Full opinion text
Judge RESTANI dissents in a separate opinion. REENA RAGGI, Circuit Judge: This case arises from the ongoing efforts of Islander East Pipeline Co., LLC (“Islander East”) to secure a water quality certification from the Connecticut Department of Environmental Protection (“CTDEP”) for a plan to build a natural gas pipeline from Connecticut to New York across Long Island Sound. Such certification is a prerequisite to Islander East securing final federal approval for its pipeline project under the Natural Gas Act of 1938 (“NGA”), Pub.L. No. 75-688, 52 Stat. 831 (codified as amended at 15 U.S.C. §§ 717-717w). Pursuant to NGA § 19(d), 15 U.S.C. § 717r(d), Islander East petitions this court for review of the CTDEP’s December 19, 2006 denial of certification, which Islander East challenges as arbitrary and capricious, see CTDEP, Water Quality Certification Application No. 200300937-SJ, Islander East Pipeline Co., LLC (Dec. 19, 2006) (“2006 Denial”). The argument is familiar to us. In a published opinion filed October 5, 2006, a majority of this panel vacated the CTDEP’s initial February 5, 2004 denial of certification to Islander East as arbitrary and capricious and remanded for further agency review of the pipeline application. See Islander East Pipeline Co. v. Conn. Dep’t of Envtl. Prot. (“Islander East I ”), 482 F.3d 79 (2d Cir.2006). The CTDEP has now completed that review and persists in denying certification. Whatever reservations might legitimately be voiced as to this latest decision, see infra at 164-70 (Restani, J., dissenting in part), judicial review of the CTDEP’s denial is limited to the grounds set forth in the Administrative Procedure Act (“APA”), specifically 5 U.S.C. § 706(2)(A), which provides that we are to “hold unlawful and set aside agency action, findings, and conclusions found to be ... arbitrary, capricious, an abuse of discretion, or otherwise not in accordance with law.” Because the CTDEP supports its second denial with reasoned explanations tied to record evidence, this court can no longer dismiss its conclusions as unlawful under the APA. Accordingly, we deny Islander East’s petition for review. 1. Background A. The Regulatory Scheme Although we assume readers’ familiarity with our prior opinion in Islander East I, 482 F.3d 79, our discussion of the relevant facts as well as our assessment of the merits of Islander East’s petition are facilitated by a preliminary review of the relevant regulatory scheme. 1. The Natural Gas Act The Natural Gas Act of 1938 comprehensively regulates the transportation and sale of natural gas in interstate commerce. See id. at 84. Pursuant to NGA § 7, any party seeking to construct, extend, acquire, or operate a facility for the transportation or sale of natural gas in interstate commerce must secure “a certificate of public convenience and necessity” from the Federal Energy Regulatory Commission (“FERC”). ’ See 15 U.S.C. § 717f(c)(1)(A). Further, the FERC must ensure that the proposed project complies with all requirements of federal law, including, but not limited to, those established by the Clean Water Act, 33 U.S.C. §§ 1251-1387, and the Coastal Zone Management Act, 16 U.S.C. §§ 1451-65. See Islander East I, 482 F.3d at 84 (citing Islander East Pipeline Co., 102 F.E.R.C. ¶ 61054, p. 61130 (2003)). While the NGA generally preempts local permit and licensing requirements, see id. (citing Islander East Pipeline Co., 102 F.E.R.C. ¶ 61054, p. 61130); National Fuel Gas Supply Corp. v. Pub. Serv. Comm’n, 894 F.2d 571, 576-79 (2d Cm.1990), the Clean Water and Coastal Zone Management Acts are notable in effecting a federal-state partnership to ensure water quality and coastal management around the country, so that state standards approved by the federal government become the federal standard for that state. See Islander East I, 482 F.3d at 90 n. 9 (explaining that, under Clean Water Act, state water quality standard approved by federal Environmental Protection Agency (“EPA”) “becomes ‘the water quality standard for the applicable waters of that State’ ” (quoting 33 U.S.C. § 1313(c)(3))). Consistent with this scheme, the two Acts require applicants for federal permits to provide federal licensing agencies such as the FERC with certifications from affected states confirming compliance with local standards. See id. at 84 & nn. 3-4 (citing 16 U.S.C. § 1456(c)(3)(A); 33 U.S.C. § 1341(a)(1)). Islander East’s dispute with the CTDEP regarding its compliance with the state’s coastal zone management plan is the subject of a different appeal pending in this court, See State of Connecticut v. United States Dep’t of Commerce, Nos. 07-4522-cv(L), 07-4593-cv(CON). Accordingly, on this petition, we consider only Islander East’s challenge to the CTDEP’s denial of the water quality certification that, being mandated by the Clean Water Act, is a prerequisite to the FERC granting final approval to commence construction of the proposed pipeline. 2. The Clean Water Act The Clean Water Act specifically protects “existing” and “designated” uses of navigable waters. PUD No. 1 of Jefferson Cty. v. Washington Dep’t of Ecology, 511 U.S. 700, 704-05, 114 S.Ct. 1900, 128 L.Ed.2d 716 (1994) (citing 33 U.S.C. § 1313(c)(2)(A) & (d)(4)(B); 40 C.F.R. § 131.12). Thus, a state’s water quality standards must identify existing and designated uses, such as drinking, recreation, wildlife support, and shellfish cultivation, and must establish “ ‘water quality criteria for such waters based upon such uses.’ ” Id. at 704, 114 S.Ct. 1900 (quoting 33 U.S.C. § 1313(c)(2)(A)). Further, pursuant to the Clean Water Act’s “antidegra-dation policy,” a state’s water quality standards must “be sufficient to maintain existing beneficial uses of navigable waters, preventing their further degradation.” Id. at 705, 114 S.Ct. 1900 (citing 33 U.S.C. § 1313(d)(4)(B)). The mandate’s broad reach is reflected in 40 C.F.R. § 131.12(a)(2), which provides that states “shall assure water quality adequate to protect existing uses fully.” Thus, no activity that would “ ‘partially or completely eliminate any existing use’ ” is permitted, even if it would leave the majority of a given body of water undisturbed. PUD No. 1 of Jefferson Cty. v. Washington Dep’t of Ecology, 511 U.S. at 718-19, 114 S.Ct. 1900 (quoting EPA, Questions and Answers on Antidegradation at 3 (Aug. 1985)). To protect against water quality degradation, states may employ both quantitative and open-ended standards. See id. at 715-17, 114 S.Ct. 1900; see also 40 C.F.R. § 131.11 (providing for states to establish numerical and narrative criteria). Open-ended standards serve to ensure against under-inclusiveness in circumstances where it may be impossible to formulate a generalized quantitative standard applicable to all cases. See PUD No. 1 of Jefferson Cty. v. Washington Dep’t of Ecology, 511 U.S. at 716-18, 114 S.Ct. 1900. In applying open-ended standards, however, a state is expected to translate its narrative criteria into “specific limitations for individual projects.” Id. at 716, 114 S.Ct. 1900. 