Village of Logan v. US Department of Interior , 577 F. App'x 760 ( 2014 )


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  •                                                                     FILED
    United States Court of Appeals
    UNITED STATES COURT OF APPEALS         Tenth Circuit
    TENTH CIRCUIT                       August 25, 2014
    Elisabeth A. Shumaker
    Clerk of Court
    THE VILLAGE OF LOGAN,
    Plaintiff - Appellant,
    v.
    No. 13-2082
    UNITED STATES DEPARTMENT OF                      (D.C. No. 1:12-CV-00401-WJ-LFG)
    INTERIOR; THE HONORABLE SALLY                                (D. N.M.)
    JEWELL, in her capacity as Secretary,
    Department of the Interior; THE
    BUREAU OF RECLAMATION; THE
    HONORABLE MICHAEL L. CONNOR,
    in his capacity as Commissioner, The
    Bureau of Reclamation; EASTERN NEW
    MEXICO WATER UTITLITY
    AUTHORITY,
    Defendants - Appellees.
    ORDER AND JUDGMENT*
    Before HARTZ, EBEL, and PHILLIPS, Circuit Judges.
    Plaintiff-Appellant the Village of Logan (“Logan”) appeals from the district court’s
    order denying Logan a preliminary injunction to prevent Defendants-Appellees the
    *
    This order and judgment is not binding precedent, except under the doctrines of
    law of the case, res judicata, and collateral estoppel. It may be cited, however, for its
    persuasive value consistent with Fed. R. App. P. 32.1 and 10th Cir. R. 32.1.
    Department of Interior, the Bureau of Reclamation, and the Eastern New Mexico Water
    Utility Authority as well as a number of individual defendants (collectively “Defendants”)
    from undertaking any work on the Eastern New Mexico Rural Water System Project until
    they prepare an Environmental Impact Statement in compliance with the National
    Environmental Policy Act of 1969. The district court refused to enjoin the Project
    preliminarily not only because the court found that delaying the Project would be contrary
    to the public interest, but also because Logan had failed to establish that it was likely to
    succeed on the merits of its underlying claims. Exercising jurisdiction under 
    28 U.S.C. § 1292
    (a)(1), we AFFIRM.
    BACKGROUND
    The Canadian River Compact (“Compact”) allocates water from the Canadian River
    watershed to the states of New Mexico, Oklahoma, and Texas. Following its ratification,
    New Mexico constructed the Ute Reservoir (“Reservoir”) on the Canadian River just west
    of Logan as a way to store the water New Mexico had been allocated under the Compact.
    Although the Reservoir was initially intended as a source of water for municipal and
    industrial use—and more specifically, as a way to replace the declining ground water
    supply in eastern New Mexico—it has since become a popular destination for outdoor
    recreation activities such as boating, fishing, and camping. The Reservoir is owned and
    operated by the New Mexico Interstate Stream Commission (“ISC”). While the Compact
    regulates the amount of water that can be stored in the Reservoir, it is the ISC that
    2
    determines how much water can be removed from the Reservoir. That authority,
    however, is constrained by a 1962 Memorandum of Agreement (“Agreement”), entered
    into by the ISC and a predecessor of the New Mexico Department of Game and Fish
    (“NMDGF”), establishing a minimum reservoir elevation of 3,741.6 feet. Also referred to
    as the “fisheries minimum pool,” this water elevation must be maintained at all times,
    meaning that the ISC is required to stop all withdrawals from the Reservoir once that
    elevation is reached. The Agreement was most recently renewed in 2010.
