Preserve (“Denali National Park”) to the operation of snowmachines for traditional activities for a period of twelve months while leaving two corridors in the park open for such uses (“Decision”). ASSA filed suit alleging that the Decision unlawfully restricted snowmachine use in Denali National Park.. ASSA asks the court to declare that the Decision violates applicable provisions of the Alaska National Interest Lands Conservation Act, 16 U.S.C. §§ 3101 et seq. (“ANILCA”), the National Environmental Policy Act, 42 U.S.C. §§ 4321 et seq. (“NEPA”), and the Administrative Procedure Act, 5 U.S.C. §§ 500 et seq. (“APA”) Plaintiffs also seek an injunction prohibiting Babbitt from closing the park to snowmachine operations for traditional activities in violation of ANILCA, NEPA, APA and Park Service regulations. Wilderness Society intervened as a defendant to oppose ASSA and to assert cross-claims against Babbitt alleging that the Decision unlawfully opened a portion of the park to snowmachine use in violation of various provisions of federal law, including provisions of ANILCA, NEPA, APA and the Wilderness Act, 16 U.S.C. §§ 1131 etseq. (“WA”). B. History of Snowmachine Regulation in the Park A brief review of certain legislative enactments and the Park Service’s management of the park is necessary to place this tri-partite dispute in context. Mount McKinley National Park was established by Congress in 1917. It was to be used for public recreation and preservation purposes. In 1980, ANILCA added approximately 3.75 million acres and designated the original park with its new addition Denali National Park and Preserve. The original park is often referred to as the “Old Park” or the “core” of the park. ANILCA also classified the newly enlarged park as a “conservation system unit” (“CSU”). ANILCA specifically addresses the use of snowmachines within CSUs: Notwithstanding any other provision of this Act or other law, the Secretary shall permit, on conservation system units, national recreation areas, and national conservation areas, and those public lands designated as wilderness study, the use of snowmachines (during periods of adequate snow cover, or frozen river conditions in the case of wild and scenic rivers), motorboats, airplanes, and nonmotorized surface transportation methods for traditional activities (where such activities are permitted by this Act or other law) and for travel to and from villages and homesites. Such use shall be subject to reasonable regulations by the Secretary to protect the natural and other values of the conservation system units, national recreation areas, and national conservation areas, and shall not be prohibited unless, after notice and hearing in the vicinity of the affected unit or area, the Secretary finds that such use would be detrimental to the resource values of the unit or area. Nothing in this section shall be construed as prohibiting the use of other methods of transportation for such travel and activities on conservation system lands where such use is permitted by this Act or other law. ANILCA thus established an “open until closed” policy regarding snowmachine use for traditional activities within Denali National Park. Acting pursuant to the statutory grant of authority, the Secretary promulgated a regulation addressing snowmachine use in Denali National Park in 1986. The regulation in question, codified at 43 C.F.R. § 36.11, became effective on October 6, 1986. It provides: The use of snowmachines (during periods of adequate snow cover and frozen river conditions) for traditional activities (where such activities are permitted by ANILCA or other law) and for travel to and from villages and homesites and other valid occupancies is permitted within such areas, except where such use is prohibited or otherwise restricted by the appropriate Federal agency in accordance with the procedures of paragraph (h) of this section. The regulation does not define “traditional activities.” It does provide for closure of lands to snowmachine use: (1) The appropriate Federal agency may close an area on a temporary or permanent basis to use of aircraft, snow-machines, motorboats or nonmotorized surface transportation only upon a finding by the agency that such use would be detrimental to the resource values of the area. (2) Temporary closures, (i) Temporary closures shall not be effective prior to notice and hearing in the vicinity of the area(s) directly affected by such closures and other locations as appropriate, (ii) A temporary closure shall not exceed 12 months. Shortly after 43 C.F.R. Part 36 was promulgated, suit was filed in this court against the Secretary of the Interior challenging 43 C.F.R. Part 36. No specific challenge was made to 43 C.F.R. § 36.11(c) or to snowmachine use in Denali National Park. Magistrate Judge Roberts issued a report and recommendation upholding the regulations. District Judge Singleton adopted the report and recommendation with only slight modification. In April 1991, Judge Singleton remanded certain issues to the Department of the Interior for purposes of having the Department provide a more complete explanation of action taken by the Department in promulgating its regulations. The court retained jurisdiction for six months pending a status report from the Department. The case was finally dismissed and a final judgment entered in favor of the Department on March 16,1993. Notwithstanding ANILCA and the regulation adopted in 1986, the Park Service never officially sanctioned snowmachine use in the Old Park until the Decision declared that certain areas were open.. Appendix B to the Park Service’s Statement of Finding candidly admits that, “[the Park Service] has managed the [Old Park] as being closed to the use of snow-machines for the 10 years prior to enactment of [ANILCA] and for the 18 years since.” The statement is consistent with many earlier pronouncements by the Park Service. In 1979, a year before ANILCA’s enactment, the Park Service emphasized that “[s]nowmobiling is prohibited in Mt. McKinley National Park.” On June 28, 1988, the Park Superintendent issued an order governing Denali National Park which specified that “[t]he use of snow machines in the [Old Park], and parts of the park additions and preserves is not traditional, and is not allowed.” In November 1992, over six years after 43 C.F.R Part 36 was promulgated, the Park Superintendent issued an order defining “traditional activity” to be “an activity that was regularly practiced in the former Mt. McKinley National Park prior to the 1980 passage of ANILCA.” The Superintendent concluded that “[t]he use of snowma-chines does not fit this definition [regarding traditional activity in the Old Park], Therefore, they are not allowed.” However, the Superintendent decided that “[a]ll new areas included in the 1980 park additions are available to snow machine use during times of adequate snow cover.” In March 1993, the Park Service issued a news release which specified that snowmachines were “not permitted in the wilderness area that coincides with the old Mount McKinley National Park.” On April 18, 1996, the Park Service updated its compendium of rules governing Denali National Park. As updated, the rules provided: This applies to the new park and preserve areas added by the passage of ANILCA. Recreational