3. Connecticut’s Water Quality Standards Pursuant to the Clean Water Act Two narrative water quality standards figure prominently in this case. Connecticut Surface Water Quality Standard No. 1, as amended, states: It is the State’s goal to restore or maintain the chemical, physical, and biological integrity of surface waters. Where attainable, the level of water quality that provides for the protection and propagation of fish, shellfish, and wildlife and recreation in and on the water shall be achieved. Connecticut Dep’t of Envtl. Prot., Water Quality Stds. at 1 (effective Dec. 17, 2002), http://www.ct.gov/dep/lib/dep/water/water_ quality_standardsl/wqs.pdf. Connecticut Surface Water Quality Standard No. 2 states: Existing and designated uses such as propagation of fish, shellfish, and wildlife, recreation, public water supply, agriculture, industrial use and navigation, and the water necessary for then-protection [are] to be maintained and protected. Id. Pursuant to these standards, the CTDEP “Commissioner shall not issue any certificate or permit for any regulated discharge, dredging activity or discharge of fill and dredged materials unless the Commissioner finds that all existing and .designated uses as defined in these water quality standards will be protected fully.” Id., App. E-l; see also id. at 1 (Surface Water Quality Std. No. 2). The coastal waters at issue in this petition are denominated by Connecticut as either “SA” or “SB/SA.” SA waters are designated for “habitat for marine fish, other aquatic life and wildlife; shellfish harvesting for direct human consumption; recreation; industrial water supply; and navigation.” Id. at 15 (Coastal Waters Classifications and Criteria). SB waters are designated for “habitat for marine fish, other aquatic life and wildlife; commercial shellfish harvesting; recreation; industrial water supply; and navigation.” Id. While waters in the intermediate SB/SA classification may not currently support one or more of the uses designated for SA waters, e.g., “shellfish harvesting for direct human consumption,” the state’s goal for such waters is the “achievement of Class SA Criteria and attainment of Class SA designated uses.” Id. Indeed, SA classification is a default classification for marine waters in Connecticut. See id. at 7. Thus, to the extent the impact of the proposed pipeline on shellfish harvesting is at issue on this petition, we note that all marine waters in Connecticut appear to be designated for shellfish harvesting unless the state has specifically established a lesser water quality classification in a given area. See id. at 7,15. B. The Proposed Pipeline 1. The Pipeline Route from Connecticut to New York On June 15, 2001, Islander East filed an application under NGA § 7(c) with the FERC for a certificate of public convenience and necessity to construct, own, and operate a natural gas pipeline between Connecticut and New York. See Islander East Pipeline Co., 97 F.E.R.C. ¶ 61363, p. 62685 (2001). Islander East proposed to construct 44.8 miles of 24-inch-wide pipeline from an interconnection with an existing pipeline near North Haven, Connecticut, to Brookhaven, New York. A further 5.6 miles of pipeline would be constructed from Islander East’s anticipated mainline near Wading River, New York, to a power plant in Calverton, New York. Id. The petition before this court focuses on the 22.6-mile section of pipeline that would cross Long Island Sound. See Islander East Pipeline Co., 100 F.E.R.C. ¶ 61276, p. 62102 (2002). 2. The Construction Techniques Relevant to the Challenged Denial Islander East proposed to employ three construction techniques in building the offshore section of the pipeline — horizontal directional drilling, dredging, and plowing — which the CTDEP concludes would adversely affect the existing and designated uses of the state’s coastal waters, particularly as they pertain to shellfish harvesting. We briefly describe these techniques and some of the concerns identified with respect to each. a. Horizontal Directional Drilling To install a pipeline running from a natural gas connection site on land in Connecticut into Long Island Sound, Islander East proposed to employ a horizontal directional drill to create a 4,200-foot tunnel underneath nearshore waters off Branford, Connecticut. See Islander East Pipeline Project, Permit Application for: 401 Water Quality Certificate (“Permit Application”), App. A, Maritime Pipeline Installation Methodology at 1 (Mar. 14, 2003) (“Installation Methodology”); see also 2006 Denial at 30 & App. B. The tunnel would start some 700 feet inland, where the drill would burrow to a depth of 110 feet below sea level. See Permit Application, Attachment C. The drill would then level off and proceed south for about 2,000 feet, after which it would drill diagonally upwards until it emerged from the Sound’s seabed around milepost 10.9. See id. Once the horizontal directional drill bored a small-diameter “pilot hole” the length of the tunnel, Islander East proposed to enlarge that hole by a process called “reaming.” See Permit Application, Installation Methodology at 9-10. To effect this enlargement, a “drill string” would first be driven through the pilot hole to the offshore exit point. There, workers on board a barge would attach a reaming tool to the string, which would, in turn, be pulled back through the tunnel toward the drilling rig on shore. On its way, the reaming tool would cut rock and soil until the tunnel was enlarged to a diameter of 36 inches. See id. at 10. At that point, a mile-long segment of pipe would be pulled into place near the exit hole, then pulled back through the tunnel toward the drilling rig, thereby installing that underground segment of pipeline. See id. at 1, 10. “Drilling fluid,” a substance composed of 97 percent fresh water and 3 percent ben-tonite clay, would be continuously pumped into the borehole throughout the drilling process. See Conn. Siting Council, Finding of Facts, Dkt. No. 221 at 19 (Aug. 1, 2002); Permit Application, Installation Methodology at 7. This fluid would travel from equipment on the surface, through the inside of the drill pipe, out the end of the pipe, and back to the surface along the space between the drill pipe and the interi- or wall of the tunnel. The circulation of drilling fluid would both supply hydraulic power to the drill bit and transport soil and rock cuttings from the drill bit to the surface. See Permit Application, Installation Methodology at 7, 9. Islander East proposed to recapture, filter, and recycle most, but not all, of the drilling fluid. See id. at 7. Based on Islander East’s estimates, the FERC concluded that, when the drill exited the seabed at milepost 10.9, approximately 455 barrels of drilling fluid would necessarily be released from the borehole onto the sea floor, covering an area approximately 444 feet in diameter to a depth of 5 millimeters. See FEIS 3-53. In addition to this planned release, the CTDEP identified a risk that drilling fluid could escape into Sound waters through geologic fissures in the bedrock, an unplanned release called a “frac-out.” See 2006 Denial at 60 (citing FEIS 3-54). b. Dredging and Backfilling To install the next section of pipeline from milepost 10.9 to milepost 12, an area of shallow waters between 13 and 20 feet deep, Islander East proposed to dredge a v-shaped trench 5 feet into the seabed. See 2006 Denial at 32-33. To accommodate the pipeline’s transition from tunnel to trench, Islander East would also dredge an acre-sized exit pit at milepost 10.9 approximately 18 feet deep, 130 feet wide, and 301 feet long. See FEIS 3-53; 2006 Denial at 32. To create this exit pit and trench, Islander East would remove approximately 24,000 cubic yards of sediment from approximately 5.5 acres of seabed. See Islander East Pipeline Project, Offshore