    Following a sustainable yield analysis, the ISC determined that up to 24,000
    acre-feet per year of water (AFY) can safely be removed from the Reservoir. Since 1997,
    the entire yield of the Reservoir has been contracted to the Ute Reservoir Water
    Commission (“UWC”), which has the option to purchase up to 24,000 AFY for beneficial
    consumptive uses, including municipal and industrial, sanitation, irrigation, and recreation
    uses. The UWC is a twelve-member consortium that includes the Eastern New Mexico
    Water Utility Authority (“ENMWUA”) members (the municipalities of Clovis, Elida,
    Grady, Melrose, Portales, and Texico; and Curry and Roosevelt counties) and the UWC
    Quay County entities (Logan, City of Tucumcari, and Quay County). Under the
    most-current iteration of the contract, 16,450 AFY is allocated to the ENMWUA members
    and the remaining 7,550 AFY is allocated to the UWC Quay County entities. While the
    UWC is responsible for funding and constructing any water diversion or conveyance
    facilities, the contract makes clear that all diversion projects, and any water withdrawals
    3
    themselves, must be approved by the ISC. To this end, the contract provides that the
    UWC’s right to purchase water is subject to the availability of water, and that the ISC is
    solely responsible for determining whether water is available. Should the Reservoir drop
    below the 3,741.6-foot minimum elevation set by the Agreement, for instance, the ISC can
    determine that water is not available and discontinue deliveries under the contract.
    The Eastern New Mexico Rural Water System Project (“Project”) was conceived as
    a way to provide the ENMWUA members and Canon Air Force Base (collectively the
    “Participating Communities”) with a long-term sustainable municipal water supply,
    including drinking water. At this time, the Participating Communities’ sole source of
    water is ground water from the Ogallala aquifer, which underlies portions of New Mexico,
    Texas, Oklahoma, and Kansas and serves many other water diversion purposes—the
    largest of which is irrigated agriculture. Because historical demand has significantly
    exceeded aquifer recharge, the net result has been declining water levels throughout the
    Ogallala aquifer. These declining water levels have complicated the Participating
    Communities’ ability to provide a reliable water supply in two ways, one quantitative and
    one qualitative. As the water levels in the acquifer have dropped, so too have well
    production rates, meaning that there is simply less water to be had. Equally troublesome,
    however, is that water quality is also diminishing, as aquifer declines have contributed to
    increased concentrations of constituents such as total dissolved solids, arsenic, fluoride,
    iron, radon, and volatile organic compounds in the ground water. Indeed, four of the
    4
    Participating Communities are already experiencing difficulty complying with state and
    federal drinking water standards.
    The goal of the Project is to construct a pipeline and the associated intake, pumping,
    treatment, storage, and delivery facilities necessary to deliver 16,450 AFY from the
    Reservoir to the Participating Communities in order to meet a portion of their current and
    future water supply needs. Although the Project’s intake structure has been designed, at
    the request of New Mexico state legislators, to allow for up to 24,000 AFY in withdrawals
    in order to accommodate the UWC Quay County entities in the event that they exercise
    their option to purchase the 7,550 AFY that has been separately allocated to them, delivery
    systems for such withdrawals are not planned or permitted at this time and are not part of
    the Project. Indeed, other than the intake structure, the remaining components of the
    Project (including all pipes, booster pumps, and water treatment facilities) have been
    designed and funded to deliver only a maximum of 16,450 AFY from the Reservoir to the
    Participating Communities. In other words, if at some point the UWC Quay County
    entities elect to purchase water that has been allocated to them, they will need to design,
    fund, and construct their own delivery project(s) in order to withdraw any water from the
    Reservoir using the Project’s intake structure.
    When Congress authorized the Bureau of Reclamation (“Reclamation”) to provide
    financial and technical assistance to the Project, it triggered the National Environmental
    Policy Act (“NEPA”), requiring Reclamation to prepare an Environmental Assessment
    5
    (“EA”) studying the Project’s environmental impacts. Reclamation began the NEPA
    scoping process in September 2007, when it asked members of the public and various
    government officials—including Logan’s Village Administrator—to help Reclamation
    identify, among other things, “[t]he important issues, resources concerns, and possible
    impacts to be addressed in the EA.” Aplt. App. at 599. Neither the Village
    Administrator nor any other Logan representative responded to Reclamation’s request.
