Entek GRB v. Stull Ranches , 840 F.3d 1239 ( 2016 )


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  •                                                                           FILED
    United States Court of Appeals
    Tenth Circuit
    November 8, 2016
    PUBLISH
    Elisabeth A. Shumaker
    UNITED STATES COURT OF APPEALS Clerk of Court
    TENTH CIRCUIT
    ENTEK GRB, LLC,
    Plaintiff - Appellee,
    v.
    No. 15-1267
    STULL RANCHES, LLC,
    Defendant - Appellant.
    Appeal from the United States District Court
    for the District of Colorado
    (D.C. No. 1:11-CV-01557-PAB-KLM)
    Dudley W. Von Holt (Bruce D. Ryder and James M. Cox with him on the briefs),
    of Thompson Coburn LLP, St. Louis, Missouri, for Defendant-Appellant.
    Jonathan S. Franklin of Norton Rose Fulbright, US LLP, Washington, D.C.
    (Robert D. Comer of Norton Rose Fulbright, US LLP, Denver, Colorado, with
    him on the brief) for Plaintiff-Appellee.
    Before KELLY, BRISCOE, and GORSUCH, Circuit Judges.
    GORSUCH, Circuit Judge.
    Law of the case doctrine permits a court to decline the invitation to
    reconsider issues already resolved earlier in the life of a litigation. It’s a pretty
    important thing too. Without something like it, an adverse judicial decision
    would become little more than an invitation to take a mulligan, encouraging
    lawyers and litigants alike to believe that if at first you don’t succeed, just try
    again. A system like that would reduce the incentive for parties to put their best
    effort into their initial submissions on an issue, waste judicial resources, and
    introduce even more delay into the resolution of lawsuits that today often already
    take long enough to resolve. All of which would “gradual[ly] undermin[e] . . .
    public confidence in the judiciary.” McIlravy v. Kerr-McGee Coal Corp., 
    204 F.3d 1031
    , 1035 (10th Cir. 2000); Charles Alan Wright et al., 18B Fed. Prac. &
    Proc. Civ. § 4478 (2d ed. 2002) (the doctrine embodies “[t]he basically simple
    principle of disciplined self-consistency”).
    To us this appeal appears a textbook case for the doctrine’s application.
    Two years ago, Entek appealed a district court decision holding that it could not
    cross Stull’s surface estate to access minerals lying under other estates in the
    same unitized area. Stull defended the district court’s decision on two grounds.
    First, it said the doctrine of issue preclusion mandated the result. Second and
    besides, it said the district court’s judgment was right on the merits because
    nothing in the Mineral Leasing Act (MLA) permitted Entek the access it sought.
    This court rejected both arguments for affirmance and returned the matter to the
    district court. See Entek GRB, LLC v. Stull Ranches, LLC, 
    763 F.3d 1252
    (10th
    Cir. 2014) (“Entek I”). Eventually and following this court’s guidance, the
    -2-
    district court entered judgment for Entek. All the same, in this second appeal
    Stull invites us to reconsider many of the same issues we considered and resolved
    in the first appeal. Law of the case doctrine rightly bars the way, precluding the
    relitigation of issues either expressly or implicitly resolved in prior proceedings
    in the same court. See Dobbs v. Anthem Blue Cross & Blue Shield, 
    600 F.3d 1275
    , 1280 (10th Cir. 2010) (“[T]he law of the case doctrine applies to issues
    previously decided, either explicitly or by necessary implication.” (internal
    quotation marks omitted)); Wright et al., supra, § 4478 (“The decision of an issue
    need not be express to establish the law of the case. Implicit decision suffices.”).
    To be sure, Stull seeks to persuade us that the issues it wishes to pursue are
    really new ones, matters neither explicitly nor implicitly passed on in the first
    appeal. But with one possible exception we will come to in a moment, we don’t
    see it.
