Full opinion text
MEMORANDUM OPINION AND ORDER ROBERT C. CHAMBERS, District Judge. Pending before the Court are Plaintiffs’ Motion for Partial Summary Judgment (ECF 7), Plaintiffs’ Supplemental Motion for Partial Summary Judgment (ECF 13), Defendant’s Motion to Dismiss and Motion to Abstain (ECF 23), and Defendant’s Cross-Motion for Summary Judgment (ECF 62). A hearing was held on the motions on August 26, 2011. Ml briefing has been submitted, and the issues are ripe for disposition. For the reasons that follow, Plaintiffs’ motion for partial summary judgment is DENIED as moot; Plaintiffs’ supplemental motion is GRANTED in part and DENIED in part; Defendant’s motion to dismiss is GRANTED in part and DENIED in part; and Defendant’s cross-motion for summary judgment is GRANTED in part and DENIED in part. I. BACKGROUND A. Regulatory Framework The primary goal of the Federal Water Pollution Control Act (“CWA” or the “Clean Water Act”) is “to restore and maintain the chemical, physical, and biological integrity of the Nation’s waters.” 33 U.S.C. § 1251(a). To further this goal, the Act prohibits the “discharge of any pollutant by any person” unless a statutory exception applies; the primary exception is the procurement of a National Pollution Discharge Elimination System (“NPDES”) permit. 33 U.S.C. §§ 1311(a), 1342. Under the NPDES, the U.S. Environmental Protection Agency (“EPA”) or authorized state agency can issue a permit for the discharge of any pollutant, provided that the discharge complies with the conditions of the CWA. 33 U.S.C. § 1342. A state may receive approval to administer a state-run NPDES program under the authority of 33 U.S.C. § 1342(b). West Virginia received such approval and its NPDES program is administered through the West Virginia Department of Environmental Protection (“WVDEP”). Its implementation of the NPDES program, however, remains subject to review by the EPA. For each permit application, the WVDEP must send notice of the application to the EPA, including a copy of the proposed permit, and subsequent notice “of every action related to the consideration of such permit application.” 33 U.S.C. §§ 1342(b)(4), 1342(d)(1). All requests for modifications to existing permits must also comply with these requirements. W. Va.Code R. § 47-10-9.1.C.1. The EPA has the authority to object to a draft permit or modified permit within ninety days of notification on the grounds that the permit is “outside the guidelines and requirements” of the CWA. 33 U.S.C. § 1342(d)(2); Am. Paper Inst., Inc. v. EPA, 890 F.2d 869, 871 (7th Cir.1989). If the EPA elects to do so, “it provides a comment period, and a public hearing when requested by the state or interested parties.” Am. Paper Inst., 890 F.2d at 871 (citing 40 C.F.R. § 123.44(e) (1988)). Subsequently, the EPA must “modify, withdraw, or reaffirm its objections.” Id. (citing 40 C.F.R. § 123.44(g) (1988)). If the objection is reaffirmed or modified, the State may resubmit the permit in order to comply with the stated EPA objection. Id. If the State refuses to comply with the objection, the permit may not be issued by the WVDEP; instead, authority to issue the permit passes to the EPA. 33 U.S.C. § 1342(d)(4); W. Va.Code R. § 47-10-3.6.b. Coal mines are also subject to regulation under the Surface Mining Control and Reclamation Act (“SMCRA”) and the West Virginia Surface Coal Mining and Reclamation Act (“WVSCMRA”). The scheme under the SMCRA is somewhat different from the CWA, exhibiting greater deference to the states. See Bragg v. W.Va. Coal Ass’n, 248 F.3d 275, 293 (4th Cir.2001). Once a state receives “primacy” to administer its own program under 30 U.S.C § 1253, federal standards effectively “drop out” in favor of the state regulations, which then become the operative law. Id. at 295. As both the Bragg panel and this Court recognized, however, not all provisions of SMCRA “drop out.” Id.; Ohio Valley Envtl. Coal., Inc. v. Apogee Coal Co., 531 F.Supp.2d 747, 760-64 (S.D.W.Va.2008) (denying Defendants’ motion to dismiss). Although federal law is not directly enforceable, a cause of action exists to pursue certain violations of state law in federal court. Ohio Valley Envtl. Coal., 531 F.Supp.2d at 760-64. West Virginia has been granted primacy under SMCRA and administers its state program through the WVDEP. Three regulations passed pursuant to WVSCMRA are relevant to the present suit. First, mining must be conducted in such a manner so as to “prevent material damage to the hydrologic balance outside the permit area.” W. Va. Code R. § 38-2-14.5. Second, mining discharges “shall not violate effluent limitations or cause a violation of applicable water quality standards.” Id. at § 38-2-14.5b. Finally, applicable performance standards are incorporated as a condition of all mining permits. Id. at § 38-2-3.33c. Both the WVDEP and the EPA have recognized the potentially harmful effects of selenium for some time. EPA promulgated the first water quality criterion for selenium in 1987-5 micrograms per liter of water (5 gg/1) — a criterion subsequently adopted by WVDEP. It was not, however, until a draft Programmatic Environmental Impact Statement on the effects of mountaintop removal, published in 2003,- that it became clear selenium discharges from surface mines had the potential to violate the applicable water quality standard. With such information, the WVDEP was forced to consider the selenium water quality standard when it issued NPDES permits to mine operators and to include water quality based effluent limits in those permits. It is these limits that are at issue in these actions. B. Factual Background Plaintiffs filed this ease pursuant to the citizen suit provisions of the Clean Water Act and the SMCRA. Plaintiffs seek enforcement of the effluent selenium limitations under West Virginia/National Pollution Discharge Elimination System (‘WV/NPDES”) and WVSCMRA permits issued by the WVDEP to the defendant. Plaintiffs assert that Defendant has unlawfully discharged selenium from its Sycamore Surface Mine complex in Fayette and Kanawha Counties, West Virginia. Compl. ¶ 11, ECF 1. This mine is subject to two Surface Mining Permits — S602089 and S304191 — and to WV/NPDES Permit WV1009311. Id. WV/NPDES Permit WV1009311, which governs Defendant’s discharges, was issued on May 16, 2005 and was set to expire on March 23, 2010. Permit, ECF 13-1 at 2. The permit, initially held by Lexington Coal Company, was transferred to Maple Coal in November 2005. Def.’s Mem. Supp. of Cross-Mot. Summ. J., ECF 63 at 5-6. The WVDEP modified the permit on April 5, 2007, in its Amended Order No. 1. Am. Order No. 1, ECF 13-4. The WVDEP’s modification extended Maple Coal’s compliance deadline for the final selenium effluent limitations to April 5, 2010. Id. at 2. It also required Maple Coal to commence construction of selenium treatment facilities by October 5, 2008, and to complete installation of the requisite selenium treatment facilities by April 5, 2010. Id. at 7. On September 2, 2009, Maple Coal applied for a modification of the permit, specifically seeking an additional extension of the selenium final effluent limitations. Prior to applying for the modification and even subsequent to its application, Maple Coal had tried several different methods of selenium treatment, as required under Amended Order No. 1, but to no avail. Permit Modification Req. Docs., ECF 13-5 at 4-5. Accordingly, Maple Coal sought an extension until July 1, 