snowmachine use has no historical basis for establishing a tradition of recreational use in the former Mt. McKinley National Park. Therefore, it remains a prohibited activity. No enforcement action other than education should be pursued dealing with snowmachines in the former Mt. McKinley National Park under this section. A draft special regulation has been written prohibiting this activity and forwarded to the Alaska Regional Office for review and refinement. C. The Challenged Decision Curiously, despite the fact that it had never officially sanctioned snowmachine use in Denali National Park, the Park Service announced on November 10, 1998 that it intended to temporarily close the Old Park to snowmachine use. It appears that the Park Service may have taken this action because of concerns that it was not correctly interpreting ANILCA. Specifically, the Park Service may have reached the conclusion that snowmachine use, on its own, did not have to be a traditional activity so long as it was used for access to engage in traditional activities. Alternatively, the Park Service may simply have concluded that it should effect any closure under ANILCA rather than by relying on historical management practices reflected in its compendium of park rules. At a public hearing held in Anchorage, Alaska on November 25, 1998, Steve Martin, Superintendent of Denali National Park, explained why the Park Service was proceeding with a temporary closure: QUESTION (By Mr. Limeres): Well, yeah, I’m just real' — still not clear on what prompted this whole thing. Was it because you had pressure from certain groups to reexamine the whole thing or what? ANSWER (By Mr. Martin): Okay, the question is, and that’s a good point and I think one of our handouts addresses that, too, but is: Why now? And again, the reason that we’re going through this process now is we because we have agreed that the proper way to continue the closure of the old Park to snow-machining is to not use the Superintendent’s Compendium, but to utilize the regulations that were set up after AN-ILCA was put in place. Again, that’s the 86 C.F.R. § 1330 and 43 C.F.R. that specifically talk about closures of the ANILCA related areas. To utilize that process to do the closure as opposed to the Superintendent’s Compendium or other general authorities. And following — and again, so that’s the purpose of it. So it’s a regulatory issue of how to continue the longstanding closure. Whatever the reason for deciding to temporarily prohibit the use of snowmachines in an area that the Park Service already considered closed to snowmachine use, the Park Service did discuss the historic prohibition on snowmachines in the Old Park in its notice announcing the temporary closure,: The legal use of mechanized equipment for winter recreation by the general public never occurred in the core 2 million acres of Denali National Park and Preserve from 1917 to 1980. In fact, this portion of the park (former Mt. McKinley National Park) was specifically closed to public recreational snowma-chine use by a nationwide regulation in 1972. This closure was in direct response to the increasing use of snowma-chines and a growing concern from the public about their impacts to the resources and other values of park areas. Before making the Decision, the Park Service gave notice that public hearings would be held between November 22-25, 1999 to address the planned closure. The Park Service’s press release issued on November 10, 1998, announced that the Park Service was “establishing temporary regulations to maintain the closure of a portion of Denali National Park and Preserve to snowmachine use this winter.” The Park Service emphasized that the temporary closure was a “continued closure” and advised that “[t]he original Mount McKinley National Park, most of which was designated as wilderness by ANILCA, has never been open to snowma-chines.” The notice published in statewide newspapers also advised that snow-machines had always been prohibited in the Old Park, but that the “current rules are inadequate to legally maintain this 81-year tradition.” The notice explained that public hearings would be held to “inform the public of the nature and extent of the closures, gather information on concerns of effects on park resources, and collect information on any traditional snowmaehine activity (that occurred before 1980) in the areas of the closure.” The notice said the action was taken to maintain the status quo and effectively advised interested parties that a decision to close the area had already been made: “This closure will begin December 1, 1998 and will be in effect for one year.” ASSA protested the “proposed” closure, urging that under ANILCA, the Park Service could not close the Old Park to snow-machine use without a finding of resource detriment. The record before the court does not reveal whether the Park Service ever responded to ASSA’s letter, but the Park Service proceeded with its scheduled public hearings in Fairbanks, Mt. McKinley Village, the Talkeetna area, and Anchorage. At the public hearings, Martin described the temporary closure as “a continuation of a tradition of non motorized use within the old part of Denali National Park.” Stressing that the temporary closure was “just to maintain the status quo in the old park,” Martin candidly admitted the decision had already been made to effect a temporary closure, and that the decision would not be reversed no matter what the testimony at the public hearings: QUESTION (By Mr. Rawlins): Can I ask one more question? There’s four public hearings. Correct? ANSWER (By Mr. Martin): Yes. Q (Rawlins): No matter what is — what the testimony is at the four public hearings, no matter what’s — whoever speaks, it doesn’t matter who it is, there’s still going to be a closure? A (Martin): There will be some type of closure, yes. And I think what we’re listening to now is traditional uses of the areas, the effects on resources, the conflicts and basically how to hold the status quo. So, it is our plan to do a level of closure to preserve the status quo so that we can work together and plan how the area should be used by all the users. The Decision rests on a finding that snowmachine use in the Old Park would lead to resource detriment. However, the Park Service determined that two corridors within the Old Park would be open to snowmachine use: (1) Cantwell Creek and (2) the Easy Pass area between Bull River and the West Fork of the Chulitna River The Park Service stated that one of the reasons for the temporary closure was to provide additional time to develop more information concerning the effects of snowmachine use. III. STANDARD OF REVIEW Rule 56 of the Federal Rules of Civil Procedure provides that summary judgment should be granted if there is no genuine dispute as to material facts and if the moving party is entitled to judgment as a matter of law. The moving party has the burden of showing that there is no genuine dispute as to material fact. The moving party need not present evidence; it need only point out the lack of any genuine dispute as to material fact. Once the moving party has met this burden, the non-moving party must set forth evidence of specific facts showing the existence of a genuine issue for trial. All evidence presented by the