    Consider Stull’s first and primary argument. Stull says that a “savings
    clause” adopted as part of the MLA in 1946 guaranteed that its surface rights
    would never be invaded. But the statutory language Stull points to says simply
    that the MLA doesn’t “affect any right acquired under the law as it existed” and
    that any such right “shall be governed by the law in effect at the time of its
    acquisition.” An Act to Amend the Mineral Leasing Act of Feb. 25, 1920, Pub. L.
    No. 79-696, § 15, 60 Stat. 950, 958 (1946). That, of course, invites the question:
    what rights did Stull have at the time of the MLA’s amendment in 1946? The
    -3-
    parties do not dispute that Stull’s pre-1946 surface patents came subject to an
    express reservation allowing the government to “prospect for, mine, and remove”
    subsurface minerals pursuant to the Stock-Raising Homestead Act of 1916. And
    the last time this case was before this court we expressly held that the 1916 Act
    reserved to the government the right to enter and use “so much of the surface” as
    might be “reasonably incident” to mine and remove minerals — and to enact
    future laws regarding the disposition of the mineral estate, including laws
    permitting Entek to traverse Stull’s surface estate. Entek 
    I, 763 F.3d at 1254
    (quoting 43 U.S.C. § 299(a)). So it is that, in the end, we could not rule for Stull
    in this appeal without revisiting and revising our judgment in the last appeal
    concerning the effect of the 1916 Act and later laws passed under its terms.
    Much the same story repeats itself when we approach three of Stull’s other
    arguments. First, Stull suggests that the Secretary of the Interior lacks statutory
    authority under 30 U.S.C. § 226(m) to alter surface access rights in unitized areas
    for purposes of mineral exploration. But the last time the case was here we
    expressly held that the statute affords the Secretary just this authority. Entek 
    I, 763 F.3d at 1255-56
    . Second, Stull contends that we should afford Chevron
    deference to an administrative interpretation of the relevant statutory law: Int’l
    Petroleum & Expl. Operating Corp., 178 I.B.L.A. 1 (2009). But we couldn’t do
    that much without abrogating our ruling last time around that this administrative
    case fails to speak at all to § 226(m) or the specific unitization agreement at issue
    -4-
    here. Entek 
    I, 763 F.3d at 1257
    n.3. Third, Stull contends that the district court
    erred in failing to hold the United States an indispensable party. But the district
    court issued its ruling on that question before the first appeal, Stull initiated a
    cross-appeal on the issue as part of the first appeal, and it then later chose to
    withdraw its cross-appeal. And under this circuit’s law of the case doctrine, “[a]
    legal decision made at one stage of litigation, unchallenged in a subsequent
    appeal when the opportunity to do so existed, [generally] becomes the law of the
    case.” Concrete Works of Colo., Inc. v. City & Cty. of Denver, 
    321 F.3d 950
    , 992
    (10th Cir. 2003).
    Of course, the decision whether to apply law of the case doctrine remains a
    matter of judicial discretion. See Messinger v. Anderson, 
    225 U.S. 436
    , 444
    (1912). As Judge Phillips once explained (if while sitting outside the circuit), we
    may exercise the discretion to entertain relitigation of settled issues when the
    failure to do so would work “a manifest injustice.” White v. Murtha, 
    377 F.2d 428
    , 431-32 (5th Cir. 1967); see also Huffman v. Saul Holdings Ltd. P’ship, 
    262 F.3d 1128
    , 1133 (10th Cir. 2001); Wright et al., supra, § 4478.
    Stull has not convinced us anything like that exists here. Stull suggests it
    was surprised the court addressed the merits issues it presented in the first appeal.
    But we don’t see how any litigant might persuasively profess surprise that a court
    would address the issues it presents for decision — or would later decline to
    consider additional supplemental arguments on those same issues that the litigant
    -5-
    could have but failed to present the first time around (or in one instance did
    present but chose to withdraw). Neither, for that matter, do Stull’s arguments
    give us reason to think that allowing our earlier panel opinion and district court
    judgment to stand would work a manifest injustice or even ensconce error, for we
    remain persuaded that the earlier panel correctly interpreted the 1916 Act and the
    Secretary’s authority under § 226(m). And while Stull suggests we may review
    the indispensable party question at any time, were we to do so here we’d only
    wind up repeating the district court’s able and ample discussion of the issue.