2012. Id. at 5. At the same time Maple sought an extension of the selenium effluent limits, it also sought a renewal of its WV/NPDES permit as the current permit was set to expire on March 23, 2010. Def.’s Mem. Supp. of Mot. Dismiss, ECF 24 at 5. In order to allow additional time for the renewal process, the WVDEP administratively extended the permit on March 22, 2010. Permit Modification Req. Docs., ECF 13-5 at 1. Because the permit was administratively extended, the EPA informed the WVDEP that the permit could not be modified, as permits may only be modified during their initial term. Id. Thus, the WVDEP denied the modification request on March 25, 2010. Id. Before the effective date of the selenium effluent limits could be modified, the permit would necessarily have to complete the reissuanee process — including a 30 day public comment period — which would end after the selenium effluent limitations were to go into effect on April 5, 2010. Id. If the WVDEP granted the modification request at that point, the modification would violate the anti-backsliding provisions of the CWA. Id.; 33 U.S.C. § 1342(o). Maple Coal appealed this decision to the Environmental Quality Board (“EQB”), which was ultimately denied. Def.’s Mem. Supp. of Mot. Dismiss, ECF 24 at 7. Maple has since filed an appeal of the EQB’s ruling to the Fayette County Circuit Court (Administrative Appeal No. ll-AA-3), which is still pending. Def.’s Mem. Supp. of Cross-Mot. Summ. J., ECF 63 at 8. That court has a granted a continuing stay of the selenium effluent limits, as did the Circuit Court of Kanawha County. Id. at 8-9. Both these orders were issued on the premise that otherwise “the antibacksliding provisions of the federal Clean Water Act ... may prevent [the courts] from later granting the relief requested in Maple’s appeal....” Id. at 9 (quoting Mar. 1, 2011 Order by Fayette County Circuit Court). In addition to these proceedings, on June 11, 2010, the WVDEP filed its own enforcement action against Maple Coal in the Circuit Court of Fayette County, Civil Action No. 10-C-149. Id. at 9-10. In its complaint in that action, the WVDEP asserts that, even when the stays in these varying actions are lifted, Maple Coal will be unable to comply with the selenium effluent limits. WVDEP Compl. ¶ 22, ECF 13-11. This action is also still pending before the Fayette County Circuit Court. Def.’s Mem. Supp. of Cross-Mot. Summ. J., ECF 63 at 10. C. Procedural Background Plaintiffs filed this action on January 4, 2011. Compl, ECF 1. This action has been subject to procedural wrangling by both parties. See, e.g., ECF 19, ECF 26, ECF 42. Before Defendant was properly served, Plaintiffs filed their first partial summary judgment motion. ECF 7. Following Defendant’s objection regarding the procedural propriety of this filing, Plaintiffs re-filed the motion as a supplemental motion for partial summary judgment following completion of service on Defendant. ECF 13. In the end, the parties agreed to a short discovery period; allowed Maple to file its motion to dismiss this action or, in the alternative, to abstain; and then completed briefing on Plaintiffs’ summary judgment motion. As part of the latter briefing, Defendant filed its cross-motion for summary judgment. Defendant asserts that dismissal or grant of summary judgment is proper in this action on the basis of several arguments. In its motion to dismiss, Maple asserts that (1) Plaintiffs lack standing; (2) the selenium limits never came in to effect as they were stayed by the EQB order, the Kanawha County Circuit Court order, and the Fayette County Circuit Court order; (3) the current action is barred by the WVDEP’s diligent prosecution in the Fayette County Circuit Court; (4) Plaintiffs’ Notice of Intent letter was deficient, and therefore the Court does not have subject matter jurisdiction; (5) the WVDEP is a necessary and indispensable party that cannot be joined under the Eleventh Amendment to the United States Constitution; (6) the Court should abstain under the doctrine of primary jurisdiction; and (7) the Court should decline to exercise jurisdiction under the Burford Abstention Doctrine. Defi’s Mot. Dismiss, ECF 23. Defendant, in its Cross-Motion for Summary Judgment, re-asserts its standing argument, its diligent prosecution argument, and the argument that the selenium limits never went in to effect. Def.’s Mem. Supp. of Cross-Mot. Summ. J., ECF 63. Plaintiffs move for summary judgment on the question of liability raised by all three claims for relief, declaratory and injunctive relief, and the imposition of civil penalties. Pis.’ Mot. Partial Summ. J., ECF 13. II. STANDARD OF REVIEW A. Motion to Dismiss under 12(b)(1) A motion to dismiss pursuant to Rule 12(b)(1) of the Federal Rules of Civil Procedure raises the fundamental question of whether a court is competent to hear and adjudicate the claims brought before it. It is axiomatic that a court must have subject matter jurisdiction over a controversy before it can render any decision on the merits. Challenges to jurisdiction under Rule 12(b)(1) may be raised in two distinct ways: “facial attacks” and “factual attacks.” Thigpen v. United States, 800 F.2d 393, 401 n. 15 (4th Cir.1986), rejected on other grounds, Sheridan v. United States, 487 U.S. 392, 108 S.Ct. 2449, 101 L.Ed.2d 352 (1988). A “facial attack” questions whether the allegations in the complaint are sufficient to sustain the court’s jurisdiction. Id. If a “facial attack” is made, the court must accept the allegations in the complaint as true and decide if the complaint is sufficient to confer subject matter jurisdiction. Id. On the other hand, a “factual attack” challenges the truthfulness of the factual allegations in the complaint upon which subject matter jurisdiction is based. In this situation, a “district court is to regard the pleadings’ allegations as mere evidence on the issue, and may consider evidence outside the pleadings without converting the proceeding to one for summary judgment.” Richmond, Fredericksburg & Potomac R.R. Co. v. United States, 945 F.2d 765, 768 (4th Cir.1991) (citing Adams v. Bain, 697 F.2d 1213, 1219 (4th Cir.1982); Trentacosta v. Frontier Pac. Aircraft Indus., 813 F.2d 1553, 1558 (9th Cir.1987)). To prevent dismissal, “the nonmoving party must set forth specific facts beyond the pleadings to show that a genuine issue of material fact exists.” Id. (citations omitted). A dismissal should only be granted in those instances in which “the material jurisdictional facts are not in dispute and the moving party is entitled to prevail as a matter of law.” Id. (citations omitted). B. Motion for Summary Judgment To obtain summary judgment, the moving party must show that there is no genuine issue as to any material fact and that the moving party is entitled to judgment as a matter of law. Fed.R.Civ.P. 56(a). When cross-motions for summary judgment are filed, “the fact that both parties simultaneously are arguing that there is no genuine issue of fact does not establish that a trial is unnecessary thereby empowering the court to enter judgment as it sees fit.” Podberesky v. Kirwan, 38 F.3d 147, 156 (4th Cir.1994) (quoting 10A Charles A. Wright, Arthur R. Miller & Mary Kay Kane, Fed. Prac. & Proc. § 2720 (2d ed. 1983)). In considering a motion for summary judgment, the Court will not “weigh the evidence and determine the truth of the matter[.]” Anderson v. Liberty Lobby, Inc., 477 U.S. 242, 249, 106 S.Ct. 2505, 91 L.Ed.2d 