non-movant must be believed for purposes of summary judgment and all justifiable inferences must be drawn in favor of the non-mov-ant. However, the non-moving party may not rest upon mere allegations or denials, but must show that there is sufficient evidence supporting the claimed factual dispute to require a fact-finder to resolve the parties’ differing versions of the truth at trial. IV. DISCUSSION A. Article III Standing Under Article III of the United States Constitution, this court’s judicial power is limited to hearing actual cases or controversies. Babbitt argues that all plaintiffs and defendant-intervenors lack Article III standing. Article III standing requires actual or threatened injury, traceable to the allegedly unlawful conduct, which may be redressed by the requested relief. In particular terms, Article III standing requires: (1) that the plaintiff have suffered an “injury in fact”[-] an invasion of a judicially cognizable interest which is (a) concrete and particularized and (b) actual or imminent, not conjectural or hypothetical; (2) that there be a causal connection between the injury and the conduct complained of — the injury must be fairly traceable to the challenged action of the defendant, and not the result of the independent action of some third party not before the court; and (3) that it be likely, as opposed to merely speculative, that the injury will be redressed by a favorable decision. In addition to these constitutional prerequisites, certain prudential concerns affect standing. With the exception of representational or associational standing, a litigant may not assert legal rights belonging to another person. Furthermore, the claim must fall within the “zone of interests” covered by the law invoked. 1. Plaintiffs’ Standing Plaintiffs have filed affidavits adequately establishing that they have used and, but for the Decision, would have continued using snowmachines in areas of the Old Park closed by the Decision. Plaintiffs’ affidavits show an injury to a judicially cognizable interest which is concrete and partieularlized, actual or imminent, not conjectural or hypothetical, which is caused by the Decision, and which would be directly redressed by the relief sought. Indeed, Babbitt’s reply concedes that in light of the submitted affidavits, the plaintiffs “appear to satisfy the requirements of standing.” Plaintiffs do not indulge in an improper assertion of the rights of others, and their claims clearly fall within a zone of interest addressed in ANILCA, APA and somewhat less clearly within NEPA’s zone of interest. Nevertheless, Babbitt contends plaintiffs’ claims should be dismissed because they did not submit affidavits with their complaint or their motion for summary judgment. Babbitt cites no authority for his argument. Of course, plaintiffs must allege and establish standing, but there is no specific requirement that plaintiffs file detailed affidavits in advance of an opponent’s motion for summary judgment. As Justice Scalia noted in one recent case, after an opponent has moved for summary judgment, a plaintiff “can no longer rest on ... ‘mere allegations,’ [to establish standing] but must ‘set forth’ by affidavit or other evidence ‘specific facts,’ Fed.Rule Civ.Proc. 56(e), which for purposes of the summary judgment motion will be taken to be true.” Here, Babbitt moved for summary judgment on grounds including the proposition that plaintiffs lack standing. Plaintiffs submitted particularized affidavits in response. While it would have been preferable for plaintiffs to have submitted the affidavits with their motion, the practice followed is adequate, and certainly not a basis for dismissing plaintiffs’ claims. Plaintiffs have standing. 2. Defendant-intervenors’ Standing (a) Representational or Associational Capacity Standing Unlike the group of plaintiffs, the group of defendant-intervenors does not include any individuals. However, defendant-intervenors may have standing in a representational or associational capacity if their respective members would have standing, they seek to protect interests germane to their organizational purposes, and individual members' participation as named litigants is not required to properly resolve the litigation. Defendant-inter-venors have submitted declarations from members. Several of them address injuries allegedly suffered by the organizations themselves. Standing based on organizational capacity is analyzed in the next section. Others of the declarations which attempt to set out injuries suffered by individual members of some of the defendant-intervenors are considered in this section addressing the organizations’ representational standing. Babbit argue that the declarations submitted to establish injury to individual members are too generalized and speculative to satisfy the injury requirement of standing. A review of the relevant declarations is in order. James Adams, president of the Alaska Quiet Rights Coalition, submits a declaration that advises “[mjembers of Alaska Quiet Rights Coalition have used and plan to return to the areas impacted by the Park Service’s Statement of Findings.” The declaration is bereft of specifics regarding the nature, extent, time and place of the use. Debra Moore, campaign coordinator for the Northern Alaska Environmental Center, submits an identical declaration in which she advises that “[mjembers of Northern Alaska Environmental Center have used and plan to return to the areas impacted by the Park Service’s Statement of Findings.” Like Adams, Moore offers no other information. No identities are disclosed. No time of travel is mentioned. No specific facts are offered. Compare the affidavit of plaintiff Linnea Crosby who avers that she has been riding snow machines in areas of the Old Park which she specifically identifies and which are in the area affected by the Decision for specifically identified purposes for a period of ten years and would have continued to do so, but for the Decision. Adams’ and Moore’s declarations are not sufficient to establish injury in fact. Joan Pascale, a member of the National Parks and Conservation Association, submits two declarations in which she declares that she has mushed dog sleds through the area impacted by the Decision. Although Pascale does not specifically state that she intends to revisit the two areas where the Park Service has permitted snowmachine use, a fair reading of her April 6, 1999, declaration reveals that when she made the declaration she had plans to return to those areas: “The introduction of snowmachines to the Old Park, including Cantwell Creek and in the valleys of and over Easy Pass between Bull River and the West Fork of the Chu-litna River, will injure my aesthetic, recreational, and wildlife viewing interests while I spend time in the Old Park.” Thus, her April 6, 1999 declaration appears adequate to establish her standing to challenge the Decision, but her subsequent declaration executed September 17,1999, explains that she does not intend to use the park this year during the pendency and effect of the Park Service’s temporary closure order. Taken together, Pascale’s declarations are insufficient to confer standing to challenge the temporary closure order, because it will expire ere she returns to the park. Scott Anaya, a Sierra Club member, submits