    Reclamation continued to scope the Project by holding a series of public meetings in
    Logan, Clovis, and Portales, where it once again sought and received input on which issues
    should be evaluated in the EA. Although Logan’s Village Administrator was present at
    the Logan meeting, neither he nor any other Logan representative offered any comments or
    made any objections to the Project at that time.
    On January 13, 2010, after considering the issues raised during scoping,
    Reclamation issued a draft EA and a Finding of No Significant Impact (“FONSI”),
    explaining that Reclamation did not intend to prepare an Environmental Impact Statement
    (“EIS”) for the Project. As relevant here, the draft EA defined the proposed federal action
    as providing funding to construct a system to deliver 16,450 AFY of water from the
    Reservoir to the Participating Communities. The draft EA also made clear that the FONSI
    was based on, among other things, the most recent ten-year bathymetric survey (from
    2002) and on forty-one years of historic hydrologic data (from 1966 to 2007).
    Reclamation’s preliminary findings were made available at public libraries and over the
    6
    internet, and Reclamation provided a public comment period on the draft EA and FONSI
    until February 19, 2010. In order to facilitate public comment, Reclamation held another
    public meeting in Logan on January 19, 2010. Logan’s Village Administrator attended
    the meeting, but again, neither he nor anyone else offered any comments on the draft EA or
    FONSI. Indeed, Reclamation received but two comments throughout the public comment
    period, one from NMDGF on potential effects to fishery resources and one from Western
    Resource Advocates on possible renewable energy sources for the Project. On January
    28, 2011, after addressing both of these comments, Reclamation issued a final EA finding
    “that there [will] be no significant impacts associated with the proposed action” and, thus,
    that “no environmental impact statement will be prepared.” Aplt. App. at 72.
    More than a year later, despite making no comments or objections to the Project at
    any time during the administrative process, Logan filed suit in federal district court seeking
    to enjoin the Project. Asserting that it was “inexplicabl[e] . . . that the massive
    construction project ‘would not result in any significant impacts to the environment,’”
    Logan alleged that Defendants had violated NEPA by failing “to take a hard look at the
    actual and potential adverse environmental consequences of the proposed Ute Lake
    Diversion Project.” First Amended Complaint, Doc. 9 at. 2-3. Logan sought a
    declaratory judgment holding that Defendants had committed eight distinct NEPA
    violations, as well as a mandatory injunction preventing Defendants from undertaking any
    work on the Project until after they completed a full EIS.
    7
    Shortly thereafter, Logan moved the district court to enter the preliminary
    injunction at issue here, which the district court denied. In a thorough and well-reasoned
    opinion, the district court held not only that Logan had failed to demonstrate a likelihood of
    success on the merits, but also that the public interest weighed in favor of denying the
    preliminary injunction. While acknowledging that Logan has an important interest in
    continued recreation at the Reservoir, the court recognized that “that interest must defer to
    the need for potable drinking water and for support for municipal and irrigation purposes.”
    Doc. 56 at 32. Logan filed a motion for reconsideration, which the district court also
    denied. Then, after timely appealing the denial of its preliminary injunction motion,
    Logan raised its prospect of injunctive relief for a third and fourth time when it requested
    both the district court and this court to enjoin the Project pending appeal. Applying
    essentially the same four-factor test that governs here, both courts again rejected Logan’s
    claim that an injunction was warranted. See Doc. 85 at 5; Tenth Circuit Order, July 2,
    2013 at 2. We now take up the district court’s denial of Logan’s underlying preliminary
    injunction motion.