202 (1986). Instead, the Court will draw any permissible inference from the underlying facts in the light most favorable to the nonmoving party. Matsushita Elec. Indus. Co., Ltd. v. Zenith Radio Corp., 475 U.S. 574, 587-88, 106 S.Ct. 1348, 89 L.Ed.2d 538 (1986). Although the Court will view all underlying facts and inferences in the light most favorable to the nonmoving party, the non-moving party nonetheless must offer some “concrete evidence from which a reasonable juror could return a verdict in his [or her] favor[.]” Anderson, 477 U.S. at 256, 106 S.Ct. 2505. Summary judgment is appropriate when the nonmoving party has the burden of proof on an essential element of his or her case and does not make, after adequate time for discovery, a showing sufficient to establish that element. Celotex Corp. v. Catrett, 477 U.S. 317, 322-23, 106 S.Ct. 2548, 91 L.Ed.2d 265 (1986). The nonmoving party must satisfy this burden of proof by offering more than a mere “scintilla of evidence” in support of his or her position. Anderson, 477 U.S. at 252, 106 S.Ct. 2505. III. DISCUSSION Defendant’s motion to dismiss and cross-motion for summary judgment have overlapping legal arguments. The Court will therefore address these motions simultaneously. The Court will then turn to Plaintiffs’ Motion for Partial Summary Judgment. A. Defendant’s Motion to Dismiss and Cross-Motion for Summary Judgment 1. Standing In both its motion to dismiss and its cross-motion for summary judgment, Maple Coal challenges whether Plaintiffs have standing to bring this action. In order to bring any action in federal court, a plaintiff must have standing — that is, a plaintiff must have a sufficient personal stake in the outcome of the matter being litigated to make it justiciable under Article III of the Constitution. See Friends of the Earth, Inc. v. Gaston Copper Recycling Corp., 204 F.3d 149, 153 (4th Cir.2000) (citation omitted) (“Gaston Copper I ”); see also U.S. Const, art. Ill (restricting federal courts to adjudicating “cases” and “controversies”). In order to satisfy the minimum constitutional requirements for standing, the United States Supreme Court repeatedly has stated that a plaintiff must demonstrate: (1) it has suffered an “injury in fact” that is (a) concrete and particularized and (b) actual or imminent, not conjectural or hypothetical; (2) the injury is fairly traceable to the challenged action of the defendant; and (3) it is likely, as opposed to merely speculative, that the injury will be redressed by a favorable decision. Friends of the Earth, Inc. v. Laidlaw Envtl. Servs. (TOC), Inc., 528 U.S. 167, 180-81, 120 S.Ct. 693, 145 L.Ed.2d 610 (2000) (citing Lujan v. Defenders of Wildlife, 504 U.S. 555, 560-61, 112 S.Ct. 2130, 119 L.Ed.2d 351 (1992)). “The Clean Water Act confers standing on ‘any person or persons having an interest which is or may be adversely affected.’ ” Friends of the Earth, Inc. v. Gaston Copper Recycling Corp., 629 F.3d 387, 396 (4th Cir.2011) (quoting 33 U.S.C. § 1365(a), (g)) (“Gaston Copper II”). Thus, so long as a citizen plaintiff satisfies the constitutional standing requirements, there is standing to bring a suit under the Clean Water Act. Id. When the plaintiff in question is an organization, it “has standing to sue on behalf of its members when ‘(a) its members would otherwise have standing to sue in their own right; (b) the interests it seeks to protect are germane to the organization’s purpose; and (c) neither the claim asserted nor the relief requested requires the participation of individual members in the lawsuit.” Am. Canoe Ass’n, Inc. v. Murphy Farms, Inc., 326 F.3d 505, 517 (4th Cir.2003) (quoting Hunt v. Wash. State Apple Adver. Comm’n, 432 U.S. 333, 343, 97 S.Ct. 2434, 53 L.Ed.2d 383 (1977)). Among the injuries that may be addressed by a federal court are those to “an individual’s aesthetic or recreational interests.” Gaston Copper I, 204 F.3d at 154. This is of particular relevance to environmental cases. See, e.g., Sierra Club v. Morton, 405 U.S. 727, 734-36, 92 S.Ct. 1361, 31 L.Ed.2d 636 (1972). Here, Defendant asserts that the members of the plaintiff organizations have not established injury in fact. “Environmental plaintiffs” can establish injury in fact by demonstrating “use [of] the affected area and [that they] are persons ‘for whom the aesthetic and recreational values of the area will be lessened’ by the challenged activity.” Laidlaw, 528 U.S. at 183, 120 S.Ct. 693 (quoting Morton, 405 U.S. at 735, 92 S.Ct. 1361). “However, a plaintiff ‘claiming injury from environmental damage must use the area affected by the challenged activity and not an area roughly ‘in the vicinity’ of it.’ ” Gaston Copper II, 629 F.3d at 397 (quoting Lujan, 504 U.S. at 565-66, 112 S.Ct. 2130 (citation omitted)). i. Outfall 043 First, Maple Coal challenges whether Plaintiffs’ standing declarants Julian Martin and James Tawney actually use the water bodies that receive the discharges from Outlet 043. Citing Mancuso v. Consolidated Edison Co. of New York, Inc., 324 F.Supp.2d 469 (S.D.N.Y.2004), Maple Coal contends that these declarants have used Armstrong Creek, one of the affected waterways, for nothing but litigation-related purposes, similar to the plaintiffs in Mancuso. In that case, the plaintiffs lacked standing as their only visits to the affected area had no other purpose “than to obtain evidence to support th[e] lawsuit. Any aesthetic injury experienced as a result of these visits [wa]s therefore simply a byproduct of th[e] lawsuit and cannot satisfy even the minimal showing of injury-in-fact needed to meet the standing requirement.” Mancuso, 324 F.Supp.2d at 471. As this Court has previously concluded, “the idea that the declarants’ environmental activism automatically precludes them from ever fulfilling the requirements for standing does not withstand review.” Ohio Valley Envtl. Coal., Inc. v. Coal-Mac, Inc., 775 F.Supp.2d 900, 911 (S.D.W.Va.2011). In Coal-Mac, this Court relied on Ecological Rights Foundation v. Pacific Lumber Co., 230 F.3d 1141 (9th Cir.2000), for the principle that there is no “particular formula for establishing a sufficient concrete and particularized aesthetic or recreational injury-in-fact.” Ecological Rights Found., 230 F.3d at 1150 (citations & quotation omitted); see also Coal-Mac, 775 F.Supp.2d at 911. In that case, the Ninth Circuit described the necessary showing of injury in fact as: a connection to the area of concern sufficient to make credible the contention that the person’s future life will be less enjoyable—that he or she really has or will suffer in his or her degree of aesthetic or recreational satisfaction—if the area in question remains or becomes environmentally degraded. Factors of residential contiguity and frequency of use may certainly be relevant to that determination, but are not to be evaluated in a one-size-fits-all, mechanistic manner. Ecological Rights Found., 230 F.3d at 1149. Here, unlike the plaintiffs in Coal-Mac, Plaintiffs’ members had no prior connection to Armstrong Creek before this action. See Martin Tr., ECF 62-1 at 44; Tawney Tr., ECF 62-2 at 27. Both Martin and Tawney traveled to a site close to Outfall 043 at the direction of the plaintiff organizations, armed with specific GPS coordinates. See, e.g., Marlin Tr., ECF 62-1 at 23-26; Tawney Tr., ECF 62-2 at 24-25. The timing of the trips, the manner in which they were planned, and the lack of a prior connection to Armstrong Creek leads this