    So it is we will not tangle any more with these arguments. Stull had the
    chance and incentive to present them all at earlier stages in the proceedings; it has
    enjoyed vigorous representation by counsel throughout several years of
    proceedings; no one cites any new legal or factual developments that have
    intervened since the time of our last decision; and it would be unfair to Entek and
    a waste of judicial resources for this court to entertain any further new arguments
    on old issues, like some sort of extended game of litigation whack-a-mole. “The
    law of the case doctrine is intended to prevent continued re-argument . . . to avoid
    in short, Dickens’s Jarndyce v. Jarndyce syndrome,” a syndrome that we would
    only risk feeding by proceeding further. 
    Huffman, 262 F.3d at 1132
    (internal
    quotation marks omitted); see also 
    McIlravy, 204 F.3d at 1035
    (“The promotion
    of judicial economy — a primary concern underlying the law of the case doctrine
    -6-
    — requires that litigants be encouraged to present all available claims and
    defenses at the earliest opportunity.”).
    As we alluded to earlier, though, one issue remains that someone could at
    least possibly suggest wasn’t addressed, explicitly or implicitly, in earlier
    proceedings. It concerns the question whether the statutory structure as applied
    here violates constitutional due process and equal protection guarantees. But
    even if law of the case doesn’t bar Stull’s way in this particular instance,
    forfeiture and waiver doctrine do. Although Stull cited due process when it
    argued before the district court that any invasion of its surface would constitute a
    taking in violation of the Fifth Amendment, Aplt. App. vol. XXXVI at 1973-74, it
    never presented to the district court the argument it presses here — that it didn’t
    receive fair notice of changes to its surface rights in violation of due process.
    This court will normally treat as forfeited or waived issues that a litigant fails to
    preserve and present in the district court. Richison v. Ernest Grp., Inc., 
    634 F.3d 1123
    , 1127-28 (10th Cir. 2011). The reasons for this general rule find illustration
    in our case too, for Stull asks us to take on the question whether a congressional
    statute violates the Constitution without the benefit of the district court’s
    judgment and with only a modest engagement between the parties on the question
    in this (second) appeal. Weighing in on such a weighty issue with so little help
    strikes us as a less than wise course. Perhaps other litigants in other cases can
    -7-
    and will press arguments along these lines. But prudence suggests that discretion
    today remains, as it so often does, the better part of valor.
    Stull replies that an out-of-circuit decision, Crocker v. Piedmont Aviation,
    Inc., 
    49 F.3d 735
    (D.C. Cir. 1995), either commands or at least encourages us to
    take up its constitutional challenge. In fact, though, the court in Crocker merely
    held that as a matter of discretion it would entertain an argument in a second
    appeal that the party, as appellee, failed to present in the first appeal. 
    Id. at 741.
    It did not suggest that the party was free to raise an issue for the first time on
    appeal without any presentation in the district court, let alone that the party
    should be absolved from this traditional adversarial obligation when it comes to a
    claim as consequential and complex as the one now laid before us. Neither, for
    that matter, does Stull give us any reason to think any error here would meet the
    plain error standard or even make the attempt to show it might. See McKissick v.
    Yuen, 
    618 F.3d 1177
    , 1189 (10th Cir. 2010).
    Affirmed.
    -8-
    No. 15-1267, Entek GRB, LLC v. Stull Ranches, LLC
    BRISCOE, Circuit Judge, concurring.
    Stull raises five separate issues. First, that our decision in Entek I
    conflicted with the MLA. Second, that the Secretary of the Interior may not alter
    surface use rights in mineral leases. Third, that we should apply Chevron
    deference to a BLM adjudicatory decision. Fourth, that Stull’s constitutional
    rights to due process and equal protection will be violated if we do not reverse.
    And fifth, that the district court should have dismissed the case under Rule 19.
