Center for Biological Diversity v. Dept. of Fish and Wildlife ( 2016 )


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  • Filed 8/10/16 Unmodified opinion attached
    CERTIFIED FOR PARTIAL PUBLICATION*
    IN THE COURT OF APPEAL OF THE STATE OF CALIFORNIA
    SECOND APPELLATE DISTRICT
    DIVISION FIVE
    CENTER FOR BIOLOGICAL                                B245131
    DIVERSITY et al.,
    (Los Angeles County
    Plaintiffs and Respondents,                   Super. Ct. No. BS131347)
    v.
    CALIFORNIA DEPARTMENT OF FISH                         ORDER MODIFYING OPINION
    AND WILDLIFE,                                         AND DENYING REHEARING
    [NO CHANGE IN JUDGMENT]
    Defendant and Appellant;
    THE NEWHALL LAND AND FARMING
    COMPANY,
    Real Party in Interest and Appellant.
    The unpublished portion of the opinion filed on July 11, 2016 is modified as
    follows:
    On page 12, the second full sentence, beginning with “In her letter,” delete “her”
    and replace with “his” and delete “she” and replace with “he.”
    *
    Pursuant to California Rules of Court, rules 8.1100 and 8.1110, this opinion was
    certified for publication with the exception of parts II, III and IV.
    There is no change in the judgment.The rehearing petition is denied.
    _____________________       ______________________         ______________________
    TURNER, P.J.                KRIEGLER, J.                   BAKER, J.
    2
    Filed 7/11/16 Unmodified opinion
    CERTIFIED FOR PARTIAL PUBLICATION*
    IN THE COURT OF APPEAL OF THE STATE OF CALIFORNIA
    SECOND APPELLATE DISTRICT
    DIVISION FIVE
    CENTER FOR BIOLOGICAL                              B245131
    DIVERSITY et al.,
    (Super. Ct. No. BS131347)
    Plaintiffs and Respondents,
    v.
    DEPARTMENT OF FISH AND
    WILDLIFE,
    Defendant and Appellant;
    THE NEWHALL LAND AND FARMING
    COMPANY,
    Real Party in Interest and Appellant.
    APPEAL from a judgment of the Superior Court of Los Angeles County, Ann I.
    Jones, Judge. Reversed with directions in part; affirmed in part.
    Office of the General Counsel, Thomas R. Gibson, General Counsel, Wendy L.
    Bogdan, General Counsel and John H. Mattox, Senior Staff Counsel; Thomas Law
    Group, Tina A. Thomas, Ashle T. Crocker and Amy R. Higuera, for Defendant and
    Appellant California Department of Fish and Game.
    Gatze Dillon & Balance, Mark J. Dillon and David P. Hubbard; Morrison &
    Foerster and Miriam A. Vogel; Nielsen Merksamer Parinello Gross & Leoni and Arthur
    *
    Pursuant to California Rules of Court, rules 8.1100 and 8.1110, this opinion is
    certified for publication with the exception of parts II, III and IV.
    G. Scotland; and Downey Brand and Patrick G. Mitchell, for Real Party in Interest and
    Appellant The Newhall Land and Farming Company.
    John Buse and Adam Keats; Chatten-Brown and Carstens, Jan Chatten-Brown and
    Doug Carstens, for Plaintiffs and Respondents Center for Biological Diversity, Friends of
    the Sara Clara River, Santa Clarita Organization for Planning and the Environment, and
    California Native Plant Society.
    Jason Weiner; Chatten-Brown and Carstens, Jan Chatten-Brown and Doug
    Carstens, for Plaintiffs and Respondents Wishtoyo Foundation/Ventura Coastkeeper.
    2
    I. INTRODUCTION
    Defendant, California Department of Fish and Wildlife (the department), and real
    party in interest, The Newhall Land and Farming Company (the developer), appeal from
    a judgment granting a mandate petition. The judgment, entered October 15, 2012, was
    granted in favor of plaintiffs: Center for Biological Diversity; Friends of the Santa Clara
    River; Santa Clarita Organization for Planning the Environment; Wishtoyo
    Foundation/Ventura Coastkeeper; and California Native Plant Society. The litigation and
    appeal arise from the department’s December 3, 2010: certification of the revised final
    environmental impact statement and impact report; approval of the Newhall Ranch
    Resource Management and Development Plan (resource management and development
    plan); the adoption of the Spineflower Conservation Plan and Master Streambed
    Alteration Agreement (streambed alteration agreement); and issuance of two incidental
    take permits. We issued an opinion reversing the October 15, 2012 judgment. (Center
    for Biological Diversity v. Department of Fish and Wildlife (2014) 
    224 Cal. App. 4th 1105
    ,
    review granted July 9, 2014, No. S217763.) Our Supreme Court granted review and,
    after issuing an opinion, remanded the case to us. (Center for Biological Diversity v.