    DISCUSSION
    This court reviews a district court’s decision to deny a preliminary injunction under
    a deferential abuse of discretion standard. See Utah Gospel Mission v. Salt Lake City
    Corp., 
    425 F.3d 1249
    , 1262 (10th Cir. 2005). Particular deference is owed to the district
    court’s “balancing of conflicting [preliminary injunction] factors,” Water Keeper Alliance
    8
    v. U.S. Dep’t of Defense, 
    271 F.3d 21
    , 30 (1st Cir. 2001), and the “court’s decision will not
    be disturbed unless [this] court has a definite and firm conviction that the lower court made
    a clear error of judgment or exceeded the bounds of permissible choice in the
    circumstances.” Somerlott v. Cherokee Nation Distributors, Inc., 
    686 F.3d 1144
    , 1152
    (10th Cir. 2012) (internal quotation marks omitted). Reviewing the district court’s factual
    findings for clear error and legal determinations de novo, our task is merely to determine
    whether the district court made “an arbitrary, capricious, whimsical, or manifestly
    unreasonable judgment.” Wyoming v. U.S. Dep't of Agric., 
    661 F.3d 1209
    , 1227 (10th
    Cir. 2011). Finding nothing of the sort here, we now affirm the district court’s denial of
    Logan’s preliminary injunction motion.
    I.     The district court did not abuse its discretion in denying Logan a
    preliminary injunction
    “A preliminary injunction is an ‘extraordinary and drastic remedy.’” Munaf v.
    Geren, 
    553 U.S. 674
    , 689 (2008). “In each case, courts must balance the competing
    claims of injury and must consider the effect on each party of the granting or withholding
    of the requested relief.” Winter v. Natural Res. Def. Council, Inc., 
    555 U.S. 7
    , 24 (2008)
    (internal quotation marks omitted). A preliminary injunction is “never awarded as of
    right,” 
    id.,
     but only when “the movant’s right to relief is ‘clear and unequivocal.’”
    Heideman v. S. Salt Lake City, 
    348 F.3d 1182
    , 1188 (10th Cir. 2003). In order to obtain a
    preliminary injunction, therefore, a plaintiff must establish “that he is likely to succeed on
    the merits, that he is likely to suffer irreparable harm in the absence of preliminary relief,
    9
    that the balance of equities tips in his favor, and that an injunction is in the public interest.”
    Winter, 
    555 U.S. at 20
    . “‘[C]ourts of equity should pay particular regard for the public
    consequences in employing the extraordinary remedy of injunction,’” 
    id. at 24
    , and a
    plaintiff’s failure to prove any one of the four preliminary injunction factors renders its
    request for injunctive relief unwarranted. See 
    id. at 23-24
    ; accord Sierra Club, Inc. v.
    Bostick, 
    539 F. App'x 885
    , 888-89 (10th Cir. 2013) (unpublished) (“A party seeking a
    preliminary injunction must prove that all four of the equitable factors weigh in its favor.”).
    As we explain herein, a preliminary injunction would be particularly inappropriate in this
    case because Logan has not established that any of the four factors weigh in its favor.
    a. Failing to enjoin the Project will not cause Logan to suffer
    irreparable harm
    In order to receive a preliminary injunction, the moving party must establish that it
    will suffer irreparable harm without the preliminary injunction—that is, that failing to
    grant the injunction will cause plaintiff to suffer an injury that is not “merely serious or
    substantial” but “certain, great, actual and not theoretical.” Heideman, 
    348 F.3d at 1189
    (internal quotation marks omitted). Logan asserts that it meets this prong of the
    preliminary injunction test because failing to enjoin the Project will allegedly condone
    “patent NEPA violations” and result in “actual, imminent harm . . . including loss of
    revenue, aesthetic impairment, declining property values and business devaluation, and
    degradation of the fisheries population,” Aplt. B. at 52-53. However, the injuries that
    Logan alleges as support for that assertion are inadequate to justify enjoining the Project
    10
    because Logan has not shown the asserted damages to be certain, great, actual and not
    theoretical.