Dredge Disposal Permit Amendment at 2 (July 29, 2003). Although Islander East originally proposed that, after installation of the pipeline into the trench, it would backfill the dredged areas with the removed sediment, in response to sedimentation concerns identified by the CTDEP about that process, Islander East modified its proposal to provide for most of the dredged materials, or “spoil,” to be placed on barges for open water disposal. See id. at 6-10. Islander East would then refill the trench and exit pit with an “engineered backfill” composed of small non-native rocks and sand. This backfill would be deposited into the trench with a “tremie tube,” a specialized funnel designed to channel the backfill directly into the trench. See 2006 Denial at 36-37 (citing Haley & Aldrich, Inc., Report on Engineered Backfill Study (May 21, 2003)). c. Plowing To complete pipeline installation in waters beyond milepost 12, Islander East proposed to continue excavation of the 5-foot-deep trench using a subsea plow, supplemented with hand-excavation by divers in certain areas. See id. at 35; Permit Application, Installation Methodology at 1. Plowing would require a barge to pass over the pipeline route three times: (1) to lay the pipe, (2) to pull a “post-lay plow,” and (3) to pull a “backfill plow.” See Permit Application, Installation Methodology at 1, 5-6. At the first step, crew on the barge would weld pipe pieces together to set onto the sea floor. As each length of pipe was so laid, the barge would move ahead approximately forty feet where the welding and laying process would begin anew. See id. at 2-3. At the second step, a barge would make another pass over each area, this time to lower a post-lay plow over the pipeline that had been laid on the sea floor. This plow would hydraulically close to encapsulate the pipe, at which point the barge would move forward, excavating a trench into which the pipe could be released when the plow was reopened. See id. at 5. At the third step, a barge equipped with a backfill plow would fill in the trench with dredged materials. See id. at 6. In each of these three passes, a barge would likely use an anchor-mooring system to move the vessel along the pipeline path, pulling in bow anchor lines and releasing stern anchor lines. See id. at 2, 5. Anchor-handling tugboats would move the bow anchors forward and pick up the stern anchors. See id. at 5. Each time anchors were thus set, they would necessarily strike the sea floor, dispersing sediment and leaving a depression several feet deep over areas of roughly 200 square feet per strike. See 2006 Denial at 41 (citing TRC Envtl. Corp., Impacts Analysis Report at 30 (Feb. 12, 2002)); see also TRC Envtl. Corp., Impacts Analysis Report § 3.1.3 (May 2003) (updated version of 2002 Report) (estimating that “[t]he total area impacted by the anchor drops from the plowing operations would be about 7.3 acres”). Meanwhile, the cables attaching the anchors to a barge would drag across the sea floor as the barge moved, resulting in “cable sweep,” causing shallow depressions in the seabed and further dispersing sediment. 2006 Denial at 40-43 & n. 60 (citing, inter alia, TRC Envtl. Corp., Impacts Analysis Report 28, 30 (Feb. 12, 2002)). C. Islander East’s Efforts to Secure Water Quality Certification 1. The CTDEP’s 2001 Denial of Certification Islander East first applied to the CTDEP for a water quality certification for its pipeline project on February 13, 2002. See Islander East I, 482 F.3d at 87. The following year, on March 13, 2003, Islander East withdrew that application and substituted a new one incorporating modified offshore construction techniques aimed at reducing the project’s environmental impacts. See id. (detailing proposed modifications). The CTDEP nevertheless denied certification on February 5, 2004, concluding that the pipeline project was inconsistent with state water quality standards in at least two respects: (1) the various processes associated with pipeline installation “would cause temporary water quality disturbance, permanent change to the benthic substrate [ (the sea floor) ], and negative impacts to the aquata biota,” inconsistent with the goal of Connecticut Surface Water Quality Standard No. 1 “to restore or maintain the chemical, physical, and biological integrity of surface waters,” id. at 95 (internal quotation marks and citations omitted); and (2) backfill discharge would permanently degrade waters in the vicinity of the Thimble Islands, rendering the seabed unsuitable for various shellfish and organisms presently inhabiting the area, which result would be inconsistent with Connecticut Surface Water Quality Standard No. 2 and Connecticut’s anti-degradation policy, which requires “the maintenance and protection of water quality in high quality waters and protection and maintenance of existing uses in all cases,” id. at 100 (internal citations omitted). Islander East challenged the CTDEP denial in a state action filed in the Connecticut Superior Court, see Islander East Pipeline Co., LLC v. Envtl. Prot. Comm’r, No. HHD-CV-04-4022253-S (Conn.Super. Ct., filed June 21, 2004), which it subsequently withdrew. 2. This Court’s 2006 Decision Vacating the CTDEP’s Initial Denial Islander East’s withdrawal of its state challenge and its initial petition for review by this court were prompted by Congress’s enactment of the Energy Policy Act of 2005, Pub.L. No. 109-58, 119 Stat. 594. Section 313(b) of the Act amended § 19 of the NGA to afford United States Courts of Appeals “original and exclusive jurisdiction over any civil action for the review of an order or action of a Federal agency ... or State administrative agency acting pursuant to Federal law to issue, condition, or deny any permit, license, concurrence, or approval ... required under Federal law” for the construction of a natural gas facility. 15 U.S.C. § 717r(d)(1); see also Islander East I, 482 F.3d at 88 (noting that Islander East’s petition for judicial review was filed on same day NGA amendment was signed into law). Following argument, this court, by majority decision, rejected the CTDEP’s constitutional and retroactivity challenges to Islander East’s first petition. See Islander East I, 482 F.3d at 91, 93. Turning to the merits, the court concluded that the CTDEP’s denial of certification was, as a whole, arbitrary and capricious. See id. at 104-05. With respect to the CTDEP’s conclusion that the project was inconsistent with Surface Water Quality Standard No. 1, the court observed that the CTDEP had failed both to cite record evidence reasonably supporting its finding of permanent harm to natural habitats and benthic substrate, see id. at 98-99 (noting that cited sources did not support conclusion that sedimentation in pipeline area would result in permanent loss of shellfish habitat), and to address contrary evidence on the point, see, e.g., id. at 97 (noting four reports projecting recovery of shellfish habitat). As for the CTDEP’s conclusion that the project was inconsistent with Surface Water Quality Standard No. 2, the court faulted the agency for failing to define the area affected, not acknowledging evidence that engineered backfill could improve shellfish habitat, and relying on negative past experiences with construction projects in the Sound without considering subsequent advances in pipeline construction technology. See id. at 100-04. The court’s conclusion that the CTDEP’s denial