    Department of Fish and Wildlife (2015) 
    62 Cal. 4th 204
    , 241 (Center for Biological
    Diversity).)
    In the published portion of this opinion, we will discuss the developer’s
    contention, concurred in by the department, that we should supervise compliance with a
    writ of mandate. As will be noted, the developer and the department argue we should in
    essence issue our own writ of mandate and then supervise compliance with our orders.
    3
    This contention is based upon language appearing in Public Resources Code1 section
    21186.9, subdivision (a) and our Supreme Court’s opinion. As will noted, we conclude
    we do not have that authority since we are reviewing this case on direct appeal. Our
    disposition is to reverse the judgment in part and affirm it in part.
    [Parts II, III and IV are deleted from publication. See post at page 25 where publication
    is to resume.]
    II. GREENHOUSE GAS EMISSIONS
    Our Supreme Court reached three conclusions concerning the greenhouse gas
    omission analysis in the environment impact report. In the introduction to the opinion,
    our Supreme Court identified two of the three greenhouse gas emissions issues it was
    deciding: “We conclude, first, that as to greenhouse gas emissions the environmental
    impact report employs a legally permissible criterion of significance—whether the
    project was consistent with meeting statewide emission reduction goals—but the report’s
    finding that the project’s emissions would not be significant under that criterion is not
    supported by a reasoned explanation based on substantial evidence.” (Center for
    Biological 
    Diversity, supra
    , 62 Cal.4th at p. 213.) At issue is the requirement that an
    environmental impact report classify adverse ecological effects as significant or less than
    1
    Future statutory references, unless otherwise stated, are to the Public Resources
    Code. Future references to Guidelines are to the regulatory provisions located in
    California Code of Regulations, title 14, section 15000 et seq. The Guidelines are
    promulgated by the California Natural Resources Agency to implement the California
    Environmental Quality Act. (§ 21083, subd. (e); Neighbors for Smart Rail v. Exposition
    Metro Line Construction Authority (2013) 
    57 Cal. 4th 439
    , 448, fn. 4.)
    4
    significant. (§ 21100, subd. (b)(1); Guidelines, § 15064, subd. (b); 2 Kostka & Zischke,
    Cal. Environmental Quality Act (Cont.Ed.Bar 2d ed. 2014) § 13.8, p. 13-10 (Kostka &
    Zischke).)
    First, our Supreme Court concluded that the selection of the Health and Safety
    Code section 38850 greenhouse gas omissions reduction goals as a significance criterion
    was not an abuse of discretion. (Center for Biological 
    Diversity, supra
    , 62 Cal.4th at pp.
    222-223.) Nor did our Supreme Court conclude that use of the Health and Safety Code
    section 38850 goals as a significance criterion violated Guidelines section 15064.4,
    subdivisions (b)(1) or (b)(2). The trial court, by contrast, ruled that the use of the Health
    and Safety Code section 38850 greenhouse gas omissions reduction goals was
    inappropriate. In light of our Supreme Court’s approval of the Health and Safety Code
    section 38850 greenhouse gas omissions reduction goals, this portion of the trial court’s
    judgment must be reversed.
    Second, our Supreme Court further concluded that comparing the project’s
    expected emissions to a hypothetical business-as-usual scenario was appropriate. (Center
    for Biological 
    Diversity, supra
    , at 62 Cal.4th pp. 224-225.) The trial court ruled a
    baseline assessment is the sole criterion that may be utilized in conducting greenhouse
    gas omissions analysis in an environmental impact report under our circumstances. The
    trial court ruled: “In cases in which a project is being proposed for undeveloped pieces of
    property (such as in this case), the baseline has been existing environments, rather than
    some hypothetical impacted future environment that might occur without the project.
    [Citations.] [¶] A baseline analysis of impacts on the existing environment, therefore, is
    5
    required to inform decision-makers of the magnitude (or significance) of the cumulative
    environmental impact Newhall Ranch Project on greenhouse gas omissions. Whether
    such a project would assist or defeat (or, more likely, have no effect on) the state’s efforts
    at reducing these levels is not the proper question.”