    Nor can Logan make the irreparable harm showing by pointing to what it refers to as
    “the presumption of harm conferred . . . as a result of the patent NEPA violations.” Aplt.
    B. at 52. While it is true “that harm to the environment may be presumed when an agency
    fails to comply with the required NEPA procedure,” Davis v. Mineta, 
    302 F.3d 1104
    , 1115
    (10th Cir. 2002), that presumption only applies in cases where NEPA violations are likely
    to have occurred, see 
    id.
     at 115 n. 6, and as we explain below, Logan has not made that
    showing here. But even if it had, Davis also makes clear that the NEPA presumption does
    not absolve a plaintiff from having to “make a specific showing that the environmental
    harm results in irreparable injury to their specific environmental interests,” 
    id.
     And here,
    the only specific interests to which Logan points are “aesthetic impairment” and
    “degradation of the fisheries population,” Aplt. B. at 52-53—neither of which is sufficient
    to warrant injunctive relief under the circumstances.
    Although we do not doubt that causing aesthetic harm to the environment or
    degrading the fisheries population could, in some situations, result in irreparable harm,
    Valley Cmty. Preservation Comm’n v. Mineta, 
    373 F.3d 1078
    , 1086 (10th Cir. 2004), a
    preliminary injunction is warranted only if “the injury complained of is of such imminence
    that there is a clear and present need for equitable relief.” Heideman, 
    348 F.3d at 1189
    (internal quotation marks omitted). According to Logan’s own admissions, however, no
    11
    such need exists in this case. It is not necessary, or for that matter possible, to enjoin the
    underwater blasting that Logan contends degraded the Reservoir’s fisheries population
    because that blasting is now complete, see ENMWUA B. at 9, and it should go without
    saying that any harms allegedly resulting from past detonation activities cannot be
    relieved, let alone prevented, by enjoining the Project at this point. After all, “[t]he
    purpose of a preliminary injunction is not to remedy past harm but to protect plaintiffs from
    irreparable injury that will surely result without their issuance.” Schrier v. Univ. of Colo.,
    
    427 F.3d 1253
    , 1267 (10th Cir. 2005).
    Logan’s “aesthetic impairment” allegation is similarly inadequate to meet the
    irreparable harm showing, but for essentially the opposite reason: it is simply too
    speculative to warrant enjoining the Project at this time. For one thing, Logan makes no
    attempt to appraise this court of any evidence showing what aesthetic damage will occur,
    where it will occur, how it will occur, or when it will occur—it merely posits that such
    harm will result. Such ipse dixit, however, is an insufficient basis to enjoin a project
    which, as we explain in the next section, is vital to the public interest. See Schrier, 
    427 F.3d at 1267
    . Further, Logan freely admits that the Project will not be completed and
    operational “for at least a decade.” Aplt. B. at 54. Despite Logan’s protestations to the
    contrary, therefore, the harms that might potentially result from any far-in-the-future water
    withdrawals are not “of such imminence that there is a clear and present need for equitable
    relief.” Heideman, 
    348 F.3d at 1189
     (internal quotation marks omitted, emphasis in
    12
    original).
    b. The injuries that Defendants would suffer under an injunction
    outweigh the threatened injuries to Logan
    Logan has also failed to establish that “the balance of equities tips in [its] favor,”
    Winter, 
    555 U.S. at
    20—that is, that the injuries it will suffer in the absence of an
    injunction outweigh the injuries that Defendants will suffer under an injunction. See
    Awad v. Ziriax, 
    670 F.3d 1111
    , 1125 (10th Cir. 2012). We have already observed that
    Logan has failed to make an adequate showing that it will suffer future damages that could
    be remedied by an injunction at this state in the project. On the other side of the equation,
    Defendants have shown that they would suffer immediate and significant harm in the form
    of construction related delays if an injunction issues now stopping this project. The
    economic cost alone of stopping construction cannot easily be overlooked—one estimate
    puts the probable monthly cost of delaying the Project at $745,592, see Doc. 85 at 4. In
    light of the fact federal funds for the Project are capped, and given the propensity of trials
    to drag on in the federal system, enjoining the Project until after trial would impose a
    considerable financial burden on the ENMWUA. See, e.g., Wilderness Workshop v. U.S.