Court to conclude that the sole purpose of the water monitoring trips was to manufacture standing. This connection is insufficient “to make credible the contention that the person’s future life will be less enjoyable” as a result of Defendant’s alleged exceedance of the selenium effluent limitations. To achieve standing in a Clean Water Act case, a plaintiff must show a particularized and concrete interest in the area affected by the alleged Clean Water Act violation. If the Court were to find standing with respect to Outfall 043, any individual with an interest in West Virginia and a general concern for the environmental health of the state could create standing with respect to any area of West Virginia—no matter how tenuous the individual’s particular connection to the area of concern. This pushes the standing analysis too far, and would obviate the need for any serious standing analysis in future Clean Water Act cases. Any one of Plaintiffs’ regional members could then establish standing for any violation anywhere in West Virginia, which is a result that is far from a particularized, individual, or concrete injury. Accordingly, the Court FINDS that Plaintiffs do not have standing with respect to Outfall 0043. ii. Outfall 006 With respect to Outfall 006, which affects Paint Creek, Plaintiffs again seek to establish standing through declarants Martin and Tawney, as well as declarant Dwight Siemiaczko. Mr. Tawney’s connection to Paint Creek is as tenuous as his connection to Armstrong Creek and Outfall 043, and therefore the Court concludes that Plaintiffs cannot establish standing through his two visits to Paint Creek. Tawney Tr., ECF 62-2 at 16. Plaintiffs do, however, establish standing through declarants Martin and Siemiaczko. Standing through Mr. Siemiaczko is easily established. He is a resident of the area, and has made a long-term recreational use of Paint Creek, including fishing and leading trips to the area. Siemiaczko Tr., ECF 62-3 at 11-15, 23. He has fished on Paint Creek “right at the mouth of the Laurel Branch area where it comes into Paint Creek” as recently as last year, and he intends to continue fishing in that area. Siemiaczko Decl. ¶ 7, ECF 13-6. He is also a member of the Paint Creek Watershed Association. Siemiaczko Tr., ECF 62-3 at 49-50. His long-term connection and interest in Paint Creek, combined with his residence in the area, “make[s] credible” his assertion that he will return to the affected area in the future. Thus, “a direct nexus exist[s] between [Mr. Siemiaczko] and the ‘area of environmental impairment’.” Gaston Copper II, 629 F.3d at 395 (internal quotation omitted). Maple argues that because Mr. Siemiaczko has not curtailed his fishing activities or refrained from eating the fish he catches, his recreational use of Paint Creek has not been harmed. However, during his deposition, Mr. Siemiaczko testified that he is concerned about the long-term effects of selenium on the health of Paint Creek, in particular the bioaeeumulative nature of selenium and its impact on the fish population. Siemiaczko Tr., ECF 62-3 at 28, 50-51; Siemiaczko Decl. ¶ 15, ECF 13-6. Defendant has given the Court no reason to doubt Mr. Siemiaczko’s credibility. Based on his testimony, there is no doubt his aesthetic and recreational uses have been harmed, and the potential continuation of Maple’s exceedances of the effluent limitations create an imminent and actual injury to Mr. Siemiaczko. Mr. Martin in his declaration stated that he has led tour groups to Holly Grove, a site of some import with respect to labor and mining history. Martin Decl, ECF 13-7. Holly Grove is located on Paint Creek, approximately twelve miles downstream from the location of Outfall 006. Martin Tr., ECF 62-1 at 20. This in and of itself is not sufficient to establish standing as Holly Grove is well outside the zone of impact. However, Mr. Martin testified that he has a long-standing hobby of exploring unfamiliar areas of West Virginia when he is in the vicinity. Id. at 42-43 (“I love this state more than anybody can possibly imagine and any time I hear about a holler that I haven’t been in, that I have an opportunity to go, Pm going to go if I can possibly get there”). Mr. Martin already has a connection to Paint Creek through the labor tours he runs in Holly Grove — during which he observes the wildlife and natural environment. Martin Deal, ECF 13-7. Considering his hobby of exploring new “hollers” unfamiliar to him, it is certainly plausible that Mr. Martin would have ended up exploring the area around Outfall 006 on his own initiative. As this Court has stated before, “[t]he fact that [Mr. Martin’s] interaction with the affected water bodies is a result of [his] environmental activism does not make less credible the ‘contention that [his] future life will be less enjoyable’ as a result of the alleged selenium pollution.” Coal-Mac, 775 F.Supp.2d at 912 (quoting Ecological Rights Found., 230 F.3d at 1149). Thus, the fact that Mr. Martin was directed by the plaintiff organizations to the area near Outfall 006 does not immediately eliminate him as a standing declarant. In fact, Mr. Martin’s additional recreational activities — his interest in environmental issues and involvement in all three Plaintiff organizations — adds credence to his assertion that he has suffered injury in fact as a result of Maple’s exceedances of the selenium limits. Martin Decl, ECF 13-7. Mr. Martin serves as an officer for the West Virginia Highlands Conservancy, he leads tours of mountaintop removal sites, and he conducts water testing. Martin Tr., ECF 62-1 at 8, 16-17, 28, 42. His involvement in these environmental organizations, his prior involvement in similar monitoring activities, and his connection to the area through the labor tours he leads give meaning to the assertion that he is “bring[ing] this suit to vindicate his private interests ... not some ethereal public interest,” making him more than “a roving environmental ombudsman.” Gaston I, 204 F.3d at 157. He seeks to improve the environmental health of his state, and with this suit he specifically seeks to improve the environmental health of Paint Creek, a water body to which he has a personal connection. Mr. Martin stated that, in light of his interest in environmental issues and his general proclivity for exploring the outdoors, he would “enjoy the streams more” if Maple’s selenium discharges complied with permit limits. Martin Deck, ECF 13-7; Martin Tr., ECF 62-1 at 28-29. He is, in particular, highly concerned by the bioaccumulative nature of selenium, and the potential long-term effects Maple’s discharges will have on the wildlife dependent on Paint Creek. Id. Thus, Mr. Martin has established a credible and reasonable connection to the area, and that connection is impaired by Maple’s alleged selenium exceedances from Outfall 006. Maple Coal also contends that “Plaintiffs have not demonstrated that Maple’s discharges into either Paint Creek or Armstrong Creek have impacted the locations on those streams that their standing representatives claim to use.” Def.’s Mem. Supp. of Cross-Mot. Summ. J., ECF 63 at 2. Maple contends that in Gaston Copper II, the Fourth Circuit now requires “objective evidence” to show there is environmental harm to an area a plaintiff has connection to. Gaston Copper II, 629 F.3d at 395. Maple urges the Court to conclude that there is no “objective evidence that [the standing declarants] use an area of a receiving