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England and Wales High Court (Administrative Court) Decisions |
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You are here: BAILII >> Databases >> England and Wales High Court (Administrative Court) Decisions >> Wingfield, R (On the Application Of) v Canterbury City Council [2019] EWHC 1975 (Admin) (24 July 2019) URL: http://www.bailii.org/ew/cases/EWHC/Admin/2019/1975.html Cite as: [2019] EWHC 1975 (Admin) |
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QUEEN'S BENCH DIVISION
PLANNING COURT
Strand, London, WC2A 2LL |
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B e f o r e :
____________________
THE QUEEN on the application of ELIZABETH WINGFIELD |
Claimant |
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- and - |
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CANTERBURY CITY COUNCIL |
Defendant |
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HNC DEVELOPMENTS LLP |
Interested Party |
____________________
Isabella Tafur (instructed by Legal Services) for the Defendant
Jenny Wigley (instructed by Howes Percival Solicitors) for the Interested Party
Hearing dates: 12 & 13 June 2019
____________________
Crown Copyright ©
Mrs Justice Lang:
Grounds for judicial review
i) Ground 1. The Council erred in failing to treat the development at the Chislet Site and the adjacent development at the Hoplands Site as a single project for the purposes of the Town and Country Planning (Environmental Impact Assessment) Regulations 2011 ("the EIA Regulations 2011"), read with Directive 2011/92/EU ("the EIA Directive"). The Council also erred in failing to consider whether or not the two developments should be treated as a single project.
ii) Ground 2. The Habitats Regulations Assessment ("HRA") undertaken by the Council pursuant to regulation 63 of the Conservation of Habitats and Species Regulations 2017 ("the Habitats Regulations 2017") was unlawful because:
a) It was apparent from the draft that it contained errors and omissions and was not a rigorous scientific appraisal;
b) Its approach and conclusions were contrary to the reservations expressed by Natural England in respect of the HRA for the proposed development at the Hoplands Site, and no reasons were given for departing from Natural England's advice.
iii) Ground 3. The Council failed to give adequate reasons for its decision to grant outline planning permission and/or the reasons given were irrational.
Ground 1: Single project
Planning history
The 2013 proposal was not pursued by the owners of the Chislet Site, and they subsequently sold the Chislet Site to the IP in September 2015.
The Hoplands Site
The Chislet Site
i) Socio-economic impacts (housing, education, health, community facilities, recreation and open space, job creation and the effect on the local economy);
ii) Transportation, roads and traffic;
iii) Air quality;
iv) Landscape;
v) Ecology;
vi) Archaeology and cultural heritage;
vii) Hydrology, flood risk and drainage;
viii) Ground conditions;
ix) Noise;
x) Lighting.
i) as the proposed development fell within the 7.2 km zone of influence of the Thanet Coast and Sandwich Bay SPA, where any net increase in residential development will be required to provide mitigation for disturbance of notified bird species, an appropriate financial contribution would be required towards the Strategic Access Management and Monitoring ("SAMM") Plan;
ii) the measures identified in Chapter 10 of the Environmental Statement 'Hydrology, Flood Risk and Drainage' would be required to protect the condition of the Stodmarsh designated sites. Surface water run off was a potential impact and a Sustainable Urban Drainage Strategy ("SUDS"), to manage the run off and filter pollutants, should be implemented. Natural England supported the proposed use of swales (depressions) in the ecology park to control run off.
iii) Natural England was fully supportive of the proposed ecology park, which could offer an important habitat buffer to the Stodmarsh designated sites.
iv) The application could provide opportunities to incorporate features into the design which would be beneficial to wildlife.
i) with an appropriate financial contribution to the SAMM Plan, the proposed developments would not have an adverse effect on the integrity of the Thanet Coast and Sandwich Bay SPA and Ramsar Site;
ii) the impacts of contaminated surface water run off could be suitably mitigated.
The EIA Directive and the EIA Regulations 2011
"… the environmental statement, including any further information and any other information, any representations made by any body required by these Regulations to be invited to make representations, and any representations duly made by any other person about the environmental effects of the development."