a declaration in which he states that he “hopes” to ski in the Cant-well Creek area this winter. Anaya’s declaration is little different from the affidavits analyzed by the United States Supreme Court in Lujan v. Defenders of Wildlife. There, the Court held deficient two affidavits which did nothing more than establish that two individuals possessed an indefinite intent to visit a particular region overseas at some unspecified time in the future. This is essentially the same as Anaya’s expressed “hope” to visit the affected area this winter. Such an indefinite statement of intent is insufficient to establish injury in fact. Other declarations which discuss personal use of land in the park are those from Virginia (Ginny) Hill Wood, Larry Landry, Jon M. Nierenberg, and Karen L. Deatherage. All four of these declarations allege general use of land in Denali National Park. However, at face value none of these declarations alleges use or enjoyment of land in any of the specific areas opened to snow machine use by the Decision or even, so far as the record available to the court discloses, in the immediate vicinity of such lands. The fact that Wood, Landry, Nierenberg, and Deatherage have occupied, used, or enjoyed land somewhere in Denali National Park is not sufficient to establish injury in fact. In Lujan v. National Wildlife Federation, the United States Supreme Court held that affidavits from individuals which established that they used or enjoyed land for recreational and aesthetic purposes in the vicinity of land affected by agency action was not sufficient to confer standing. Geographic nexus may suffice to establish standing where, as here, procedural rights are at stake if concrete injury can be established. For example, “one living adjacent to the site for proposed construction of a federally licensed dam has standing to challenge the licensing agency’s failure to prepare an environmental impact statement.” However, beyond generally vague allusions, Wood, Landry, Nierenberg, and Deatherage have not specified a sufficient geographic nexus to establish a concrete injury to protected rights. The individual members lack standing. It follows that none of defendant-interve-nors have Article III standing to sue in a representational capacity. (b) Organizational Capacity Standing Defendant-intervenors have submitted numerous declarations addressing standing in each organization’s organizational capacity. The declarations are substantially similar, if not identical. They allege that the Park Service’s decision to permit snowmachines in Cantwell Creek and in the Easy Pass area between Bull River and the West Fork of the Chulitna River will irreparably injure the wilderness and wildlife in the area. The declarations allege in a conclusory fashion that the Park Service’s decision violates ANILCA, the Wilderness Act, the APA, and NEPA. The declarations allege that the Park Service’s decision has adversely affected each organization’s ability to protect wildlife and the wilderness. The preceding averments are conclusory, generalized statements which are insufficient to establish standing. There is an additional theory which requires more thorough analysis. The declarations contend that the Park Service’s failure to comply with NEPA injures each organization’s “informational and educational interests.” Each organization contends that it was prevented from educating “its members and the public regarding the true environmental effects of snow-machines in the Old Park” because the Park Service did not prepare an environmental assessment or prepare an environmental impact statement. This theory is relevant to Wilderness Society’s fourth and fifth cross-claims concerning alleged NEPA violations. Wilderness Society contends “informational standing” is authorized by a recent United States Supreme Court decision, Federal Election Commission v. Akins. At issue in Akins was a decision by the Federal Election Commission that a particular lobbying group was not a political action committee as defined under federal law. Because of this decision, information regarding members and campaign contributions made by the lobbying group was not disclosed. The United States Supreme Court held that this type of injury satisfied the injury in fact test for Article III standing. Justice Breyer explained: The “injury in fact” that respondents have suffered consists of their inability to obtain information — lists of AIPAC donors (who are, according to AIPAC, its members), and campaign-related contributions and expenditures- — -that, on respondents’ view of the law, the statute requires that AIPAC make public. There is no reason to doubt their claim that the information would help them (and others to whom they would communicate it) to evaluate candidates for public office, especially candidates who received assistance from AIPAC, and to evaluate the role that AIPAC’s financial assistance might play in a specific election. Respondents’ injury consequently seems concrete and particular. Indeed, this Court has previously held that a plaintiff suffers an “injury in fact” when the plaintiff fails to obtain information which must be publicly disclosed pursuant to statute. However, the “informational injury” theory raised in Akins is somewhat different from that relied upon here. As underscored by Justice Breyer’s opinion, Akins concerned existing information “which must be publicly disclosed pursuant to statute.” Here, in contrast, public disclosure of existing information is not involved. Furthermore, the information sought in Akins was the only available source by which the plaintiffs could fulfill their mission. Here, in contrast, nothing prevents the defendant-intervenors from educating the public concerning snowmachine use in the Old Park. Moreover, as Babbitt notes, Akins arose in the unique and special context of voters’ rights, and its holding was no doubt affected by the fact that the informational injury was “directly related to voting, the most basic of political rights....” No such unique or special context is implicated in this case. Wilderness Society cites no cases recognizing an “informational standing” theory in the context of a NEPA claim. In Northern Alaska Environmental Center v. United States Army Corps of Engineers, this court in an order by Judge Holland did not find it necessary to address a similar “informational standing” argument. The case most cited by courts and commentators addressing “informational standing” is Foundation of Economic Trends v. Lyng, where the Court of Appeals for the District of Columbia analyzed competing principles and expressed its disapproval of “informational standing” theories. The court observed: Despite the general statements in our decisions ... we have never sustained an organization’s standing in a NEPA case solely on the basis of “informational injury,” that is, damage to the organization’s interest in disseminating the environmental data an impact statement could be expected to contain. We recognize the logical appeal of doing so in terms of the three constitutional standing requirements: if the injury in fact is the lack of information about the environmental impact of agency action, it follows that the injury is caused by the agency’s failure to develop such information in an impact