stream ‘affected by' Maple’s discharges” because Plaintiffs have not shown evidence of violations of the water quality standards immediately downstream of the outfalls. Def.’s Reply Supp. of Mot. Dismiss, ECF 37 at 3 (quoting Gaston Copper II, 629 F.3d at 397). This raises the standing standard too high. The language cited by Defendant does not alter the standing analysis long followed by this Court. In Gaston Copper II, the Fourth Circuit referred to “objective evidence” relied on in its prior decision in Gaston Copper I. Gaston Copper II, 629 F.3d at 397. Thus, any standing analysis conducted by the Fourth Circuit in Gaston Copper II must be examined within the context of the more in-depth standing analysis done in Gaston Copper I. In Gaston Copper I, the Fourth Circuit specifically rejected the district court’s reliance on the lack of evidence regarding “the chemical content of the waterways affected by the defendant’s facility.” Gaston Copper I, 204 F.3d at 155. Instead, the Fourth Circuit cited the United States Supreme Court’s conclusion in Laidlaw, which “required no evidence of actual harm to the waterway” where environmental plaintiffs “aver that they use the affected area” and their “aesthetic and recreational values of the area [are] lessened” as a result of the alleged violations. Id. at 159 (quoting Laidlaw, 528 U.S. at 183, 120 S.Ct. 693). Standing does not require a court to determine the merits of the environmental violations alleged. Laidlaw, 528 U.S. at 181, 120 S.Ct. 693 (“The relevant showing for purposes of Article III standing, however, is not injury to the environment but injury to the plaintiff.”). What it does require is a demonstration that if the allegations of Clean Water Act violations are true, the impacts of the alleged violations are felt in an area with which the plaintiffs have “a direct nexus.” Gaston Copper II, 629 F.3d at 395. This nexus can be established by “circumstantial evidence such as proximity to polluting sources, predictions of discharge influence, and past pollution to prove both injury in fact and traceability.” Gaston Copper I, 204 F.3d at 163. To require more would contravene the otherwise “straightforward Clean Water Act issue of whether [the defendant] has violated its permit limitations[,]” thereby “throw[ing] federal legislative efforts to control water pollution into a time warp by judicially reinstating the previous statutory regime in the form of escalated standing requirements.” Id. at 163-64. Nowhere in Gaston Copper II did the Fourth Circuit reject its prior reasoning in Gaston Copper I, despite Maple’s urging to the contrary. Maple’s contention that Plaintiffs must show that the water quality standards must be violated downstream in addition to the area immediate to the discharge area would result in the standing analysis the Fourth Circuit feared in Gaston Copper I. In this scenario, the “straightforward” Clean Water Act analysis would be distorted, as a defendant polluter would necessarily need to be guilty of more than just violations of its permit limits. Maple seeks to escape the strict liability regime of the Clean Water Act by “escalating the] standing requirements.” Id. at 151, 163. Plaintiffs have amply demonstrated the harm to Mssrs. Martin and Siemiaczko through the submitted declarations and the deposition testimony of each standing declarant. Mssrs. Siemiaczko and Martin both have established connections to the portion of Paint Creek that is within the zone of impact of any selenium discharge from the mine, and they have asserted injury from the alleged selenium limit violations. Laidlaw, 528 U.S. at 184-85, 120 S.Ct. 693 (finding there was “nothing ‘improbable’ about the proposition that a company’s continuous and pervasive illegal discharges of pollutants into a river would cause nearby residents to curtail their recreational use of that waterway and would subject them to other economic and aesthetic harms”). For the foregoing reasons, the Court FINDS that Plaintiffs have established standing with respect to Outfall 006 only. 2. The Fayette County Action is Not a Diligent Prosecution A citizen is precluded from bringing suit under the Clean Water Act or the SMCRA “if the [federal government] or State has commenced and is diligently prosecuting a civil or criminal action in a court of the United States, or a State to require compliance with the standard, limitation, or order [that the citizen alleges to have been violated].” 33 U.S.C. § 1365(b)(1)(B); 30 U.S.C. § 1270(b)(1)(B). Courts engage in a two-part inquiry to determine whether a defendant may invoke the diligent prosecution bar at 33 U.S.C. § 1365(b)(1)(B) to preclude a citizen suit from enforcing an effluent standard or limitation imposed pursuant to the Act. First, a court must determine whether a prosecution by the state (or the EPA Administrator) to enforce the same “standard, order, or limitation” was pending on the date that the citizens’ suit commenced. Second, if the answer to the previous question is affirmative, a court must also determine whether the prior pending action was being “diligently prosecuted” by the state at the time that the citizens’ suit was filed. See Conn. Fund for Env’t v. Contract Plating Co., 631 F.Supp. 1291, 1293 (D.Conn.1986); 33 U.S.C. § 1365(b)(1)(B). The burden of proving non-diligence is heavy. “Citizen-plaintiffs must meet a high standard to demonstrate that [a government agency] has failed to prosecute a violation diligently.” Piney Run Pres. Ass’n v. Cnty. Commis. of Carroll Cnty., Md., 523 F.3d 453, 459 (4th Cir.2008) (“Piney Run 17”) (quoting Karr v. Hefner, 475 F.3d 1192, 1198 (10th Cir.2007)). In meeting the standard, a citizen-plaintiff must do more than show an agency’s strategy is less aggressive than that preferred by plaintiff. Id. Consequently, a governmental enforcement action will ordinarily be considered diligent so long as it “is capable of requiring compliance with the Act and is in good faith calculated to do so.” See, e.g., id. (quoting Friends of Milwaukee’s Rivers v. Milwaukee Metro. Sewerage Dist., 382 F.3d 743, 760 (7th Cir.2004)). Yet, if a federal court concludes that the agency action does not meet this standard, “it should not hesitate to allow a citizen suit to proceed.” Ohio Valley Envt’l Coal., Inc. v. Hobet Mining, LLC, 2008 WL 5377799, at *5 (S.D.W.Va. 2008) (“Hobet I”) (citing Friends of Milwaukee’s Rivers, 382 F.3d 743); see also Friends of the Earth v. Laidlaw Envt’l Servs. (TOC), Inc. (“Friends of the Earth ”), 890 F.Supp. 470 (D.S.C.1995). Although a federal court must be deferential to a state court proceeding, the deference owed is not unlimited. “[A] diligent prosecution analysis requires more than mere acceptance at face value of the potentially self-serving statements of a state agency and the violator.” Friends of Milwaukee’s Rivers, 382 F.3d at 760. It requires “that the Statetry, diligently[,]” to achieve compliance. Id. at 759 (emphasis supplied). In reviewing diligence, a federal court may rely on evidence from the state court docket to determine “the prospects that the state suit would proceed expeditiously to a final resolution.” Hobet I, 2008 WL 5377799, at *5 (citing Conn. Fund, 631 F.Supp. at 1293). The court must also consider the context surrounding the state prosecution. Id. (citing Student Pub. Interest Research Group of N.J., Inc. v. Fritzsche, Dodge, & Olcott, Inc. (“Fritzsche”), 579 F.Supp. 1528, 1535 (D.N.J.1984) (“An evaluation