"(a) that includes such information referred to in Part 1 of Schedule 4 as is reasonably required to assess the environmental effects of the development and which the applicant can, having regard in particular to current knowledge and methods of assessment, reasonably be required to compile, but
(b) that includes at least the information referred to in Part 2 of Schedule 4."
Thus, the information required under Part 1 is such as is "reasonably required" whereas the information required under Part 2 is a mandatory minimum requirement.
"Information for inclusion in environmental statements
Part 1
1. Description of the development, including in particular:
(a) a description of the physical characteristics of the whole development and the land-use requirements during the construction and operational phases;
(b) a description of the main characteristics of the production processes, for instance, nature and quantity of the materials used;
(c) an estimate, by time and quantity, of expected residues and emissions (water, air and soil pollution, noise, vibration, light, heat, radiation, etc.) resulting from the operation of the proposed development.
2. An outline of the main alternatives studied by the applicant or appellant and an indication of the main reasons for the choice made, taking into account the environmental effects.
3. A description of the aspects of the environment likely to be significantly affected by the development, including, in particular, population, fauna, flora, soil, water, air, climatic factors, material assets, including the architectural and archaeological heritage, landscape and the inter-relationship between the above factors.
4. A description of the likely significant effects of the development on the environment which should cover the direct effects and any indirect, secondary, cumulative, short, medium and long-term, permanent and temporary, positive and negative effects of the development, resulting from:
(a) the existence of the development;
(b) the use of natural resources;
(c) the emission of pollutants, the creation of nuisances and the elimination of waste,
and the description by the applicant of the forecasting methods used to assess the effects on the environment.
5. A description of the measures envisaged to prevent, reduce and where possible offset any significant adverse effects on the environment.
6. A non-technical summary of the information provided under paragraphs 1 to 5 of this Part.
7. An indication of any difficulties (technical deficiencies or lack of know-how) encountered by the applicant in compiling the required information.
Part 2
1. A description of the development comprising information on the site, design and size of the development.
2. A description of the measures envisaged in order to avoid, reduce and, if possible, remedy significant adverse effects.
3. The data required to identify and assess the main effects which the development is likely to have on the environment.
4. An outline of the main alternatives studied by the applicant or appellant and an indication of the main reasons for his choice, taking into account the environmental effects.
5. A non-technical summary of the information provided under paragraphs 1 to 4 of this Part."
Case law
"… the question whether the development is of a category described in either Schedule must be answered strictly in relation to the development applied for, not any development contemplated beyond that. But the further question arising in respect of a schedule 2 development, the question of whether it 'would be likely to have significant effects on the environment by virtue of factors such as its nature, size or location' should, in my judgment, be answered rather differently. The proposals should not then be considered in isolation if in reality it is properly to be regarded as an integral part of an inevitably more substantial development. This approach appears to me appropriate on the language of the Regulations, the existence of the smaller development of itself promoting the larger development and thereby likely to carry in its wake the environmental effects of the latter. In common sense, moreover, developers could otherwise defeat the object of the Regulations by piecemeal development proposals."
"44. Last, as the Court of Justice has already noted with regard to Directive 85/337, the purpose of the amended Directive cannot be circumvented by the splitting of projects and the failure to take account of the cumulative effect of several projects must not mean in practice that they all escape the obligation to carry out an assessment when, taken together, they are likely to have significant effects on the environment within the meaning of article 2(1) of the amended Directive: see Commission v Ireland (Case C-392/96, [1999] EUECJ C-392/96), para 76 and Abraham v Region Wallonne (Case C-2/07, [2008] EUECJ C-2/07), para 27.
45. As regards the projects at issue in the main proceedings, it is clear from the order for reference that they are all part of the larger project "Madrid calle 30". It is for the referring court to verify whether they must be dealt with together, by virtue, in particular, of their geographical proximity and their interactions."
"52. In the present case, the geographical proximity of the five projects, their similarity, their combined effects in terms of urban traffic management and the fact that they were dealt with together at the hearing and in the development consent procedure would suggest that they should be considered together. Because all the sub-projects affect a limited sector of the urban road network, their environmental effects will in all likelihood overlap and accentuate each other, both in the construction phase and when the improved and widened roads are used."