statement and can be redressed by ordering the agency to prepare one. Such a broad approach, however, raises “complex and difficult considerations.” It would potentially eliminate any standing requirement in NEPA cases, save when an organization was foolish enough to allege that it wanted the information for reasons having nothing to do with the environment. The proposition that an organization’s desire to supply environmental information to its members, and the consequent “injury” it suffers when the information is not forthcoming in an impact statement, establishes standing without more also encounters the obstacle of Sierra Club v. Morton. The Supreme Court there held ... that “a mere ‘interest in a problem,’ no matter how long-standing the interest and no matter how qualified the organization is in evaluating the problem,” is not sufficient to confer standing. It is not apparent why an organization’s desire for information about the same environmental problem should rest on a different footing. We also have trouble seeing how “informational standing” could be confined to organizations. If one of NEPA’s purposes is to provide information to the public, any member of the public — anywhere—would seem entitled to receive it. However, the court found it unnecessary to decide whether an organization could satisfy Article Ill’s “case or controversy” requirement by relying on an “informational standing” theory because the plaintiffs “fail[ed] to target their complaint to a particular proposal for federal action and fail[ed] to identify any [action] ... that would trigger the obligation to prepare an environmental impact statement under NEPA.” One district court in the Ninth Circuit recently addressed and rejected a similar “informational standing” theory in the context of a Clean Water Act claim. In Ecological Rights Foundation v. Pacific Lumber Co., the Ecological Rights Foundation filed suit against a lumber company for alleged violations of the Clean Water Act. The court denied plaintiffs standing on the basis of an “informational standing” theory, noting: Plaintiffs must establish that they have either associational or organizational standing to sue in order to invoke this court’s jurisdiction. Plaintiffs initially assert that they have organizational standing because [the lumber company’s] failure to comply with the monitoring and reporting requirements of the Act has impeded their programmatic interest in educating the public about environmental issues and seeking redress for environmental destruction through the courts. However, this court has found no case law which supports plaintiffs’ contention that injury to an organization’s informational interests alone resulting from a defendant’s failure to comply with monitoring and reporting requirements of the CWA satisfies Article III standing requirements. Although not directly on point, Pacific Lumber offers additional support for Babbitt’s position here. If Wilderness Society were correct, then advocacy organizations and societies would always enjoy “informational standing” anytime an alleged NEPA violation occurred. This seems unlikely in light of established precedent. In Sierra Club v. Morton, the United States Supreme Court held that “a mere ‘interest in a problem,’ no matter how long-standing the interest and no matter how qualified the organization is in evaluating the problem,” is not enough to confer standing. More recently, in Lujan v. Defenders of Wildlife, the United States Supreme Court rejected an argument that procedural injury on its own conferred standing. Instead, the Court stressed that concrete and particularized harm would have to be established. Analyzing Lyng, one court commented that “[t]he Supreme Court’s subsequent decision in Lujan v. DOW implicitly confirms that the Court of Appeals in Lyng correctly analyzed the question of standing based on informational harm alone” because “[t]he concept of standing based only on informational harm is inconsistent with this requirement [of establishing concrete and particularized harm].” The Defenders of Wildlife Court also observed that a “plaintiff raising only a generally available grievance — claiming only harm to his and every citizen’s interest in proper application of the Constitution and laws, and seeking relief that no more directly and tangibly benefits him than it does the public at large — does not state an Article III case or controversy.” Here again, “[t]his principle would be substantially undermined if informational harm alone were deemed sufficient to confer standing.” One case from the District of Columbia Circuit which preceded Lyng, National Wildlife Federation, and Defenders of Wildlife can be read to support an “informational injury” theory of standing. However, this case can no longer be relied upon as sound law in light of the District of Columbia Circuit’s subsequent decision in Lyng, and the United States Supreme Court’s more recent opinions discussed above. At least one commentator has recommended that courts consider and adopt “informational injury” theories of standing within the context of NEPA claims, but this court has found only one court which has done so. In Colorado Environmental Coalition v. Lujan, the District Court for the District of Colorado accepted without analysis an argument that “informational injury” for failure to prepare a supplemental environmental impact statement under NEPA sufficed to establish standing. The court cited Public Citizen v. United States Department of Justice, a United States Supreme Court case from 1989, as support for its conclusion. But Public Citizen did not involve failure to prepare an EIS under NEPA, and preceded National Wildlife Federation and Defenders of Wildlife. Nothing in Public Citizen is inconsistent with the requirement that one must establish a concrete injury. Finally, although the parties have not argued the issue, this court has considered whether the defendant-intervenors have “procedural standing” as discussed by Ninth Circuit precedent. Procedural and informational harm are related. In Douglas County v. Babbitt, and Churchill County v. Babbitt, the Ninth Circuit held that local governments had procedural standing to contest a department’s failure to prepare an EIS under NEPA. At issue in Douglas County was a decision by the Secretary of Interior to designate certain lands as a critical habitat without preparing an EA or EIS pursuant to NEPA. The Ninth Circuit concluded that a plaintiff could assert procedural standing if he or she had been “accorded a procedural right to protect [his or her] concrete interests” and if the plaintiff had “some threatened concrete interest ... that is the ultimate basis of [his or her] standing.” The court held that Douglas County’s proprietary interest in lands immediately adjacent to the critical habitat was sufficient to establish a “concrete interest” affected by failure to prepare an EIS. In Churchill County, local governments filed suit regarding a decision affecting water rights. The Department of Interior prepared a final EIS, but did not prepare a programmatic EIS. Local governments filed suit alleging that failure to prepare a PEIS before implementing the water rights acquisition plan in question violated NEPA. The district court concluded that the local governments lacked