of certification was arbitrary and capricious was reinforced by two further facts: the surprising brevity of the agency’s analysis relative to the voluminous and complex record, see id. at 105, and documentary evidence suggesting that the agency had pre-determined to oppose the pipeline project under any circumstances, see id. While the court’s independent review of the voluminous administrative record identified some evidence potentially supportive of the CTDEP’s conclusion, the majority declined “to mine the record for evidence” not identified by the agency, id. at 100, noting principles of administrative review instructing that a federal court “may not supply a rationale for agency action where the agency has provided none” or “construct support for an agency’s conclusion when the agency has not pointed to evidence on the record favoring its decision,” id. at 101 (citing Motor Vehicle Mfrs. Ass’n of the U.S., Inc. v. State Farm Mut. Auto. Ins. Co. (“State Farm”), 463 U.S. 29, 42-43, 103 S.Ct. 2856, 77 L.Ed.2d 443 (1983)). Accordingly, being careful to “draw no conclusion” as to whether the record evidence obligated the CTDEP to grant Islander East’s certification application, we remanded the case to the agency with instructions that it “conduct the sort of complete and reasoned review required by law.” Id. at 105. 3. The CTDEP’s 2006 Denial of Certification Following remand, the CTDEP reexamined the record and, on December 19, 2006, again denied Islander East’s application for a water quality certification. See 2006 Denial. We do not here attempt to outline the numerous findings made and conclusions reached in the agency’s 82-page decision because we review many of these in the discussion section of this opinion. We note simply that Islander East promptly petitioned for judicial review, arguing that this second denial was also arbitrary and capricious. II. Discussion A. Jurisdiction and Standard of Review Under the Energy Policy Act of 2005, this court has jurisdiction to remand the CTDEP denial of certification if it is “inconsistent with the Federal law governing such [action] and would prevent the construction, expansion, or operation of the facility subject to [the NGA].” 15 U.S.C. § 717r(d)(3). There is no dispute that the 2006 Denial would prevent the construction of the proposed natural gas pipeline. This leaves only the question whether the denial is inconsistent with federal law. In Islander East I, we concluded that this question is subject to two-step consideration. See 482 F.3d at 94-95. At step one, we employ de novo review to determine whether the CTDEP complied with the requirements of relevant federal law. See id. at 94. “If no illegality is uncovered during such a review,” we proceed to step two to examine the CTDEP’s challenged findings and conclusions “under the more deferential arbitrary-and-capricious standard of review usually accorded state administrative bodies’ assessments of state law principles.” Id. (internal quotation marks and citation omitted). As before, we easily conclude that the CTDEP complied with the procedural dictates of the Clean Water Act in applying state water quality standards to Islander East’s permit application. See 33 U.S.C. §§ 1311(b)(1)(C), 1313, 1341(a)(1). This leaves only the second step of analysis: whether the CTDEP’s determination that the project would violate Connecticut’s water quality standards is “arbitrary, capricious, an abuse of discretion, or otherwise not in accordance with law.” 5 U.S.C. § 706(2)(A). Under the arbitrary-and-capricious standard, judicial review of agency action is necessarily narrow. See State Farm, 463 U.S. at 43, 103 S.Ct. 2856; Environmental Def. v. EPA, 369 F.3d 193, 201 (2d Cir.2004). A reviewing court may not itself weigh the evidence or substitute its judgment for that of the agency. See State Farm, 463 U.S. at 43, 103 S.Ct. 2856. Rather, in deciding whether agency action is arbitrary and capricious, a court considers whether 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 for its decision that runs counter to the evidence before the agency, or is so implausible that it could not be ascribed to a difference in view or the product of agency expertise.” 7d This is not to suggest that judicial review of agency action is merely perfunctory. To the contrary, within the prescribed narrow sphere, judicial inquiry must be “ ‘searching and careful.’ ” National Audubon Soc’y v. Hoffman, 132 F.3d 7, 14 (2d Cir.1997) (quoting Marsh v. Oregon Natural Res. Council, 490 U.S. 360, 378, 109 S.Ct. 1851, 104 L.Ed.2d 377 (1989)); See Ward v. Brown, 22 F.3d 516, 521 (2d Cir.1994) (“Although narrow, appellate review of an administrative record must nonetheless be careful, thorough and probing.”). Notably, a court must be satisfied from the record that “the agency ... examine[d] the relevant data and articulate[d] a satisfactory explanation for its action.” State Farm, 463 U.S. at 43, 103 S.Ct. 2856. Further, the agency’s decision must reveal “a ‘rational connection between the facts found and the choice made.’ ” Id. (quoting Burlington Truck Lines, Inc. v. United States, 371 U.S. 156, 168, 83 S.Ct. 239, 9 L.Ed.2d 207 (1962)). A court will not lightly reach a conclusion that an agency has not examined all relevant data or satisfactorily demonstrated a rational connection between the facts it has found and its final decision. See Patterson v. Caterpillar, Inc., 70 F.3d 503, 505 (7th Cir.1995) (observing that court “must be very confident that the decisionmaker overlooked something important or seriously erred in appreciating the significance of the evidence” (internal citation omitted)). While a majority of this panel did reach that conclusion in Islander East I, 482 F.3d at 97-100, largely because of the paucity of findings made by the CTDEP, see United States v. Int’l Bhd. of Teamsters, 170 F.3d 136, 143 (2d Cir.1999) (observing that court must “guard against an agency ... drawing inferences that are arbitrary in relation to the facts found, no matter how substantial may be the support for those facts” (internal quotation marks and citations omitted)), we cannot do so here where the CTDEP’s challenged decision is supported by more detailed findings and analysis. B. The Challenged Denial of Certification Cannot Be Deemed Arbitrary and Capricious In its second denial of Islander East’s application for a water quality certification, the CTDEP explained that its primary concern was the siting of the proposed pipeline in a Connecticut coastal area that included “an extensive stretch of shallow water” that served as a natural habitat for a variety of shellfish, including clams and oysters. 