    Bureau of Land Mgmt., 
    531 F.3d 1220
    , 1231 (10th Cir. 2008); accord Amoco Prod. Co. v.
    Vill. of Gambell, 
    480 U.S. 531
    , 545 (1987) Perhaps more worrisome, though, is that
    stopping construction until after trial would also extend the completion date of an already
    complex and time-consuming Project. Although Logan contends that the Project’s
    ten-year timeline renders any injunction-created delays inconsequential, we disagree:
    13
    given the real need for potable drinking water in eastern New Mexico, the fact that the
    Project will take years to build is all the more reason to keep its construction on pace. See
    Valley Cmty. Pres. Comm’n, 
    373 F.3d at 1087
     (“[W]e are dealing with a
    partially-completed project, and as such, the public interest in favor of continuing the
    project is much stronger.”).
    c. Enjoining the Project would be contrary to the public interest
    Perhaps the greatest reason to deny Logan a preliminary injunction is that enjoining
    the Project would be contrary to the public interest. See Winter, 
    555 U.S. at 23
     (“A proper
    consideration of [the public interest factor] alone requires denial of the requested
    injunctive relief.”). As outlined above, the Participating Communities currently rely on
    ground water from the Ogallala aquifer for their sole source of water, and with water
    demand exceeding aquifer recharge, the long-term viability of that aquifer is being called
    into question. These dropping water levels have decreased well production rates
    throughout the Participating Communities, forcing them to build new wells or extend their
    existing wells just to find water. In some of the Participating Communities, moreover,
    drilling new wells also comes with added cost of building additional water treatment
    infrastructure, as declining water levels have hindered water quality to such an extent that
    these communities are having trouble complying with state and federal drinking water
    standards. As the district court recognized, in short, the citizens of eastern New Mexico
    have a vital need for an alternative water source that can supply “potable drinking water
    14
    and . . . support for municipal and irrigation purposes,” Doc. 56 at 32. Logan again makes
    much of the fact that the Project likely cannot fill that need for years to come, but as just
    discussed, that counsels against delaying the Project any further at this point.
    d. Logan is unlikely to succeed on the merits of its claims
    The district court denied Logan’s preliminary injunction motion primarily because
    it determined that Logan had not shown that it was likely to succeed on the merits of its
    underlying claims. See Doc. 56 at 29. As outlined on appeal, Logan’s underlying
    challenges to the Project are as follows: 1) NEPA required the preparation of a full EIS,
    rather than the less detailed EA, to have been prepared for the Project, see Aplt. B. at 29; 2)
    the EA improperly segmented the Project by defining it as an action to withdraw 16,450
    AFY, not 24,000 AFY, see 
    id. at 31
    ; 3) the EA failed to consider the “direct”
    socioeconomic effects of withdrawing 24,000 AFY from the Reservoir, see 
    id. at 39
    ; 4) the
    EA relied on stale data when concluding that the Project would not have a significant
    impact on the sustainability of the Reservoir, see 
    id. at 39
    ; 5) the EA failed to address the
    environmental impacts of the controlled blasting that was used during the construction of
    the Project’s intake structure, see 
    id. at 24
    . While the foregoing analysis makes it
    unnecessary for us to consider Logan’s likelihood of success on these claims—because
    Logan has not met any of the other three indispensable preliminary injunction factors to
    this point—we have the authority to do so nonetheless, see Winter, 
    555 U.S. at 31
    , and
    15
    believe it is appropriate to exercise that authority here given Logan’s abject failure to
    participate in the administrative process.1
    “Persons challenging an agency’s compliance with NEPA must ‘structure their
    participation so that it . . . alerts the agency to the [parties’] position and contentions,’ in
    order to allow the agency to give the issue meaningful consideration.” Dep't of Transp. v.