standing. The Ninth Circuit reversed. The court explained that when an agency disregarded a procedural right which impacted a concrete interest of the plaintiffs, the plaintiff could maintain standing. The plaintiff was required to establish that it had been accorded a procedural right to protect its concrete interests, and that it had a concrete interest which was threatened and constituted the basis of its standing. The court held NEPA conferred the necessary procedural right, and further determined that Churchill County had a sufficient concrete interest to support standing because the failure to prepare a PEIS affected its interest in land management. Douglas County and Churchill County instruct that, in some circumstances, an agency’s failure to prepare an EA or EIS pursuant to NEPA may confer standing on a “procedural right” theory where a concrete interest is affected. However, the Ninth Circuit has not held that “informational” interests of the type asserted here constitute a “concrete interest” sufficient to support standing, and in light of Defenders of Wildlife and the policy considerations discussed in Lyng, it seems unlikely that such a broad, unmanageable theory of standing would be accepted. On the present record, defendant-intervenors have not established specific facts sufficient to establish standing in their organizational capacity. B. Statutory Standing Assuming error in this court’s analysis of the Article III standing issues, it would be appropriate to address the question whether defendant-intervenors have the requisite statutory standing. Wilderness Society’s five cross-claims allege violations of NEPA, ANILCA, WA, and the APA, but Wilderness Society’s five cross-claims are all based on alleged violations of 5 U.S.C. § 706 of the APA; that is, Wilderness Society contends that— analyzed in light of NEPA’s, ANILCA’s, and WA’s respective provisions — the Park Service’s decision was arbitrary and capricious, represented an abuse of its discretion, and was otherwise not in accordance with the law. 5 U.S.C. § 706 provides: To the extent necessary to decision and when presented, the reviewing court shall decide all relevant questions of law, interpret constitutional and statutory provisions, and determine the meaning or applicability of the terms of an agency action. The reviewing court shall'— (1) compel agency action unlawfully withheld or unreasonably delayed; and (2) hold unlawful and set aside agency action, findings, and conclusions found to be— (A) arbitrary, capricious, an abuse of discretion, or otherwise not in accordance with the law; (B) contrary to constitutional right, power, privilege, or immunity; (C) in excess of statutory jurisdiction, authority, or limitations, or short of statutory right; (D) without observance of procedure required by law; (E) unsupported by substantial evidence in a case subject to sections 556 and 557 of this title or otherwise reviewed on the record of an agency hearing provided by statute; or (F) unwarranted by the facts to the extent that the facts are subject to trial de novo by the reviewing court. In making the foregoing determinations, the court shall review the whole record or those parts of it cited by a party, and due account shall be taken of the rule of prejudicial error. To establish statutory standing under the APA, Wilderness Society must establish that some identifiable “agency action” has occurred, and that the agency action has caused them to suffer a legal wrong or otherwise adversely affected them “within the meaning of a relevant statute.” Failure to act constitutes an identifiable agency action. When, as here, “review is sought under the general review provisions of the APA the agency action must be ‘final agency action.’ ” An agency’s characterization of its decision is not determinative. Rather, courts must pragmatically assess the agency’s decision in light of several circumstances. Relevant factors in determining whether an agency action is final include: (1) whether the agency’s decision is a definitive statement of the agency’s position; (2) whether the agency’s decision has a direct and immediate effect on the complaining party’s day-to-day affairs; (3) whether the decision has the status of law; (4) whether immediate compliance with the decision is expected; and (5) whether decision implicates legal questions susceptible to review. Wilderness Society’s cross-claims address the Park Service’s decision to leave the two corridors open to snowmachine use for traditional activities. However, the two corridors were already open to such use by operation of ANILCA’s enactment in 1980. Athough the Park Service’s previous enforcement policies have varied, the Park Service made no deliberate decision to open an area which was not previously open to snow machine use for traditional activities. The Park Service’s decision does not have a direct and immediate effect on defendant-intervenors’ day-to-day affairs. The Decision does nothing but maintain the status quo, but that is a status quo rendered murky by the absence of any definition of “traditional activities.” Wilderness Society has recognized what to the court appears to be a glaring omission in the Park Service’s analysis in the Third Cross-Claim. Athough the cross-claim speaks in terms of an action so vague as to be void, the cross-claim can also be read to complain about a failure to act. Thus, while it is hard to see that defendant-intervenors have standing to complain about the final agency action taken— the Decision itself, it appears to the court that they do have statutory standing to complain of agency action withheld. In summary, this court concludes that defendant-intervenors lack Aticle III standing, but if this is incorrect, they would have statutory standing under the APA because their third cross-claim implicates the Park Service’s failure to act. Before analyzing ASSA’s NEPA and ANILCA claims, this court must ascertain whether ASSA has statutory standing under the APA to pursue its claims. With respect to ASSA’s complaint, the Decision constitutes final agency action. A specific and identifiable decision was made to temporarily close the Old Park. The Decision was made pursuant to applicable regulations, .and has the status of law. The Park Service expects compliance. The Decision has a direct and immediate effect on ASSA’s day-to-day affairs because it prohibits snowmachining in most of the Old Park. The Decision at least arguably triggered an obligation to prepare an EIS. The Decision implicates legal questions susceptible to review such as whether the Decision violates NEPA or ANILCA. Under these circumstances, a “final agency action” susceptible to judicial review exists. C. Whether Defendant-intervenors’ Claims are Time Barred Athough this court has concluded that defendant-intervenors lack standing, analysis of their claims is useful in the event that defendant-intervenors are able to persuade this court that its preliminary analysis is incorrect or in the event that on appeal the Ninth Circuit reverses that aspect of this court’s order. Before analyzing Wilderness Society’s claims, it is necessary to assess two defenses relied upon by Babbitt, the statute of limitation and res judicata. The former is discussed in this section. Babbitt’s argument concerning