of ‘diligence’ measures comprehensively the process and effects of agency prosecution.”)). Here, there is no dispute that a WVDEP enforcement action was ongoing in Fayette County Circuit Court at the time Plaintiffs filed the present case. Both actions pertain to the WV/NPDES Permit WV1009311, and the selenium effluent limitations contained in the permit. See WVDEP Compl. ¶22, ECF 13 -11. Plaintiffs do, however, contest whether the portion of Amended Order No. 1 requiring Maple to install selenium treatment facilities by April 5, 2010 was incorporated into the permit. The WVDEP complaint pertains only to the WV/NPDES permit. Thus, if this portion of the Amended Order No.l is not a part of the permit, the Fayette County action does not preclude Plaintiffs’ claim regarding the construction deadline for the selenium treatment facilities. Plaintiffs rely on the language in Amended Order No. 1, which states that “[y]our permit is hereby modified to extend the compliance deadline for your final selenium effluent limitations for three (3) years from the effective date of this Order for the outlets in Attachment A.” Am. Order No. 1, ECF 13-4 at 2. They also argue that the order itself distinguishes between what is incorporated into the permit, i.e., the compliance schedules, and what is distinct from the permit, i.e., the construction requirements. Pis.’ Reply Supp. of Mot. Partial Summ. J., ECF 68 at 28 (quoting Am. Order No. 1 (“Compliance with the terms and conditions of this Amended Order shall not be construed to relieve the permittee of the obligation to comply with the terms and conditions of its WVNPDES Permit”). The Court disagrees. First, the language quoted by Plaintiffs to support their contention that the Amended Order is distinct from the permit itself is contained in a conclusion paragraph following four numbered paragraphs outlining the ordered compliance requirements. Am. Order No. 1, ECF 13-4 at 2-3. Among those requirements is the extension of the compliance deadline, which, all parties agree, is incorporated into the underlying permit. Thus, this language operates as a catchall provision, applying to all ordered actions under the Amended Order — including the extension of the compliance schedule. The clause’s purpose is to ensure that all parties understand that the Amended Order does not relieve Maple from any of its remaining obligations under the original permit. Furthermore, each of those four requirements and the original permit are interrelated. Paragraph one extends the compliance schedule contained in the original permit. Paragraph three requires Maple to attain the final limitations required under the permit pursuant to a schedule contained in Attachment B to the Amended Order (including the construction requirements), in effect providing a detailed compliance schedule. Paragraph two mandates that Maple comply with interim self-monitoring and reporting requirements, subject to the requirements and conditions contained in the original permit. In the original permit, Defendant was also subject to monitoring and reporting requirements. Permit, ECF 13-1. Paragraph four requires Maple submit six-month status reports, indicating progress made toward the interim requirements and project completion. Thus, each compliance requirement is interrelated with the other and with the underlying permit. The construction requirements are part of, not separate from, the compliance schedule extended under paragraph one. They are not independent requirements, and are not divisible. Accordingly, both the compliance schedule and the construction requirements are incorporated into the underlying permit, and are the subject of the WVDEP’s Fayette County enforcement action. However, the Fayette County action was not being diligently prosecuted at the time Plaintiffs filed this action on January 4, 2011. The WVDEP filed this action in June 2010, a few months after its denial of Maple’s modification request. WVDEP Compl., ECF 13-11. At that point, the EPA had stated that the permit could not be modified as it had been administratively extended. Permit Modification Req. Docs., ECF 13-5 at 1. But for the EPA communication, the WVDEP would have granted the modification request. See id. Accordingly, at the time it filed the Fayette Count enforcement action, the agency had two options for that action to qualify as a diligent prosecution. First, if the agency concurred with the EPA’s assessment of the propriety of the denial of the modification request, it should have sought to enforce the permit as it then existed, with a selenium effluent limitation compliance date of April 5, 2010. Second, if the agency disagreed with the EPA’s denial of the modification request, the WVDEP should have requested the Fayette County Circuit Court to grant relief akin to the modification the agency had initially planned to grant Maple. See Permit Modification Req. Docs., ECF 13-5. Instead, the WVDEP has filed a complaint that is vague, and seeks neither to enforce the permit as is, inclusive of the selenium limits, nor to enforce the draft permit modification, with a compliance deadline of July 2012. See id.; WVDEP Compl, ECF 13-11. Moreover, the WVDEP specifically excluded the selenium effluent limits from the request for immediate relief, on the grounds that they were subject to the various stay orders. WVDEP Compl, ECF 13-11. Thus, the effect of the Fayette County enforcement action is to allow the entire situation to drift along, leaving Maple subject to nothing — neither the original compliance date nor a July 2012 compliance date. In light of the context at the time the WVDEP filed the Fayette County enforcement action, a diligent prosecution would have sought immediate compliance with the permit limits and penalties for violations of those limits or institution of the modification of the compliance schedule to July 2012. Put another way, a diligent prosecution would have sought to enforce something. Instead, the relief sought is entirely prospective and nonspecific, and moves the status of the Maple permit and its associated selenium limits no where closer to a firm obligation. The Court is unable to ascertain how the complaint as it currently stands is capable of achieving compliance or is, in good faith, calculated to do so, with either option. Instead, the WVDEP has abdicated any responsibility for pursuing enforcement of the selenium limits. Further compounding the lack of direction in the enforcement action, at the time Plaintiffs filed the case sub judice in January of 2011, little to nothing had occurred in the enforcement action aside from preliminary matters. Docket Sheet, ECF 68-3. Thus, the Court FINDS that the Fayette County enforcement action was not diligent at the time OVEC filed the complaint in this action. Maple also urges the Court to allow the WVDEP to “diligently prosecute” the Fayette County enforcement action if the Court concludes the various stays of the selenium limits were invalid. To do so would be improper. Whether or not an agency enforcement action is diligent must be ascertained at the time the citizen enforcement action is filed. This Court already concluded to the contrary. Maple, however, is not without a remedy. If subsequent action by the WVDEP in the enforcement action were to be taken that would moot Plaintiffs’ current action, the Court would no longer have jurisdiction to adjudicate Plaintiffs’ claims. As this Court has previously explained, “[t]he