2006 Denial at 9. As we earlier noted, see supra 143 n. 2, the FERC had expressed similar concern in identifying an environmentally preferable alternative route, but thought Islander East would be able to mitigate the adverse impacts of its plan. In evaluating that question, the CTDEP determined that the dredging, plowing, and backfilling methods that Islander East proposed to employ in installing a pipeline in shallow waters would adversely affect shellfish habitat and cause the loss of an existing and designated use, ie., shellfishing, over an unacceptably large area. See 2006 Denial at 80. Because Islander East’s proposed means of remediating these consequences were uncertain to be effective, the agency concluded that Islander East had failed to demonstrate that the pipeline project would comply with state water quality standards as necessary to secure certification. See Islander East I, 482 F.3d at 104 (noting “Islander East’s burden to demonstrate its entitlement to favorable action on its [certification] application”); see also Town of Newtown v. Keeney, 234 Conn. 312, 322 n. 5, 661 A.2d 589 (Conn.1995) (noting that applicant in Connecticut administrative proceeding bears burdens of production and persuasion). In petitioning for review of the CTDEP denial, Islander East submits that two findings critical to the challenged conclusion are unsupported by the record: (1) that the pipeline would pass through existing or potential shellfish habitat, and (2) that the pipeline would have an adverse impact on that habitat resulting in the loss of an existing or designated use. Islander East does not — and, indeed, could not— argue that, if these findings are supported by the evidence, the denial of certification should be deemed arbitrary and capricious. As we noted earlier, 40 C.F.R. § 131.12(a)(2) states that, pursuant to the Clean Water Act, a “State shall assure water quality adequate to protect existing uses fully.” Consistent with this obligation, Connecticut Surface Water Quality Standard No. 2 provides that “[e]xisting and designated uses such as propagation of fish, shellfish, ... and the water necessary for their protection is to be maintained and protected.” In addressing Islander East’s challenge, we reiterate that we do not ourselves weigh the evidence or choose among competing inferences that might be drawn therefrom. We consider only whether there is sufficient evidence in the record to provide rational support for the choice made by the agency in the exercise of its discretion. See State Earn, 463 U.S. at 42-43, 103 S.Ct. 2856. On this deferential standard of review of the record in this case, we deny Islander East’s petition for review. 1. Shellfish Habitat Along the Proposed Pipeline Route In the challenged 2006 Denial, the CTDEP tracked the route of the proposed pipeline from its entry point into Long Island Sound at a recessed section of Connecticut shoreline near Branford across an expanse of relatively shallow waters through the Thimble Islands. See 2006 Denial at 8. The CTDEP identified seabed conditions in this area as particularly hospitable to shellfish cultivation. See id. at 12-13 (describing how seabed was product of glacier advances and retreats that had left “[t]hick deposits of layered silt and clay” on seabed); id. at 24, 71 (analogizing such seabed to prized topsoil that shellfish-ermen could stock with “juvenile seed shellfish” much as farmers plant fields with crop seed). It identified a variety of commercially valuable shellfish found in the area, including eastern oysters, hard and soft clams, blue mussels, and channel whelk. See id. at 23. The CTDEP noted that the Connecticut Department of Agriculture had approved for direct human consumption the shellfish procured from the “consistently excellent” nearshore waters in which the pipeline would be installed. Id. at 21-25; see also CTDEP, Map: CT Waters Less Than 50 ft. Classified as SA or SA/SB, with Dep’t of Agric./Bureau of Aquaculture “Approved” Shellfishing Designation (Jan.2007). The CTDEP further noted that the sea floor beneath these nearshore waters had been divided by state and local authorities into plots or beds, which are actively leased to shellfish-ermen. See 2006 Denial at 26, 55, 59. In Islander East I, we faulted the CTDEP for failing, in its initial denial of certification, “to point to even one specific lease” that would be affected by the proposed pipeline. 482 F.3d at 101. The 2006 Denial remedied this defect by identifying four shellfish beds that lie directly above the proposed path for the tunnel to be created by horizontal drilling. See 2006 Denial at 59. Further, the CTDEP showed that dredging and plowing activities would affect five state shellfish bed leases and an unidentified number of leases within the jurisdiction of the town of Branford. See id. at 44-46 (identifying 347.54 acres of affected state leases and 240.38 acres of affected Branford shellfish beds). From the totality of this evidence, the CTDEP could rationally conclude that the proposed pipeline construction activities would adversely affect existing and designated shellfish habitat and uses. In challenging this conclusion, Islander East submits that the CTDEP has mis-characterized the record to create a false impression that the area in question is “critical” shellfish habitat. Petitioner’s Br. at 23-25. Islander East asserts that the area actually supports few or no living shellfish, such that construction of the pipeline cannot rationally be inconsistent with Connecticut’s water quality standards. To support this argument, Islander East points to a study in which divers found no oysters or hard clams at sites along the pipeline route, see Peter E. Pel-legrino, Bottom Characterization Surveys of Selected Subtidal and Nearshore Environments off Juniper Point (Branford, CT) at 8, 11 (Jan.2002), and to testimony from Dr. Roman Zajac that, while the pipeline corridor could support shellfish, no oysters or hard clam populations were actually found there, see Conn. Siting Council Hearing Tr. at 54-55, Apr. 12, 2002. Certainly, this evidence raises legitimate questions about the impact of the proposed pipeline on existing and designated shellfish use. Significantly, the CTDEP did not ignore this evidence. Cf. Islander East /, 482 F.3d at 98 (faulting agency for failing to address studies contradicting its conclusions). Rather, it appears to have accorded it little weight in light of the cyclical nature of commercial shellfishing, which could account for the reported failures to find shellfish at certain sites on discrete occasions. See 2006 Denial at 24-27. As the CTDEP explained, oysters and clams often spend the early part of their lives in hatcheries, only later being moved by fishermen to seabeds to mature. See id. at 24-25. Further, because clams burrow, shellfishermen must use dredges to harvest mature specimens, see id. at 25-26, and the CTDEP cited surveys noting “extensive trawl marks” likely attributable to shellfish harvesting just past milepost 12, id. at 26-27. These facts, together with the evidence of active shellfish leases to commercial fishermen, provided sufficient record support for the CTDEP to conclude that waters in the pipeline corridor are an existing and designated habitat for shellfish and that shellfishing is an existing and designated use of these waters. Thus, we cannot conclude that this finding was arbitrary and capricious. See Universal Camera Corp. v. NLRB, 340 U.S. 474, 488, 71 S.Ct. 456, 95 L.Ed. 456 (1951) (holding that reviewing court may not displace agency’s choice between “two fairly conflicting views” of evidence). 