    By contrast, our Supreme Court ruled differently: “The percentage reduction from
    business as usual identified by the Scoping Plan is a measure of the reduction effort
    needed to meet the 2020 goal, not an attempt to describe the existing level of greenhouse
    gas emissions. Similarly, the [environmental impact report] employs its calculation of
    project reductions from business-as-usual emissions in an attempt to show the project
    incorporates efficiency and conservation measures sufficient to make it consistent with
    achievement of [the Health and Safety Code section 38850 ] reduction goal, not to show
    the project will not increase greenhouse gas emissions over those in the existing
    environment. As discussed earlier, distinctive aspects of the greenhouse gas problem
    make consistency with statewide reduction goals a permissible significance criterion for
    such emissions. Using a hypothetical scenario as a method of evaluating the proposed
    project’s efficiency and conservation measures does not violate Guidelines section 15125
    or contravene our decision in Communities For A Better Environment [v. South Coast Air
    Quality Management Dist. (2010) 
    48 Cal. 4th 310
    ].)” (Center for Biological 
    Diversity, supra
    , 62 Cal.4th at p. 225.) The trial court’s ruling is inconsistent with our Supreme
    Court’s baseline calculation analysis. Thus, that portion of the trial court’s ruling as
    reflected in the final statement of decision must be reversed.
    6
    Third, our Supreme Court held that the environmental impact report’s finding of
    no significant ecological impact under that criterion was not supported by substantial
    evidence. Our Supreme Court articulated its analysis on several occasions. For purposes
    of completeness, we identify the core analysis of our Supreme Court: “[W]e agree with
    plaintiffs that [the department] abused its discretion in finding, on the basis of the
    [environmental impact report’s] business-as-usual comparison, that the project’s
    greenhouse gas emissions would have no cumulatively significant impact on the
    environment. We reach this conclusion because the administrative record discloses no
    substantial evidence that Newhall Ranch’s project-level reduction of 31 percent in
    comparison to business as usual is consistent with achieving [Health and Safety Code
    section 38850]’s statewide goal of a 29 percent reduction from business as usual, a lacuna
    both dissenting opinions fail to address. Even using the [environmental impact report]’s
    own significance criterion, the [environmental impact report]’s analysis fails to support
    its conclusion of no significant impact.” (Center for Biological 
    Diversity, supra
    , 62
    Cal.4th at p. 225.)
    At another point, our Supreme Court summarized the scope of its holding: “At
    bottom, the [environmental impact report]’s deficiency stems from taking a quantitative
    comparison method developed by the Scoping Plan as a measure of the greenhouse gas
    emissions reduction effort required by the state as a whole, and attempting to use that
    method, without consideration of any changes or adjustments, for a purpose very
    different from its original design: To measure the efficiency and conservation measures
    incorporated in a specific land use development proposed for a specific location. The
    7
    [environmental impact report] simply assumes that the level of effort required in one
    context, a 29 percent reduction from business as usual statewide, will suffice in the other,
    a specific land use development. From the information in the administrative record, we
    cannot say that conclusion is wrong, but neither can we discern the contours of a logical
    argument that it is right. The analytical gap left by the [environmental impact report]’s
    failure to establish, through substantial evidence and reasoned explanation, a quantitative
    equivalence between the Scoping Plan’s statewide comparison and the [environmental
    impact report]’s own project-level comparison deprived the [environmental impact
    report] of its “‘sufficiency as an informative document.”’ (Laurel Heights Improvement
    Assn v. Regents of University of California[ (1988) 
    47 Cal. 3d 376
    ,] 392.)” (Center for
    Biological 
    Diversity, supra
    , 62 Cal.4th at p. 227.) In its conclusion, our Supreme Court
    summarized its holding, “We conclude . . . that [the department] abused its discretion by
    making the determination, without the support of substantial evidence, that the project’s
    greenhouse gas emissions would have no significant impact. . . .” (Id. at p. 240.)