realistic prospect standard ... applies if government enforcement action is taken after a citizen suit is filed. It is used to determine whether the prior-filed citizen suit can proceed in light of the subsequent government activity.” Ohio Envtl. Coal., Inc. v. Hobet Mining, LLC, 723 F.Supp.2d 886, 905 (S.D.W.Va.2010) (“Hobet II”) (citing Hobet I, 2008 WL 5377799 at *6 (citing Chesapeake Bay Found. v. Amer. Recovery Co., Inc., 769 F.2d 207 (4th Cir.1985))). At this juncture, however, the Fayette County enforcement action has not resulted in a resolution of Maple’s violations of the selenium effluent limits. Thus, for the following reasons, Plaintiffs’ claims may move forward. No subsequent action by the WVDEP supports the notion that the agency is actually pursuing a definitive outcome through the enforcement action. When the EQB denied the appeal of Maple’s modification request in January of this year and lifted its stay, the WVDEP did not approach the Fayette County enforcement action with any more vigor than it had previously. Similarly, the WVDEP failed to take any action following this Court’s March 31, 2011 Memorandum Opinion and Order in the Coal-Mac case invalidating the EQB stays. If the WVDEP were diligently seeking to prosecute Maple’s selenium violations, these significant changes to the legal contextual landscape would be expected to elicit some type of reaction by the WVDEP in the Fayette County enforcement action. Moreover, in Maple’s appeal of the EQB’s decision in front of the Fayette County Circuit Court, the WVDEP acquiesced to a suspension of the briefing schedule. ECF 68-2. In the motion requesting a suspension of the briefing schedule in the appeal action, Maple cited its and the WVDEP’s belief that the Fayette County enforcement action would be settled via a consent decree. Id. Yet, thus far, there is no concrete indication that the enforcement action will result in a consent decree. On the basis of the docket sheet for the Fayette County enforcement action, nothing of major import has occurred in that action. At this juncture, there is nothing to support Maple’s assertion that the WVDEP will resolve Maple’s violations of its selenium limits through a consent decree. As this Court has previously concluded, “[i]n this regulatory climate, where the WVDEP [has] responded to selenium violations with compliance extensions and weak performance schedules, a defendant subject to the type of lackadaisical suit brought in [Fayette County] would not feel compelled to comply with its permit limits.” Hobet I, 2008 WL 5377799, at *5. Nothing that has occurred in the Fayette County enforcement action convinces the Court that the WVDEP is diligently pursuing a resolution of Maple’s selenium violations. Rather, as the Court observed above, the enforcement action seems designed to prolong the date the selenium effluent limits are to go into effect. Moreover, even if the WVDEP were diligently prosecuting Maple’s violations, until there is a concrete resolution in the form of an entered consent decree, the basis of this action cannot be mooted. To conclude otherwise would deprive Plaintiffs of a forum on the speculation that the WVDEP and Maple’s settlement discussions will result in a consent decree that will remove the basis for Plaintiffs’ claims. Accordingly, for the foregoing reasons the Court FINDS that at the time Plaintiffs filed this action, the Fayette County enforcement action was not being diligently prosecuted and nothing has occurred in that action to moot the basis for the action currently before this Court. 3. Failure to Join a Necessary and Indispensable Party “Federal Rule of Civil Procedure 19 sets forth a two-step inquiry for a district court to determine whether a party should be joined in an action.” Nat’l Union Fire Insur. Co. of Pittsburgh, PA v. Rite Aid of SC, Inc., 210 F.3d 246, 249 (4th Cir.2000). “[CJourts must first ask ‘whether a party is necessary to a proceeding because of its relationship to the matter under consideration’ pursuant to Rule 19(a).” Owens-Illinois, Inc. v. Meade, 186 F.3d 435, 440 (4th Cir.1999) (quoting Teamsters Local Union No. 171 v. Real Driveaway Co., 173 F.3d 915, 917-18 (4th Cir.1999)). If the party is necessary, it will be ordered into the action. Id. If the party cannot be joined, however, “the court must determine whether the proceeding can continue in its absence, or whether it is indispensable pursuant to Rule 19(b) and the action must be dismissed.” Id. “Only necessary persons can be indispensable, but not all necessary persons are indispensable.” Schlumberger Indus., Inc. v. Nat’l Surety Corp., 36 F.3d 1274, 1285-86 (4th Cir.1994). “In determining whether a party is necessary and, then, indispensable, the court must consider the practical potential for prejudice in the context of the particular factual setting presented by the case at bar.” Id. at 1286 (citing Provident Tradesmens Bank & Trust Co. v. Patterson, 390 U.S. 102, 88 S.Ct. 733, 19 L.Ed.2d 936 (1968)); see also Owens-Illinois, 186 F.3d at 441 (“Such a decision must be made pragmatically, in the context of the substance of each case, rather than by procedural formula.”). “Courts are loathe to dismiss cases based on nonjoinder of a party, so dismissal will be ordered only when the resulting defect cannot be remedied and prejudice or inefficiency will certainly result.” Owens-Illinois, 186 F.3d at 441; see also Nat’l Union, 210 F.3d at 250 (“Dismissal of a case is a drastic remedy ... which should be employed only sparingly.”). The Court first determines whether the WVDEP is a “necessary” party pursuant to Rule 19(a). Rule 19(a)(1) provides: A person who is subject to service of process and whose joinder will not deprive the court of subject-matter jurisdiction must be joined as a party if: (A) in that person’s absence, the court cannot accord complete relief among existing parties; or (B) that person claims an interest relating to the subject of the action and is so situated that disposing of the action in the person’s absence may: (i) as a practical matter impair or impede the person’s ability to protect the interest; or (ii) leave an existing party subject to a substantial risk of incurring double, multiple, or otherwise inconsistent obligations because of the interest. Maple claims the WVDEP qualifies as a necessary party under Rule 19(a)(1)(B). The inquiry under Rule 19(a)(1)(B) is subject to a second two-part test. First, the Court decides whether the non joined party “claims an interest related to the subject of the action,” see Fed.R.Civ.P. 19(a)(1)(B), and, if so, the Court considers whether the absence of the non joined party will either: (1) impede or impair that party’s interest, see Fed.R.Civ.P. 19(a)(1)(B)®, or (2) leave an existing party subject to conflicting obligations. See Fed. R.Civ.P. 19(a)(l)(B)(ii). If the first and either of the second parts of the test are satisfied, then the non joined party is “necessary.” See, e.g., Nat’l Union, 210 F.3d at 250-52 (finding non joined party necessary); Owens-Illinois, 186 F.3d at 441 (same). Maple Coal argues that the WVDEP satisfies the initial portion of the Rule 19(a) test because the agency has asserted its interest “through a separate civil action and settlement.” Def’s Mem. Supp. of Mot. Dismiss, ECF 24 at 32 (citing Hobet II, 723 F.Supp.2d at 914). Maple also asserts that the agency has “an interest in protecting the health and welfare of West Virginia’s citizens by