2. Elimination of an Existing or Designated Use as a Consequence of the Pipeline Construction In considering Islander East’s challenge to the second CTDEP finding — that installation of the pipeline would result in the loss of commercial shellfish harvesting in the waters in the nearshore pipeline corridor — we note at the outset that, in making this determination, the CTDEP discussed in considerably more detail than we include in this opinion a voluminous record of evidence relevant to (1) the geological development of the seabeds in question as valuable shellfish habitat, see 2006 Denial at 12-14; (2) the influence of tidal currents and marine conditions on this habitat, see id. at 14-16; (3) the sensitivity of the habitat to disturbances in the benthic substrate, see id. at 16-19; and (4) the traditional means of shellfish cultivation and harvesting in Connecticut’s nearshore waters, see id. at 23-27. The CTDEP further reviewed evidence of (5) the methods Islander East proposed to use in installing the pipeline at issue, see id. at 27-39; and (6) the likely effects of such methods both generally on water quality and benthic substrate and specifically on the established use of shellfishing, see id. at 39-72. Thus, in contrast to Islander East I, the agency’s second consideration of Islander East’s application was more careful and thorough. This is not to say that the extensive evidence before the CTDEP pointed ineluctably in a single direction. To the contrary, the agency was frequently presented with conflicting quantitative findings and expert opinions. It was, however, the responsibility of the CTDEP, and not this court, to resolve record contradictions and to determine which evidence was most persuasive and what weight it deserved. See Universal Camera Corp. v. NLRB, 340 U.S. at 488, 71 S.Ct. 456. Mindful that it was Islander East’s burden to demonstrate to the CTDEP that its pipeline project complied with state water quality standards, see Town of Newtown v. Keeney, 234 Conn, at 322 n. 5, 661 A.2d 589, we consider only whether the agency findings are sufficiently grounded in record evidence rationally to support the challenged conclusion that the proposed pipeline would result in a loss of existing and designated shellfishing use, see State Farm, 463 U.S. at 43, 103 S.Ct. 2856. a. The Effects of Anchor Strikes and Cable Sweeps (1) The CTDEP’s Findings The CTDEP found that the barges used to lay pipeline would generally be equipped with “an array of 8 to 12 anchors,” each anchor weighing from 7 to 15 tons and held in place by cables. 2006 Denial at 34. As a barge moves forward either to lay, plow, or backfill the pipeline, anchors would strike the seabed. Islander East’s own evidence indicated that each anchor footprint would likely be 1 to 3 feet deep, disturbing 200 square feet of sediment. See id. at 41 (citing TRC Impact Analysis Report at 30 (Feb. 12, 2002) and the “Gulfstream Report” (surveying post-installation conditions in the Gulf of Mexico)). Meanwhile, cables attached to each anchor would drag along the bottom of the sea floor, cutting into the seabed — albeit considerably less deeply than anchors— and releasing further sediment into the water column. In depths of less than 50 feet, the anchor cables would extend 1,200 feet from each side of the barge, forming a corridor of construction activity approximately 2,400 feet wide. See id. at 46. Although “midline buoys” would suspend part of the anchor cable above the sea floor, as much as 600 feet of each cable line would still drag along the sea floor, leaving incisions. See id. at 34. In waters suitable for shellfish harvesting, i.e., at depths of less than 50 feet, the CTDEP concluded that the corridor affected by anchor strikes and cable sweeps would be 3.85 miles long, occupying a total area of about 1,120 acres that would no longer be available for shellfish harvesting. See id. at 40-41, 70, 80 (concluding that 588 acres of existing shellfishing and 531 acres designated for shellfishing would be lost). (2) Islander East’s Challenges to the Findings Islander East argues that the CTDEP exaggerates both the area and impact of these strikes and sweeps. It submits that the CTDEP erroneously included in its calculations of the anchor corridor an area of seabed bordering the exit pit and dredge section from milepost 10.9 to milepost 12, thereby inflating the area affected by anchor strikes and cable sweep by 322 acres. Further, the CTDEP erroneously assumed that the full 1,200 feet of anchor cable would sweep the sea floor. Finally, Islander East asserts that, even within the identified corridor of strikes and sweeps, the actual damage would be slight. While the first argument may have some merit, none persuades us that the CTDEP’s 2006 Denial was arbitrary or capricious. First, the CTDEP’s finding that Islander East would utilize an anchor-propelled barge in the relatively shallow waters above the exit pit and dredge section may have been erroneous in light of evidence indicating that Islander East had modified its plans to avoid using an anchor array in that area. See Letter from Arthur J. Roc-que, Jr., Comm’r, CTDEP, to Gene H. Muhlherr, Jr., Islander East (July 29, 2003); see also 2006 Denial, App. A at 2; Permit Application, Installation Methodology at 1. Even assuming such error, however, the evidence of anchor strikes and cable sweeps in waters between mileposts 12 and 20 was sufficient to support the CTDEP’s finding of a significant loss of existing and designated shellfishing use. Second, we identify no clear error in the CTDEP’s conclusion that an anchor corridor scarred by anchor strikes and cable sweeps would be lost in its entirety to shellfishing. The CTDEP reached this conclusion, not because it assumed that all 1,200 feet of anchor cable would sweep the sea floor, as petitioner alleges, but because it found that the depressions left by plowing, anchor strikes, and even reduced cable sweep would make it too difficult for harvesting equipment to operate throughout the corridor. See 2006 Denial at 70 & n. 84 (distinguishing between shellfish habitat and cultivable shellfish beds). Evidence showed that shellfishermen would not venture into such scarred terrain for fear of damaging their equipment. See id. at 70-71; Memorandum from John H. Volk, Conn. Dep’t of Agrie., to Sue Jacobson, CTDEP at 2 (Oct. 4, 2002) (noting that topographic irregularities caused by dredging will render “area unsuitable for commercial fishing and shellfishing” and that project “will result in a multitude of ‘scars’ and significant benthic irregularities caused by numerous sets of anchors, spuds, and cable sweeps----”). Larry Williams, a commercial shellfisherman, not only testified that shellfish harvesting dredges could not operate in areas of topographical irregularity, see Conn. Siting Council Hearing Tr. at 128, Apr. 17, 2002 (“[I]f you’re left with a bottom topography that’s so upset and irregular and soft here and hard there ... it basically becomes undredgeable, the dredges don’t work, they’ll cut into a high spot, they’ll drop into a low spot ... it just doesn’t work.”), he stated that he had personally observed such irregularities in an area damaged by a 1991 installation of a natural gas pipeline, the “Iroquois pipeline,” see 2006 Denial at 43 (citing Conn. Siting Council Hearing Tr. at 93, 96, Apr. 17, 2002). While Williams testified that it might be possible to navigate around anchor strikes and cable sweeps “if the holes were mapped with GPS coordinate geometry” and “sonar mapping was furnished,” Conn. Siting Council Hearing Tr. at 99, Apr. 17, 2002, nothing in the record demonstrated the availability of this technology, much less the likelihood of its successful application or Islander East’s commitment to supplying it. Cf. Letter from Gene Muhlherr, Jr., Islander East, to Charles H. Evans, CTDEP (May 27, 2003) (referencing Islander East’s commitment to provide an “ ‘as built’ survey of the coordinates of the pipeline following construction,” with no mention of mapping individual anchor