"…The two proposed developments were functionally interdependent and can only be regarded as an "integral part" of the same development. They cannot be treated otherwise than as a single project or development and were actually considered by the committee on the same day and on the basis of cross-referenced reports. The geographical separation of something over 1km does not, in my judgment, defeat that, particularly given the link provided by the pipeline."
"36. Mr Kingston QC, for the Appellant, sought to rely on these passages in support of his submission that SKDC was obliged to assess the proposal for the link road and the proposal for the residential site as a single project. However, in my view the argument is unsustainable. It is clear from the terms of the EIA Directive that just because two sets of proposed works may have a cumulative effect on the environment, this does not make them a single "project" for the purposes of the Directive: the Directive contemplates that they might constitute two potential "projects" but with cumulative effects which need to be assessed. The passages from Ecologistas to which I have referred also contemplate that two sets of proposed works may constitute different projects for the purposes of the Directive. What these passages are directed towards is avoiding a situation in which no EIA scrutiny is undertaken at all. However, if the two proposed sets of words are properly to be assessed as two distinct "projects" which meet the threshold criteria in the Directive, there will be EIA scrutiny of the cumulative effects of the two projects.
37. It is true that the scrutiny of cumulative effects between two projects may involve less information than if the two sets of works are treated together as one project, and a planning authority should be astute to ensure that a developer has not sliced up what is in reality one project in order to try to make it easier to obtain planning permission for the first part of the project and thereby gain a foot in the door in relation to the remainder. But the EIA Directive and the jurisprudence of the Court of Justice recognise that it is legitimate for different development proposals to be brought forward at different times, even though they may have a degree of interaction, if they are different "projects", and in my view that is what has happened here as regards the application for permission to build the link road and the later application to develop the residential site.
38. The EIA Directive is intended to operate in a way which ensures that there is appropriate EIA scrutiny to protect the environment whilst avoiding undue delay in the operation of the planning control system which would be likely to follow if one were to say that all the environmental effects of every related set of works should be definitively examined before any of those sets of works could be allowed to proceed (and the disproportionate interference with the rights of landowners and developers and the public interest in allowing development to take place in appropriate cases which that would involve). Where two or more proposed linked sets of works are in contemplation, which are properly to be regarded as distinct "projects", the objective of environmental protection is sufficiently secured under the scheme of the Directive by consideration of their cumulative effects, so far as that is reasonably possible, in the EIA scrutiny applicable when permission for the first project (here, the link road) is sought, combined with the requirement for subsequent EIA scrutiny under the Directive for the second and each subsequent project. The adequacy and appropriateness of environmental protection by these means under the EIA Directive are further underwritten by the fact that alternatives will have been assessed at the strategic level through scrutiny of relevant development plans (here, the Core Strategy and Masterplan) from an environmental perspective under the SEA Directive."
"It is for the planning authority to decide the following issues:
i) Is the proposed development within Schedule 1 to the EIA Regulations?
ii) If not, is the proposed development within a description and relevant threshold in Schedule 2 and is it likely to have significant effects on the environment by virtue of factors such as its nature, size or location?
iii) In considering the questions at (ii) above, the starting point will always be the proposed development. However, the planning authority ought also to go on to consider whether there are other proposed developments in the vicinity and if so, whether they should be assessed jointly with the proposed development, as if they comprised a single Schedule 2 development. The test is whether they ought to be regarded "as part of the same substantial development" (per Davis LJ in Burridge) or whether the proposed development is "an integral part of an inevitably more substantial development" (per Simon Brown J. in Swale).
iv) If the planning authority concludes that any other developments ought not to be assessed jointly with the proposed development, as if they comprised a single Schedule 2 development, it should go on to consider whether any other developments should be included in the assessment of cumulative effects under paragraph 4 of Schedule 4."
"Where a local planning authority or the Secretary of State has to decide under these Regulations whether Schedule 2 development is EIA development the authority or Secretary of State shall take into account in making that decision such of the selection criteria set out in Schedule 3 as are relevant to the development." (emphasis added)
Thus, the decision maker must first identify the development (or project under the EIA Directive), and then apply the Schedule 3 selection criteria for screening Schedule 2 development, which include, at paragraph 1(b), the cumulation with other development. As Ms Wigley correctly submitted, consideration of other development will only be required in cases where it is relevant to do so, as reg. 4(6) provides.