    I agree that law of the case controls here to resolve most of the issues
    raised. Matters actually decided explicitly or implicitly become law of the case.
    Wilmer v. Bd. of Cty. Comm’rs, 
    69 F.3d 406
    , 409 (10th Cir. 1995) (citing Guidry
    v. Sheet Metal Workers Int’l Ass’n Local 9, 
    10 F.3d 700
    , 705 (10th Cir. 1993)).
    The balance of Stull’s issues fail because they have been waived or forfeited. I
    agree with the majority’s treatment of four of the five issues, and write only to
    more fully address Stull’s constitutional claims.
    Stull argues violations of its constitutional rights to due process, Aplt. Br.
    at 30–35, and equal protection, 
    id. at 35–37.
    As regards due process, Stull argues
    that it was entitled to notice of its rights and that “[a]ny re-interpretation of
    existing regulations and laws to take property rights” would violate due process.
    
    Id. at 30–31.
    Specifically, Stull argues that “[t]he SRHA did not provide notice
    that the government was reserving the right to cross the surface to access . . .
    other property” and that the second reserved right “concern[ed] those reserved
    minerals” under the patented land, not other land. 
    Id. at 31.
    Stull next says that
    the patent and the MLA did not give notice either. 
    Id. Then Stull
    argues that the
    BLM gave no notice when it approved or altered the FRU Agreement or the
    regulations prescribing the standard unit agreement. 
    Id. at 32–34.
    Lastly, Stull
    says “the failure to provide notice and an opportunity to be heard on the events
    concerning the FRU cannot be undone retroactively to justify a change in surface
    rights.” 
    Id. at 35.
    Stull then states that the Fifth Amendment guarantees equal protection –
    according to Stull, this means that the federal government may not “apply[]
    different standards to similarly situated individuals.” 
    Id. It argues
    that this
    guarantee has been violated by our decision in Entek I because it “creates a
    conflict between the application of SRHA and MLA rights between the courts in
    the Tenth Circuit and the Department of the Interior.” 
    Id. at 36.
    It argues that
    “[s]uch differing standards applied to similarly situated parties violates equal
    protection.” 
    Id. at 37.
    Stull made a due process argument in its brief opposing summary judgment
    for Entek: “Even if the United States had passed a law or regulation allowing a
    lessee of mineral rights to cross any surface within the FRU to reach a well on
    any other surface within the FRU (which it has not), such a law or regulation
    would violate Stull’s due process rights . . . .” Aplt. App. Vol. 36 at 1973.
    There, Stull argued that it “ha[d] a valuable surface access property right that it
    2
    can sell to oil companies” and that “[t]o deprive Stull of that property right would
    violate . . . due process . . . .” 
    Id. at 1974.
    Stull also briefly alluded to its due
    process rights in its response brief in Entek I. Entek I Aple. Br. at 20 (“Stull
    Ranches has not sold or otherwise conveyed crossing rights to Entek and there is
    no basis for judicially taking those rights.”). At face value, therefore, Stull made
    a due process argument to the district court. However, Stull’s arguments were
    conclusory and made no mention of how its due process rights were deprived. On
    appeal, Stull says it received no notice of its “change” in surface rights. Aplt. Br.
    at 35. But Stull did not mention a lack of notice as grounds for a due process
    challenge until its brief in this appeal. Thus, this argument is forfeited.
    Stull has certainly forfeited the equal protection argument by failing to
    present the argument to the district court. Perhaps Stull could not have made the
    argument before our decision in Entek I because that decision had not yet issued.
    However, Stull could plainly have foreseen the possibility that we would reverse
    in Entek I and could have brought the argument to our attention. Importantly,
    Stull did not make the argument in its petitions for rehearing or certiorari.
    Perhaps if Stull had made the argument at that point, we or the Supreme Court
    could have addressed the issue. But at this point it is barred. 1
    1
    We did not explicitly or implicitly decide either constitutional issue in
    Entek I. Therefore the law of the case is inapplicable to both arguments (and
    Entek does not argue otherwise).
    3