res judicata is reviewed in the following section. Babbitt argues that defendant-in-tervenors’ claims are barred by the statute of limitation Babbitt notes that ANILCA was passed in 1980 and that the underlying regulation was promulgated in 1986. These permit snowmachine use for traditional activities in Denali National Park. There is a general six year statute of limitation which governs where, as here, there is no other limitation statute and judicial review is sought under the APA. Therefore, Babbitt contends if the defendant-intervenors had wanted to challenge snowmachine use in the Old Park area, they should have filed suit within six years of October 1986. There are two seemingly interrelated flaws with Babbitt’s argument. First, defendant-intervenors are not challenging the governing regulation. Second, despite the regulation, it appears from the record that prior to the Decision, the Park Service never specifically approved any form of snowmachine use in the Old Park. Babbitt’s limitation argument is without merit. D. Whether Defendant-intervenors’ Claims are Barred by Res Judicata Babbitt also contends that the defendant-intervenors’ claims are barred by res judicata because they could have been brought in the earlier 1987 suit challenging 43 C.F.R. Chapter 36. Res judica-ta only applies where (1) the same parties or those in privity with them are litigants in a subsequent proceeding, (2) there was a final judgment on the merits in the earlier proceeding, and (3) there is identity of claims between both suits. If res judica-ta applies it bars litigation “of any claims that were raised or could have been raised in the prior action.” Babbitt’s argument fails for several reasons. First, although some of the defendant-intervenors were parties in the preceding action, not all of them were. Second, and perhaps more significantly, there is no identity of claims. Defendant-intervenors are challenging a decision announced in February 1999. Third, although there was a final judgment in the earlier suit, Babbitt has not met his burden to establish that the final judgment in the 1987 suit was a final judgment on the merits. Any one of these reasons is sufficient to preclude operation of res judicata. Collectively, they establish that Babbitt’s res judicata argument is without merit. E. Whether the Park Service’s Decision violates NEPA NEPA requires federal agencies to prepare an environmental impact statement (“EIS”) for “major Federal actions significantly affecting the quality of the human environment.” Congress created the Council on Environmental Quality (“CEQ”) to implement NEPA. CEQ has promulgated regulations governing NEPA. The regulations provide that in “determining whether to prepare” an EIS an agency must first determine whether the proposed action normally requires an EIS or is subject to a categorical exclusion. If the proposed action does not normally require an EIS or is not subject to a categorical exclusion, the agency must prepare an environmental assessment (“EA”). The EA results in either a finding of significant impact, in which case an EIS is required, or a finding of no significant impact (“FONSI”), which obviates any need for an EIS. However, if the proposed action is covered by a categorical exclusion to which no exception applies, then no EA need be prepared. Categorical exclusions are those activities or decisions “which do not individually or cumulatively have a significant effect on the human environment.” Each agency identifies categorical exclusions germane to its activities. In identifying categorical exclusions, agencies are required to provide for exceptions to such categorical exclusions for any circumstance which “may have significant environmental effect.” Acting pursuant to the governing regulations, the Department of the Interior developed categorical exclusions. The Department also developed a list of exceptions to categorical exclusions. One of the categorical exclusions pertains to modifications, revisions, or new regulations which do not increase use or create non-compatible uses within areas administered by the Park Service: (10) Modifications or revisions to existing regulations, or the promulgation of new regulations for NPS-administered areas, provided the modifications, revisions or new regulations do not: (a) Increase public use to the extent of compromising the nature and character of the area or causing physical damage to it; (b) Introduce noncompatible uses which might compromise the nature and character of the area or cause physical damage to it; (c) Conflict with adjacent ownerships or land uses; or (d) Cause a nuisance to adjacent owners or occupants. The Park Service determined that the preceding categorical exclusion applied to its “proposed” closure. The Park Service found that “[t]he closure would not (a) result in increased public use or cause physical damage to the area, (b) introduce noncompatible uses, (c) conflict with adjacent ownerships or land uses, or (d) cause a nuisance to adjacent owners or occupants.” The Park Service summarily determined that no exception to the categorical exclusion applied: “This action does not qualify as an exception under the departmental NEPA guidelines [therefore, additional NEPA assessment and documentation are not needed.” Although the Park Service did not explain or elaborate on how it reached these conclusions, once reached the conclusions were used to establish that neither an EA nor an EIS was required to support the Decision. The Ninth Circuit recently explained that “[a]n agency’s determination that a particular action falls within one of its categorical exclusions is reviewed under the arbitrary and capricious standard.” Under this standard, an agency’s decision is only reversed if the agency committed a “clear error of judgment.” The court examines whether the agency “considered the relevant factors and articulated a rational connection between the facts found and the choice made.” An agency’s decision may be reversed under the abuse of discretion standard if the agency “relied on factors which Congress has not intended it to consider, entirely failed to consider an important aspect of the problem, offered an explanation of the problem 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 be the product of agency expertise.” In the specific context of applying categorical exclusions, “an agency’s interpretation of the meaning of its own categorical exclusion should be given controlling weight unless plainly erroneous or inconsistent with the terms used in the regulation.” 