"I should next point up the fact that some of the principal authorities relied on by the appellant as demonstrating the breadth of the EIA provisions are not about the scope of the EIA to be undertaken in a case where, as here, an Environmental Statement admittedly falls to be made. Rather, they address the question whether an EIA is required at all. They are "screening" rather than "scoping" positions. This is so of Kraaijeveld, Commission v Spain, Ecologistas and also Swale Borough Council ex parte RSPB [1991] 1 PLR 6, to which reference was made in the written argument. It is in this type of case, screening cases, that the courts have been concerned, energetically concerned, to put a stop to the device of using piecemeal applications as a means of excluding larger developments from the discipline of EIA. That approach cannot simply be read across to a case which is not about screening at all, but rather about the appropriate scope of an EIA."
"I do not see how Mr Willers' argument can gain any strength from European or domestic authority on EIA flawed by the splitting of projects into their constituent phases or parts - sometimes referred to as "salami slicing". The two decisions of the Court of Justice of the European Union most familiar in this context are Abraham and Ecologistas. The defect of the EIA in Abraham was that only the works of improvement to the infrastructure of the airport had been assessed, and the increased numbers of flights that would be enabled by those improvements had not (see paragraphs 26 and 42 to 46 of the court's judgment). The defect in Ecologistas was that the works for improving the Madrid urban ring road had been assessed separately, as a number of individual projects, rather than overall, as a composite whole (see paragraphs 34 to 39 and 44 to 46 of the court's judgment). This case is quite different from those. In this case there is no question of the purpose of the EIA Directive being circumvented by splitting into separate parts or phases what is truly a single project. The assessment here was of the whole project, not merely parts of it."
Conclusions
i) Common ownership - where two sites are owned or promoted by the same person, this may indicate that they constitute a single project (Larkfleet at [60]);
ii) Simultaneous determinations - where two applications are considered and determined by the same committee on the same day and subject to reports which cross refer to one another, this may indicate that they constitute a single project (Burridge at [41] and [79]);
iii) Functional interdependence - where one part of a development could not function without another, this may indicate that they constitute a single project (Burridge at [32], [42] and [78]);
iv) Stand-alone projects - where a development is justified on its own merits and would be pursued independently of another development, this may indicate that it constitutes a single individual project that is not an integral part of a more substantial scheme (Bowen-West at [24 - 25]).
"…apart from that point in time in 2013 … there has been no joint collaboration or working in relation to the two sites. They have both been promoted separately through the Development Plan process and have both been the subject of separate planning applications … [which] clearly envisage both sites being developed as stand alone proposals without any joint masterplanning for the two sites. The sites have separate accesses and have no combined drainage strategy arrangements. The Site can and will be developed separately from Hoplands Farm and vice versa."
"Concerns have been raised by a solicitor acting on behalf of a number of residents that the Hoplands Farm development should be considered as part of the same project as the approved development on the adjacent Chislet Colliery site. The Council does not consider that the developments form part of the same project. The sites are owned and promoted by different bodies. The applications were considered by the Council's planning committee at different times (with the Hoplands Farm outline planning permission having been granted over a year before the Former Chislet Colliery planning permission). While the two sites lie in close proximity to one another, they are functionally independent of each other and both were justified on their own individual merits and pursued independently of the other. The Hoplands Farm outline planning application was subject to EIA, which considered the cumulative environmental impacts of the proposed development together with other developments included on the Former Chislet Colliery Site (see, for example, Table 3.1 of the Environmental Statement, which identified a proposed development of up to 400 dwellings on the Chislet Colliery site as a project to be considered in the cumulative impact assessment). The Council is therefore satisfied that the environmental information submitted with the outline planning application is adequate to assess the effects of the development on the environment and has taken that information into account in considering this subsequent reserved matters application."