    In terms of our disposition, the trial court’s ruling is reversed on two counts. First,
    the trial court’s ruling that the selection of the Health and Safety Code section 38850
    reductions as a significance criterion was an abuse of discretion is reversed. Second, that
    portion of the trial court’s ruling concluding that comparing the project’s expected
    emissions to a hypothetical business-as-usual scenario is impermissible is reversed. But
    the judgment is affirmed as to the trial court’s ruling there is no substantial evidence the
    project’s greenhouse gas emissions will not result in a cumulatively significant
    environmental impact. Once the remittitur issues, the trial court is to issue a writ of
    8
    mandate. The writ of mandate is to state that the department’s finding the project’s
    greenhouse gas emissions will have no significant impact is not supported by substantial
    evidence and reasoned discussion.
    III. MITIGATION MEASURES FOR PROTECTING THE UNARMORED
    THREESPINE STICKLEBACK
    Our Supreme Court held that mitigation measures BIO-44 and BIO-46 violate the
    Fish and Game Code section 5515 prohibition against the taking of the unarmored
    threespine stickleback. Upon remittitur issuance, a writ of mandate is to issue setting
    aside the department’s approval of BIO-44 and BIO-46. (Center for Biological 
    Diversity, supra
    , 62 Cal.4th at pp. 231-237.)
    IV. NATIVE AMERICAN CULTURAL RESOURCES AND STEELHEAD SMOLT
    ISSUES
    A. Supreme Court Remand Order
    Our Supreme Court remanded the case to us to determine whether to reconsider
    two issues concerning Native American cultural resources and the effect of dissolved
    copper on steelhead smolt. The reason for our Supreme Court’s remand order as to these
    two issues is as follows. This case involved the filing of a joint environmental impact
    statement/environmental impact report by defendant and the United States Army Corps
    of Engineers (the engineering corps). (Center for Biological 
    Diversity, supra
    , 62 Cal.4th
    at pp. 213-214, 237-238.) The National Environmental Protection Act permits public
    comment after certification of an environmental impact statement. (Id. at p. 237-238; 40
    C.F.R. §§ 1503.1(b), 1506.10(b)(2).) Here, the department responded to comments
    9
    received after preparation of the environmental impact report while jointly engaging in
    environmental review with the engineering corps. (Center for Biological 
    Diversity, supra
    , 62 Cal.4th at pp. 214, 237-238.) We held that the plaintiff’s comments were
    untimely. Our Supreme Court held that, under the facts of this case, the comments were
    timely. (Center for Biological 
    Diversity, supra
    , 62 Cal.4th at pp. 238-239.)
    However, that did not end the issue before our Supreme Court. The department
    and the developer argued that since we found substantial evidence supported the
    environmental impact report’s conclusions, our judgment should be affirmed. By
    contrast, plaintiffs argued that the entire issue should be revisited on the merits. Our
    Supreme Court ruled that we should decide whether a merits reexamination was
    warranted. (Center for Biological 
    Diversity, supra
    , 62 Cal.4th at p. 239.) We have
    reexamined the merits of the issues concerning Native American cultural resources and
    the effect of dissolved copper on steelhead smolt. We, with respect, conclude that
    substantial evidence supports the department’s conclusions and plaintiff’s assertions are
    all premised on a misapplication of the standard of review.
    B. Native American Cultural Resources
    The first issue remanded to us involves the environmental impact report’s
    discussion of Native American cultural resources. The trial court disapproved the
    environmental impact report’s Native American cultural resources discussion. Plaintiffs
    argued that the environmental impact report failed to adequately disclose evaluate or
    mitigate the projects impacts on Native American cultural resources. In our prior
    10
    opinion, we held that no grounds existed to set aside the environmental impact report’s
    certification.
    We conclude the following. As noted, our Supreme Court explained that there are
    two letters which were timely filed. The first is a August 2, 2010 letter from Chumash
    Ceremonial Elder Mati Waiya which contains an extensive attachment. Elder Waiya
    argues: there are many remnants of Chumash tribal culture present in the “[p]roject
    area”; the project’s footprint would be devastating to Chumash tribal burial, sacred and
    ceremonial sites and cultural resources such as the California condor; there were other
    burial sites other than those identified in the environmental impact report; [s]ufficient and
    reasonably diligent field surveys are necessary to identify the impacts on Native
    American cultural and historic resources”; the W&S Consultants’ report was fatally
    flawed in that it erroneously stated the Tataviam Tribe was extinct; reliance on the W&S
    Consultants’ report was thus “concerning”; and the project will drive away and kill the
    California condor which is part of Chumash tribal religious and cultural and spirituality.