enforcing CWA and SMCRA permits, and in asserting its primary authority to establish a consistent State-wide approach to enforcement.” Id. (quoting Hobet II, 723 F.Supp.2d at 920). In Hobet II (also a selenium effluent limitation action), which Defendant heavily relies on, this Court found that WVDEP was necessary as the agency had “claimed an interest related to the subject of th[at] action” by filing an enforcement action with respect to the same permits at issue. Hobet II, 723 F.Supp.2d at 915. The Court, however, concluded that the absence of WVDEP from that action would not “(1) impair or impede the WVDEP’s ability to protect its interest, or (2) leave an existing party subject to a substantial risk of incurring multiple or inconsistent obligations.” Id. (citing Fed.R.Civ.P. 19(a)(1)(B)© & (ii)). The Court sees no reason to conclude differently here. As in Hobet II, the WVDEP has a multitude of procedures which it may use to “preserve its role as the primary enforcer of the CWA and SMCRA.” Id. Moreover, these procedures protect the WVDEP’s interest. As this Court concluded in Hobet II, “if the WVDEP had diligently prosecuted [Maple Coal’s] alleged violations of WV/ NPDES Permit [1009311], or if it had taken postcomplaint action to eliminate the realistic prospect of continued non-compliance, then the agency could and would have avoided this litigation because it would have eliminated the basis for this suit.” Id. at 916. The WVDEP had ample alternatives to protect its interest; it has chosen not to utilize these options. Thus, the WVDEP is not necessary under Rule 19(a)(1)(B)©. Also similar to Hobet II, Maple Coal relies on Rule 19(a)(l)(B)(ii). A non joined party will be necessary under Rule 19(a)(l)(B)(ii) if an existing party is subject to a substantial risk of incurring multiple or inconsistent obligations as a result of the absent party’s interest. See Fed. R.Civ.P. 19(a)(l)(B)(ii). Maple argues that it will be subject to inconsistent obligations if this case proceeds without the WVDEP, because it could be subject to injunctive relief and stipulated penalties pursuant to the Fayette County enforcement action, while also being subject to injunctive relief by this Court. As in Hobet II, this Court concludes that this does not qualify the WVDEP as a necessary party. First, the Court has significant discretion in crafting the relief to be granted in this action. Second, any relief granted in this case, if not negotiated between the parties, will occur following further proceedings to shape injunctive relief and consider civil penalties. This adds to the significant amount of time the WVDEP and Maple have had to reach a resolution in the Fayette County enforcement action. If that action is resolved soon, it might moot this action, or it would not be difficult for this Court to avoid overlapping or conflicting obligations. At this stage, nothing has happened in the Fayette County action. For there to be conflicting obligations there necessarily must be multiple orders. Thus, the possibility of conflicting obligations is merely speculative. Moreover, both actions ostensibly seek compliance with the selenium effluent limits. As Plaintiffs point out, the only way the injunctive relief crafted in each action could conflict would be as a result of differing compliance dates — Maple would merely need to comply with the earlier date to be in compliance with both orders. Pis. Resp. to Mot. Dismiss, ECF 28 at 43. Last, with respect to civil penalties, the WVDEP does not seek civil penalties for violations of the selenium limits. WVDEP Cornpl., ECF 13-11 (seeking only stipulated penalties if Maple fails to comply with a court-ordered compliance schedule). In addition, if there were a penalty assessed against Maple by the WVDEP, this Court could, in its discretion, take that into account in crafting the relief granted in this action. Accordingly, the Court FINDS that the WVDEP is not a necessary party. As the question under Rule 19(a)(l)(B)(ii) is somewhat close with respect to what sort of relief — if any — will result from the Fayette County enforcement action, the Court will also conduct an indispensability analysis in an abundance of caution. Indispensability is determined by Rule 19(b), which provides a four-factor test. If a person who is required to be joined if feasible cannot be joined, the court must determine whether, in equity and good conscience, the action should proceed among the existing parties or should be dismissed. The factors for the court to consider include: (1) the extent to which a judgment rendered in the person’s absence might prejudice that person or the existing parties; (2) the extent to which any prejudice could be lessened or avoided by: (A) protective provisions in the judgment; (B) shaping the relief; or (C) other measures; (3) whether a judgment rendered in the person’s absence would be adequate; and (4) whether the plaintiff would have an adequate remedy if the action were dismissed for nonjoinder. Fed.R.Civ.P. 19(b). “A Rule 19(b) analysis is not mechanical; rather it is conducted in light of the equities of the case at bar." Nat’l Union, 210 F.3d at 252 (citing Schlumberger, 36 F.3d at 1287). “The first Rule 19(b) factor asks to what extent a judgment rendered in the non-party’s absence will prejudice that person or those already parties. This factor addresses many of the same concerns as [Rule 19(a)(1)(B) ].” Id. (citing Real, 173 F.3d at 919). As discussed above in the context of the Rule 19(a)(1)(B) analysis, the Court found that: (1) the statutory restrictions placed on citizen suits adequately protect the WVDEP’s interest in preserving its primary authority to enforce the CWA and SMCRA, and (2) this Court can protect Maple from prejudice and inconsistency by tailoring its remedy, accordingly. For those same reasons, this factor weighs against a finding of indispensability. “The second factor to consider under Rule 19(b) is whether a court can tailor relief to lessen or avoid the prejudice to the absent party or to those already parties.” Id. at 253. Ultimately, this factor cannot be resolved until this case goes to trial. It also may not be resolved until the Fayette County enforcement action is, itself, resolved. The Court finds, at this juncture, that this factor weighs against dismissal. To conclude otherwise, as this Court has stated at multiple points throughout this Opinion, would be speculative. See, e.g., supra n. 13. “The third [Rule 19(b) ] factor is whether a judgment without the absent person will be adequate. This factor implicates the interest of the courts and the public in complete, consistent, and efficient settlement of controversies ... [and] promote[s] the public interest in avoiding piecemeal and inefficient litigation.” Nat’l Union, 210 F.3d at 253 (internal quotations and citations omitted). Again, the Court finds this factor weighs against finding the WVDEP an “indispensable” party. “The CWA plainly confers to citizens an opportunity to step in and sue alleged violators when government agencies fail to act.” Riverkeeper, Inc. v. Mirant Lovett, LLC, 675 F.Supp.2d 337, 353 (S.D.N.Y. 2009); see also Gwaltney of Smithfield, Ltd. v. Chesapeake Bay Found., Inc., 484 U.S. 49, 108 S.Ct. 376, 98 L.Ed.2d 306 (1987). Citizen enforcement is therefore adequate to address alleged violations without the participation of a state agency, and the question Rule 19(b)’s third factor presents, in this case, is whether res