Additional matters raised by the Claimant under Ground 1
"57. The D and IP have complained that the ground go beyond those set out in the SFG. However, they have dealt with any such straying in their DGR. Insofar as may be necessary, the C seeks formally to amend grounds to cover points as set out following…"
Ground 2: Habitats Regulations Assessment
i) It was apparent from the draft that it contained errors and omissions and was not a rigorous scientific appraisal;
ii) Its approach and conclusions were contrary to the reservations expressed by Natural England in respect of the HRA for the proposed development at the Hoplands Site, and no reasons were given for departing from Natural England's advice.
Legal framework
"(1) A competent authority, before deciding to undertake, or give any consent, permission or other authorisation for, a plan or project which—
(a) is likely to have a significant effect on a European site or a European offshore marine site (either alone or in combination with other plans or projects), and
(b) is not directly connected with or necessary to the management of that site,
must make an appropriate assessment of the implications of the plan or project for that site in view of that site's conservation objectives.
(2) A person applying for any such consent, permission or other authorisation must provide such information as the competent authority may reasonably require for the purposes of the assessment or to enable it to determine whether an appropriate assessment is required.
(3) The competent authority must for the purposes of the assessment consult the appropriate nature conservation body and have regard to any representations made by that body within such reasonable time as the authority specifies.
(4) It must also, if it considers it appropriate, take the opinion of the general public, and if it does so, it must take such steps for that purpose as it considers appropriate.
(5) In the light of the conclusions of the assessment, and subject to regulation 64, the competent authority may agree to the plan or project only after having ascertained that it will not adversely affect the integrity of the European site or the European offshore marine site (as the case may be).
(6) In considering whether a plan or project will adversely affect the integrity of the site, the competent authority must have regard to the manner in which it is proposed to be carried out or to any conditions or restrictions subject to which it proposes that the consent, permission or other authorisation should be given.
….."
"the triggering of the environmental protection mechanism provided for in Article 6(3) of the Habitats Directive does not presume—as is, moreover, clear from the guidelines for interpreting that article drawn up by the Commission of the European Communities, entitled 'Managing Natura 2000 Sites: The provisions of article 6 of the "Habitats" Directive (92/43/EEC)'—that the plan or project considered definitely has significant effects on the site concerned but follows from the mere probability that such an effect attaches to that plan or project."
"52. As regards the concept of 'appropriate assessment' within the meaning of Article 6(3) of the Habitats Directive, it must be pointed out that the provision does not define any particular method for carrying out such an assessment.
53. None the less, according to the wording of that provision, an appropriate assessment of the implications for the site concerned of the plan or project must precede its approval and take into account the cumulative effects which result from the combination of that plan or project with other plans or projects in view of the site's conservation objectives.
54. Such an assessment therefore implies that all the aspects of the plan or project which can, either individually or in combination with other plans or projects, affect those objectives must be identified in the light of the best scientific knowledge in the field. Those objectives may, as is clear from Articles 3 and 4 of the Habitats Directive, in particular article 4(4), be established on the basis, inter alia, of the importance of the sites for the maintenance or restoration at a favourable conservation status of a natural habitat type in annex I to that Directive or a species in annex II thereto and for the coherence of Natura 2000, and of the threats of degradation or destruction to which they are exposed …..
56. It is therefore apparent that the plan or project in question may be granted authorisation only on the condition that the competent national authorities are convinced that it will not adversely affect the integrity of the site concerned."
"29. That provision thus prescribes two stages. The first, envisaged in the provision's first sentence, requires the member states to carry out an appropriate assessment of the implications for a protected site of a plan or project when there is a likelihood that the plan or project will have a significant effect on that site …..."
"31. The second stage, which is envisaged in the second sentence of Article 6(3) of the Habitats Directive and occurs following the aforesaid appropriate assessment, allows such a plan or project to be authorised on condition that it will not adversely affect the integrity of the site concerned, subject to the provisions of Article 6(4)."
"33. Under Article 6(3) of the Habitats Directive, an appropriate assessment of the implications of a plan or project for the site concerned implies that, before the plan or project is approved, all the aspects of the plan or project which can, either individually or in combination with other plans or projects, affect the conservation objectives of that site must be identified, in the light of the best scientific knowledge in the field. The competent national authorities are to authorise an activity on the protected site only if they have made certain that it will not adversely affect the integrity of that site. That is so when there is no reasonable scientific doubt as to the absence of such effects (judgment of 8 November 2016, Lesoochranárske zoskupenie VLK, C-243/15, EU:C:2016:838, paragraph 42 and the case-law cited).