strikes or cable sweeps (emphasis added)). On this record, the CTDEP’s failure to reference speculative and extraordinary mitigation measures in its consideration of lost use hardly renders its conclusions arbitrary or capricious. Third, the CTDEP did not act arbitrarily or capriciously in failing to embrace Dr. Zajac’s opinion that the proposed pipeline would result in only minimal cable scarring. See Conn. Siting Council Hearing Tr. at 55, Apr. 12, 2002 (testifying that “cable sweeping would probably disturb [only] the upper ... few centimeters of the sediment”). Evidence before the agency indicated that the degree of cable scarring can vary widely even in a single body of water depending on the distance of the cable from the anchor and the composition of the seabed. See 2006 Denial at 41 (noting that, in pipeline installation in Gulf of Mexico, depth of cable scarring ranged from 4 to 12 inches); cf. Power Auth. of New York v. FERC, 743 F.2d 93, 111 (2d Cir.1984) (observing that, “although reasonable minds could differ as to the inferences that might be drawn from the proof,” agency’s finding supported by substantial evidence must be upheld). Further, it was not arbitrary or capricious for the CTDEP to consider sediment dispersal caused by sweeps as well as strikes in assessing the loss of waters available for shellfishing. The CTDEP’s finding relied on the FEIS, which referenced anchor strikes and cable sweeps without differentiation in observing that, once sediment is released from the sea floor, it loses density and cohesiveness and becomes more susceptible to erosion. See 2006 Denial at 47. The FEIS further indicated that long-lasting depressions associated with anchor strikes and cable sweeps can act as “sediment traps,” which, in turn, can lead to “anoxic sediments that develop considerably different communities from the original deposits” and “a long-term conversion of benthic habitat.” Id. (quoting FEIS 3-65 (internal quotation marks omitted)). While the FERC concluded that remedial measures might be devised to minimize this effect, there was record evidence before the CTDEP suggesting that depressions caused by strikes and sweeps would, in fact, be long lasting. Shellfisherman Williams testified that, over a period of some four years, he had observed the persistent scarring to the seabed caused by installation of the Iroquois gas pipeline. See id. at 43. Islander East submits that, because the CTDEP approved the Iroquois pipeline as consistent with Connecticut’s water quality standards, it cannot rationally conclude otherwise with respect to Islander East’s pipeline proposal. This argument misses the essential point that the CTDEP, with the benefit of hindsight, has now concluded that the Iroquois pipeline failed to comply with the state’s water quality standards, and it is this realization that now informs its denial of the Islander East proposal. It is well recognized that “an agency must be given ample latitude to adapt [its] rules and policies to the demands of changing circumstances.” State Farm, 463 U.S. at 42, 103 S.Ct. 2856 (internal quotation marks and citations omitted). Here the changed circumstances are the observed adverse effects of the Iroquois pipeline despite the passage of time. In Islander East I, we faulted the CTDEP for failing to acknowledge that Islander East proposed to employ more advanced technology than had been available at the time of the Iroquois pipeline installation, see 482 F.3d at 103, or to “point to evidence indicating that [such improvements] would have been inadequate to avoid the topographic irregularities caused by the Iroquois installation,” id. at 104. The CTDEP has now acknowledged considerable technological advancements since the installation of the Iroquois pipeline; nevertheless, it found that Islander East’s employment of improved techniques would, at best, “minimize ... but not eliminate” the anticipated effects of “anchor strike and cable sweep impacts.” 2006 Denial at 43. Substantial evidence supports the CTDEP’s finding that the technological and methodological advances that distinguish the Islander East pipeline proposal from the Iroquois pipeline would not sufficiently reduce the risk of damage caused by anchor strikes and cable sweep to avoid the loss of the existing and designated shellfishing use of a significant area. In the face of scientific or technical uncertainty as to the scope of adverse effects from proposed action, nothing in the APA prevents an agency from considering a “worst case” scenario. Cf. New York v. Reilly, 969 F.2d 1147, 1152 (D.C.Cir.1992) (“[E]ven if [agency’s] prediction did take into account the worst case scenario, its action would be permissible.”). Thus, we cannot conclude that the CTDEP’s consideration of the adverse consequences of the Iroquois pipeline installation in issuing the 2006 Denial was arbitrary or capricious. Islander East further argues that it was arbitrary and capricious for the CTDEP to deny it certification despite, in 2002, allowing the Cross Sound Cable Company to bury heavy power transmission cables beneath Long Island Sound. The latter project is distinguishable in at least two important respects. First, it does not appear to have presented significant problems of anchor strikes and cable sweeps. The narrower trench needed to accommodate power cables was dug, not with a mechanical plow towed by barges, but with a “Smartjet” rig, a remotely operated vessel that used “pressurized water to fluidize sediments into which the ... cables would settle.” Conn. Siting Council, Finding of Facts, Dkt. No. 208 at 13 (Jan. 3, 2002); see also Task Force on Long Island Sound, Comprehensive Assessment and Report, Part II, Environmental Resources and Energy Infrastructure of Long Island Sound at 78 (June 3, 2003) (“Task Force Report”). The schematics attached to the Cross Sound Cable Company’s permit application indicate a 100-foot “work corridor,” with no mention of an “anchor corridor” or indication of anchor use. See CTDEP, Permit No. 200102720-MG (Mar. 17, 2002). Second, while the Cross Sound Cable project traversed shellfishing beds, the beds at issue were dormant with no evidence of foreseeable future use. The record indicated that the cable path traveled 3.75 miles along an existing navigation route, the Federal Navigation Channel, in order “to substantially avoid cultivated shellfish beds.” Task Force Report at 78. To the extent shellfish beds were delineated within the Federal Navigation Channel, they were “not now, and have not been actively cultivated for at least the previous five years.” Conn. Siting Council, Findings of Fact at 21. Thus, in contrast to this case, where the CTDEP found that Islander East’s pipeline project would cause a long-term loss of shellfishing beds in existing or foreseeable future use, the Cross Sound Cable project implicated only dormant beds that were expected to remain so. Where circumstances are thus distinguishable, the different CTDEP rulings do not demonstrate arbitrary or capricious decision-making. See State Farm, 463 U.S. at 42, 103 S.Ct. 2856. In sum, in light of the totality of the evidence supporting the CTDEP’s finding of lost use, as well as its finding that Islander East had failed to demonstrate that it would (or even could) restore the scarred seabed within a reasonable time to its pre-installation condition, we conclude that the agency did not act arbitrarily or capriciously in denying a water