    Pub. Citizen, 
    541 U.S. 752
    , 764 (2004) (quoting Vermont Yankee Nuclear Power Corp. v.
    Natural Res. Def. Council, Inc., 
    435 U.S. 519
    , 553 (1978)); accord New Mexico Envtl.
    Imp. Div. v. Thomas, 
    789 F.2d 825
    , 835-36 (10th Cir. 1986) (“If EID wished that the EPA
    consider a different formula which required EPA to study other information, it had a
    responsibility to place such information in the record.”). Unless the issue with the
    proposed action is “so obvious that there is no need for a commentator to point [it] out,” or
    some other extraordinary extenuating circumstance exists, failing to raise an issue during
    1
    The parties disagree about what exactly Logan must show in order to meet the merits
    prong of the preliminary injunction test. Prior to the Supreme Court’s decision in Winter,
    this court imposed two different tests depending on the circumstances of the case: in the
    run-of-the-mill case, we required a plaintiff to show “a substantial likelihood of success on
    the merits,” Wilderness Workshop, 
    531 F.3d at 1224
     (emphasis added), but if a plaintiff
    could establish that the other three preliminary injunction factors “tip strongly in his or her
    favor,” we said the plaintiff needed only to show “questions going to the merits are so
    serious, substantial, difficult, and doubtful as to make the issue ripe for litigation and
    deserving of more deliberate investigation,” Valley Cmty. Pres. Comm’n, 
    373 F.3d at 1084
    . There is now a question whether either test survived Winter, where the Court stated
    that to meet the merits prong, a plaintiff needed to show that he was “likely to succeed on
    the merits,” 
    555 U.S. at 20
    . But we need not resolve that question here because Logan has
    shown neither that the other three factors tip strongly in its favor nor that it is likely, let
    alone substantially likely, to succeed on the merits.
    16
    the administrative proceedings precludes a plaintiff from later raising that objection for the
    first time in court. Pub. Citizen, 
    541 U.S. at 764-65
    . Simply put, in other words, courts
    will not entertain any NEPA challenge that could reasonably have been but was not
    presented to the agency during the administrative process. See Silverton Snowmobile
    Club v. U.S. Forest Serv., 
    433 F.3d 772
    , 785 (10th Cir. 2006); accord Am. Frozen Food
    Inst. v. Train, 
    539 F.2d 107
    , 134 (D.C. Cir. 1976). (“What the industry failed to present to
    the Administrator during rule-making procedures when specifically asked to comment
    cannot now be urged [as] a basis for invalidation [of the rule].”). “The policy behind such
    a rule, i.e., refusal to consider issues not presented to the agency, is sound, for we may not
    substitute our judgment for that of the agency on matters where the agency has not had an
    opportunity to make a factual record or apply its expertise.” Thomas, 
    789 F.2d at 835
    .
    Applying this well-settled rule to the circumstances presented here, we must reject
    as waived the majority of Logan’s challenges to the Project. Although Logan now asserts
    that the Project requires a full EIS rather than a mere EA, the draft EA and FONSI made
    clear that no EIS was going to be prepared for the Project. See Aplt. App. at 72. By not
    objecting to the FONSI during the administrative process, Logan forfeited its right to raise
    that objection for the first time in court. See Silverton Snowmobile Club, 
    433 F.3d at 785
    (finding waiver of the same). Because the draft EA also made clear that the Project was
    defined as an action to deliver up to 16,450 AFY from the Reservoir to the Participating
    Communities, and Logan never challenged the defined scope of the Project at any time
    17
    during the administrative process, Logan is likewise precluded from now arguing that the
    Project should have been defined and analyzed as a project to deliver up to 24,000 AFY
    from the Reservoir. For similar reasons, moreover, Logan also forfeited its third
    challenge to the Project: although Logan now contends that the EA is deficient because it
    labeled as “cumulative” and not “direct” the socioeconomic effects of withdrawing 24,000
    AFY from the Reservoir, the draft EA made clear that its direct impact analysis would be
    capped at withdrawals up to 16,450 AFY.