34. The assessment carried out under that provision may not have lacunae and must contain complete, precise and definitive findings and conclusions capable of dispelling all reasonable scientific doubt as to the effects of the proposed works on the protected area concerned (judgment of 25 July 2018, Grace and Sweetman, C-164/17, EU:C:2018:593, paragraph 39 and the case-law cited).
…..
43. In accordance with the case-law cited in paragraphs 33 and 34 of the present judgment, an appropriate assessment of the implications of a plan or project for a protected site entails, first, that, before that plan or project is approved, all aspects of that plan or project that might affect the conservation objectives of that site are identified. Second, such an assessment cannot be considered to be appropriate if it contains lacunae and does not contain complete, precise and definitive findings and conclusions capable of dispelling all reasonable scientific doubt as to the effects of the plan or project on that site. Third, all aspects of the plan or project in question which may, either individually or in combination with other plans or projects, affect the conservation objectives of that site must be identified, in the light of the best scientific knowledge in the field.
44. Those obligations, in accordance with the wording of Article 6(3) of the Habitats Directive, are borne not by the developer, even if the developer is, as in this case, a public authority, but by the competent authority, namely the authority that the Member States designate as responsible for performing the duties arising from that directive.
45 It follows that that provision requires the competent authority to catalogue and assess all aspects of a plan or project that might affect the conservation objectives of the protected site before granting the development consent at issue."
"41. The process envisaged by article 6(3) should not be over-complicated. As Richards LJ points out, in cases where it is not obvious, the competent authority will consider whether the "trigger" for appropriate assessment is met (and see paras 41-43 of Waddenzee). But this informal threshold decision is not to be confused with a formal "screening opinion" in the EIA sense. The operative words are those of the Habitats Directive itself. All that is required is that, in a case where the authority has found there to be a risk of significant adverse effects to a protected site, there should be an "appropriate assessment". "Appropriate" is not a technical term. It indicates no more than that the assessment should be appropriate to the task in hand: that task being to satisfy the responsible authority that the project "will not adversely affect the integrity of the site concerned" taking account of the matters set in the article. As the court itself indicated in Waddenzee the context implies a high standard of investigation. However, as Advocate General Kokott said in Waddenzee [2005] All ER (EC) 353, para 107:
"the necessary certainty cannot be construed as meaning absolute certainty since that is almost impossible to attain. Instead, it is clear from the second sentence of article 6(3) of the Habitats Directive that the competent authorities must take a decision having assessed all the relevant information which is set out in particular in the appropriate assessment. The conclusion of this assessment is, of necessity, subjective in nature. Therefore, the competent authorities can, from their point of view, be certain that there will be no adverse effects even though, from an objective point of view, there is no absolute certainty."
In short, no special procedure is prescribed, and, while a high standard of investigation is demanded, the issue ultimately rests on the judgment of the authority."
Conclusions
"I am not satisfied that there is any error of law in a decision maker making changes to drafts of an HRA before production of the final version. I accept the IP submissions which demonstrate, by reference to the documents in question, that the HRAs for Chislet and Hoplands Farm differed in relevant respects in relation to mitigation proposals, thereby accounting for NE's different approach to both (e.g. to the Emergency Plan and Construction Management Plan)".
i) On the basis that appropriate contributions to the SAMM Plan were secured, it concurred with the Council's conclusion that the proposed developments would not have an adverse effect on the integrity of the Swale SPA and Ramsar Site or the Thanet Coast and Sandwich Bay SPA and Ramsar Site.
ii) It concurred with the Council's conclusion that the impacts of contaminated surface water runoff, in both the construction and operational phase, could be suitably mitigated using the mitigation measures proposed.
iii) It concurred with the conclusion that the proposed developments would not have an adverse effect on the integrity of the European protected sites.
Additional matters raised by the Claimant under Ground 2
Conclusion