1. Whether the Categorical Exclusion Finding is Valid ASSA argues that the Park Service’s findings were too conclusory. This court agrees. The Park Service’s findings do nothing but restate the categorical exclusion. In Alaska Center for the Environment v. United States Forest Service, Judge Singleton concluded that the United States Forest Service failed to rationally explain its reliance on a categorical exclusion when it issued two special use permits for helicopters operating in the Chugach National Forest. The Forest Service’s decision simply stated that “[t]his activity falls within a category of actions ... which do normally do not ... have a significant effect on the quality of the human environment and, therefore, may be categorically excluded from documentation in an EIS or EA.” Judge Singleton held that such a finding was insufficient and observed, “[w]hile the Forest Service may have the discretion to determine that the temporary permitted helicopter activity is not significant, it must still articulate its reasoning.” Citing and discussing precedent from the Ninth Circuit, Judge Singleton noted: “An agency cannot ... avoid its statutory responsibilities under NEPA merely by asserting that an activity it wishes to pursue will have an insignificant effect on the environment.... Instead, an agency must provide a reasoned explanation of its decision.” Here, as in Alaska Center for the Environment, the Park Service “merely restated the categorical exclusion language ... without any explanation or analysis as to why it considered the activity insignificant or how the several attached permit conditions would prevent application of an exception to a categorical exclusion.” No further discussion or analysis was made. This is insufficient. Furthermore, the Park Service’s Statement of Finding reveals that the Park Service did not analyze snowmachine use in Denali National Park before determining that a categorical exclusion applied. During the public hearings in November 1998, Superintendent Martin conceded that snowmachine use in the Old Park region had not even been studied. Martin advised a Fairbanks audience that “snowmachining at large or not on trail systems is not something that has been studied and especially in areas where that use has not occurred.” Martin told an audience at Mount McKinley Village that the temporary closure’s primary purpose was to “hold the status quo or to allow us time to evaluate snowmachining throughout the whole park and the whole region, and to get it back in the context of what ANILCA provided for as, you know, what and how should we be snowmachin-ing in this area, what are traditional activities, and what are the resource values that we’re here to conserve.” Under these circumstances, the Park Service abused its discretion in not explaining its reliance on the categorical exclusion it applied. 2. Whether the Finding of “No Exception” is Valid However, even if one rejected the preceding analysis and concluded that the Park Service properly relied upon the categorical exclusion it invoked in this case, ASSA argues that at least three exceptions to the categorical exclusion applied. These are: The following exceptions apply to individual actions within categorical exclusions (CX). Environmental documents must be prepared for actions which may: 2.3 Have highly controversial environmental effects. 2.4 Have highly uncertain and potentially significant environmental effects or involve unique or unknown environmental risks. 2.5 Establish a precedent for future action or represent a decision in principle about future actions with potentially significant environmental effects. Although this court has concluded that the defendant-intervenors lack standing, the defendant-intervenors have raised similar objections to the fact that the Park Service made no effort to determine whether any exceptions applied. Because of this court’s ruling regarding defendant-interve-nors’ standing, this court will analyze the relevant principles in light of ASSA’s arguments. However, to a significant degree, defendant-intervenors are able to piggyback on ASSA’s claims because their objections and concerns echo ASSA’s arguments even if the parties otherwise seek different outcomes. ASSA contends that the Park Service should not have relied upon a categorical exclusion “because of the controversial, uncertain, and precedent-setting nature of its closure decision.” This court agrees that the Park Service should, at a minimum, explain its decision that no exceptions applied. The existence of opposition does not make a proposed action controversial. Instead, a federal action is controversial if “a substantial dispute exists as to [its] size, nature, or effect.” There is no substantial dispute in this case about the temporary closure’s size or its essential nature. However, there is substantial dispute concerning the temporary closure’s effect. In remarks before an Anchorage audience, Superintendent Martin conceded that the proposed action was' controversial. Martin noted, “[w]e realize that this is a controversial topic and also that it’s pretty complex and it involves a lot of interpretations and a lot of history and those kinds of things.” Later during the same public hearing, Martin stated: For any type of major change in administration, and this would be true if it were snowmachining or hiking, we’re required if it has a potential to affect Park resources or is significantly controversial, which this issue certainly is, that you go through a National Environmental Policy Act Compliance, a lot of people know it as NEPA compliance or the Environmental Impact Statement. Martin advised a Mount McKinley Village audience: We do recognize that [the temporary closure is] somewhat controversial. There is a lot of information out there. Some of it is accurate; some of it is not. We know there’s a lot of feelings on the issue and we think it’s a real important issue, and that’s partly why we’re proposing what we’re proposing. The Administrative Record includes references to the controversial, unknown, and uncertain effects of the Park Service’s decision. The Park Service’s closure order conceded that “the effects that snowmobiling activity may have on the long-term health of the Denali Park ecosystem are uncertain.” The Park Service’s closure order observed that “[a] major concern of the National Park Service is a significant lack of information about cumulative impacts of snowmobile use.” In short, the Park Service abused its discretion in not explaining why exception 2.4 did not apply. ASSA also contends that exceptions 2.3 and 2.4 apply because the Park Service’s closure order has or will have the effect of concentrating use in the two corridors left open, and will have the effect of displacing snowmachine riders into adjacent state parks or other areas. At first impression, ASSA’s contention is similar to an argument rejected by the Ninth Circuit in Bicycle Trails Council of Marin v. Babbit. In Bicycle Trails, the Park Service implemented a previously adopted rule prohibiting off-road bicycle use in the Golden Gate National Recreation Area. The Bicycle Trails Council and other plaintiffs filed suit arguing, in part, that the Park Service’s action violated NEPA because no EA or EIS was prepared. The Park Service relied upon the same categorical exclusion it relies upon in this case. In rejecting plaintiffs’ arguments that the Park Service abused its discretion by relying upon the categorical exclusion the court noted: Plaintiffs’ arguments [that prohibiting off-road bicycle use would increase public use thus compromising the nature and characteristics of the area] ... border on sheer speculation. Plaintiffs suggest that the closing of trails might force bicyclists to ride in other areas, thereby compromising the nature of those areas. However, the regulation makes clear that riding in any other non-developed area is also forbidden; the suggestion that closing trails will force bicyclists to break the law by riding on similarly closed protected areas i