    Foreclosing judicial review of an agency action is no doubt a drastic remedy, but we
    are convinced it is the appropriate action under the circumstances. This is not a case
    where the individual challenging the agency’s compliance with the NEPA process was
    prevented from participating, or was otherwise unable to participate, in that process.
    Much to the contrary, Defendants actually involved Logan at every step of the
    administrative process, including by requesting its input on the Project by letter and by
    inviting it to attend multiple public meetings on the Project in Logan itself. Yet, despite
    receiving that correspondence and attending those meetings, Logan never made any
    comments or objections to the Project at any time during the administrative process.
    Indeed, as Logan’s Village Administrator would later admit, “[t]he reason the Village of
    Logan made no effort to challenge the proposed pipeline during the EA process was
    because we made a conscious decision to not take any steps to challenge the pipeline.”
    Aplt. App. at 1030. Logan asserts that that decision was based on its belief that the ISC
    18
    had agreed to raise the minimum fisheries pool from 3,741.6 feet to 3,765 feet—an
    agreement that Defendants say never existed—but we fail to see how that understanding
    could possibly save Logan’s claims when “the EA clearly referred to the original, lower
    minimum pool, rather than [Logan’s] preferred, higher level.” Doc. 56 at 6. As the
    district court recognized, in other words, just “[b]ecause Plaintiff believed that lower
    minimum would not be enforced does not change Defendants’ analysis of the Project’s
    impact at that level.” 
    Id.
     More simply, it matters not why Logan chose not to participate
    in the NEPA process; having consciously made that choice, Logan must now live with it.
    Once these waiver principles are applied, Logan only asserts two challenges to the
    EA that are properly before this court—neither of which is likely to succeed on the merits.
    Although Logan cannot be said to have waived its claim that the EA relied on stale data
    when concluding that the Project would not have a significant impact on the sustainability
    of the Reservoir—because Logan bases that claim on a 2012 study that only became
    available after the public comment period closed—Defendants likewise cannot be faulted
    for failing to consider a study that was published after the EA was published in 2011. See
    Am. Mining Congress v. Thomas, 
    772 F.2d 617
    , 626 (10th Cir. 1985) (“[T]he agency's
    action must be reviewed . . . on the evidence and proceedings before the agency at the time
    it acted.”). In any event, moreover, the district court also rejected the factual premise of
    Logan’s stale data claim, finding “that the accumulation projected in the EA matched the
    accumulation documented in the 2012 study,” Doc. 56 at 16, and Logan has given us no
    19
    reason to adjudge that finding clearly erroneous. All that remains, then, is Logan’s claim
    that the controlled blasting used to construct the Project’s intake structure “is a significant
    impact that was omitted in the EA process and one that, in and of itself, compels an EIS
    analyzing all environmental impacts,” Aplt. B. at 28-29. As we alluded to above,
    however, requiring Defendants to supplement the EA to study the impacts of controlled
    detonation after that controlled detonation has already occurred “would be futile.” See
    Highway J Citizens Grp. v. Mineta, 
    349 F.3d 938
    , 960 (7th Cir. 2003). For the foregoing
    reasons, therefore, Logan is unlikely to succeed on the merits of its claims.2
    CONCLUSION
    Having determined that Logan failed to establish that any of the four preliminary
    injunction factors weigh in its favor, we now AFFIRM the district court’s denial of
    Logan’s preliminary injunction motion.
    ENTERED FOR THE COURT
    David M. Ebel
    Circuit Judge
    2
    Appellant’s Motion to Supplement the Record is denied.
    20