quality certification to build the pipeline. b. Engineered Backfill While the CTDEP’s findings as to the lost shellfishing use caused by anchor strikes and cable sweeps, by itself, warrants our denial of Islander East’s petition, that conclusion is further supported by the agency’s identified concerns regarding the ability of engineered backfill to restore 5.5 acres of shellfish habitat that would be destroyed by dredging the exit pit and the adjoining mile-long trench. See 2006 Denial at 65-69, 81. Once again, the CTDEP’s concern derives from the site of the proposed pipeline. The exit pit and trench would be dredged in nearshore waters, 13 to 20 feet deep, that are used and designated for shellfishing. Although Islander East had originally planned to mound dredged material adjacent to the pit and trench for subsequent backfill, evidence indicated that waves and wind-generated currents in the affected waters posed a serious risk of dispersing sidecast spoil into the water, resulting in sedimentation. See id. at 36. Apparently, sediment deposits a few millimeters thick may smother some benthic species, including “juvenile oysters.” Id. at 51-52 (citing Letter from John C. Ro-berge, Roberge Associates Coastal Engineers, LLC, to John Opie, First Selectman, Town of Branford at 2 (Feb. 4, 2004)). To alleviate these concerns, Islander East proposed to remove the dredged sediment and to use an engineered material consisting of small rocks and sand to refill the trench. In denying certification, the CTDEP noted “[djiscrep-ancies in the record” regarding the precise composition of this engineered material, which made it impossible to assess “the full extent of resulting sedimentation” and the “scour resistance” of the backfill. Id. at 38-39. More important, the CTDEP noted that no “reasonable prediction of benthic community establishment” could be made without knowing “the exact sediment grain size difference between the existing native substrate” that would be removed “and the new backfill” that would replace it. Id. at 39. Islander East concedes what the record confirms, i.e., that “[t]he composition of the backfill is unresolved.” Petitioner’s Br. at 28; see 2006 Denial at 36-37 (comparing Islander East proposal to use sand on top of rock or gravel less than 4 inches in diameter with Haley & Aldrich Report recommending no more than 2-inch diameter gravel together with .187-inch coarse sand and small percentage of fine sand). Nevertheless, it submits that it should not be denied a permit for its good faith efforts to mitigate the CTDEP’s concerns about the sedimentation of dredged materials. Islander East’s argument might be persuasive if the CTDEP had imposed a supplemental condition on an otherwise meritorious certification application. But that is not the case. It is undisputed that the usual practice of casting dredged spoil to the side of a trench for subsequent backfill raised legitimate concerns about sedimentation along the proposed pipeline route. Thus, Islander East’s application was not meritorious without the inclusion of a concrete proposal for adequate backfill mitigation measures. In proposing alternative backfill materials to carry its certification burden, Islander East introduced new concerns about the suitability of foreign backfill as shellfish habitat. It was not arbitrary or capricious for the CTDEP to have noted those concerns or to have sought them resolution preliminary to granting certification. In Islander East I, we faulted the CTDEP for failing both to cite record evidence supporting its summary conclusion that engineered backfill would “permanently degrade the benthic substrate along the pipeline route,” 482 F.3d at 102, and to acknowledge evidence suggesting likely recovery, see id. at 102-03. The agency has now addressed both points at length, explaining why it gave “little weight” to those studies predicting rapid restoration of shellfish habitat based on seabed recovery from natural disturbances. 2006 Denial at 66. The CTDEP expressed no reason to doubt that, under perfect circumstances, in the native substrate, benthic organisms would eventually recover. The three to five year recovery predictions offered in the above-referenced scientific studies are generally based on observations of benthic community succession following dredging or other disturbances such as storm events which redeposit [] naturally-occurring sediment which is not the case with the activity proposed by Islander East. The habitat needs to recover before the benthic organisms can recolonize the area.... [T]he primary factor in recovery time is first obtaining habitat suitability. Id. at 67 (emphasis in original). Moreover, the agency noted no available studies “that offer predictions on benthic colonization in an entirely new, and very different material than the native substrate.” Id. at 68. Observing that the native substrate to be displaced by Islander East’s proposed pipeline consisted of compact, fine-grained sediments, see id. at 69, the CTDEP cited evidence indicating that the replacement of such material with a predominantly rocky backfill would not only deprive soft shellfish of a medium into which they could burrow, it would also attract shellfish predators, see id. at 6, 68-69 (citing comments of John H. Volk, Connecticut Department of Agriculture). Although Islander East submitted a report indicating that rocky backfill could actually promote habitat diversity by “improving] conditions for two valuable commercial species, oyster and lobster,” TRC Envtl. Corp., Evaluation of Benthic Impacts Associated with Islander East’s Modified Offshore Construction Techniques § 4 (Feb. 17, 2003), we cannot conclude that the CTDEP acts arbitrarily or capriciously when it fails to view a potential increase in certain shellfish species as an adequate offset for the decrease in other species, such as soft-sediment clams. This sort of balancing falls squarely within the agency’s environmental expertise, and is consistent with the federal anti-degradation mandate that “[sjpecies that are in the water body and which are consistent with the designated use ... must be protected, even if not prevalent in number or importance.” Questions and Answers on Antidegradation, in EPA, Water Quality Standards Handbook, App. G at 3 (2d ed.1994) (emphasis in original). Islander East submits that the CTDEP failed to note its alternative proposal to backfill the trench with sand, a substance that would avoid the noted predator concern. See Letter from Joe Reinemann, Islander East, to Joanne Wachholder, FERC, et al. (Apr. 17, 2003). While this evidence may demonstrate Islander East’s good faith willingness to explore alternatives, absent a further showing that a sand backfill would likely restore the affected 5.5 acres to shellfish habitat, we identify no abuse of discretion in the CTDEP’s failure specifically to address this alternative. Cf. 2006 Denial at 66, 69 (noting that original substrate was plastic and cohesive, so that, while sand would be a better back-fill than rock, it would not be as good as silt in restoring shellfish habitat). This is not to foreclose the possibility that some engineered backfill might be identified to provide adequate assurance of habitat restoration along the proposed pipeline. But in the absence of such a showing by Islander East, we conclude that the CTDEP did not act arbitrarily or capriciously in relying on the lost use attributable to b