    Elder Waiya concludes in part: “When I look at the river, I recall the years of going up
    and down the river with my uncle, cousin, and mother. It is one of the last wild rivers
    and holds deer, coyote, various natural and cultural resources, and our ancestors. It is
    hard to imagine destroying the [p]roject area with concrete, buildings, noise, lights and
    trash pollution. Not only does this disturb the whole natural system, but also disturbs the
    spirits of our ancestors.” Attached to Elder Waiya’s letter is a 392 page document
    entitled, “Ethonographic Overview of the Los Padres National Forest.” Prepared by
    Northwest Economic Associates for the United States Department of Agriculture, it
    11
    contains a 79-page study of Chumash and Tataviam tribal life and settlements. Elder
    Waiya’s letter only directly makes reference to page 219 of the Northwest Economic
    Associates study. In her letter, Elder Waiya identifies a map which she argues shows the
    Tataviam village was located in the project area.
    The department responded to Elder Waiya’s comments. The department’s
    responses to Elder Waiya’s comments warrant full explication and are as follows:
    accepted standards of practice were utilized in conducting archival and intensive
    pedestrian surveys; the environmental impact report identified the past presence of the
    Tataviam Tribe within the project site; despite intensive surveys and test excavations,
    there was no evidence that “hundreds upon hundreds” of Tataviam tribal sites were
    located in the project area; mitigation measures provided for the presence of an
    archaeologist if construction occurs within 300 feet of any known archaeological sites; a
    mitigation measure imposes a 50-foot buffer around any known archaeological site in the
    case of any earth disturbance; and another mitigation measure requires specified actions
    be taken if any Native American cultural resources are encountered during grading. In
    addition, the department notes that an August 2007 agreement had been entered into with
    the Fernando Tataviam Band of Mission Indians which provided funding for use in the
    development of Tataviam cultural enrichment programs; constructing a Tataviam
    interpretive cultural center; and educating the surrounding non-native community.
    Moreover, in the event of the discovery of human remains, a specified protocol must be
    followed consisting of: notification of the Los Angeles County Corner; if the remains are
    Native American, the Native American Heritage Commission is to be notified; that
    12
    commission is to identify a person who is the most likely descendent from the deceased
    Native American’s tribe; other specified steps are to be followed in compliance with
    section 5097.98 as appropriate; and reburial is to occur along with associated grave goods
    in an area not subject to further subsurface disturbance.
    In terms of the project’s impacts on the California condor, the department
    responded to Elder Waiya’s comments: “no designated critical habitat” for the species
    exists in the project site; this is because there is little suitable foraging and nesting habitat
    in the project area; this is because there is a lack of abundant prey in the project area; no
    harvesting of condor feathers occurs within the project area because it is closed to the
    public; and extensive archival data indicates that the condor never figured prominently in
    Chumash tribal culture. In addition, the department’s comments reiterate the analysis in
    the environmental impact report which indicates: in the 25 years preceding 2008, no
    condor was never observed in the project area; between 2008 and 2009, condors did land
    in the project area on several occasions; due to the lack of prey and limited foraging
    opportunities with the project area, construction activities would have no adverse impact
    on the condor; suitable foraging habitat is present in the High Country Special
    Management and Salt Creek Areas which would not be affected by the buildout within
    the specific plan’s confines; and risks to individual condor were rated as highly unlikely
    because the species rarely enters the project area. The environmental impact report
    concluded that, absent mitigation, short- and long-term secondary impacts, which include
    potential mortality from interaction with human conduct would be significant.
    13
    In addition, the department’s lengthy responses to Elder Waiya’s comments
    discussed the mitigation measures designed to protect the condor. The mitigation
    measures include: the presence of a qualified biologist during construction with the
    authority to stop any work; notification of the department in the case of condor sightings;
    training of construction workers concerning the avoidance of micro-trash which could
    have a potentially fatal impact on condors; and the removal of dead cattle to the High
    Country Special Management and Salt Creek Areas thereby reducing the risk of injury to
    condors. Other mitigation measures insured the presence of foraging habitat in the
    specific plan area: management of the habitat in the Salt Creek Area; limitations on
    utilities, which can cause injuries or death to the condor in the Salt Creek Area; the
    preservation of 1,900 acres of coastal scrub within the project site as well as in the
    specific plan area; and imposing requirements for restoration of coastal sage scrub in the
    event of invasive species, fire, erosion, drought or unforeseen events. And the mitigation
    measures included preconstruction meetings with a qualified biologist to discuss
    procedures for minimizing harm to or harassment of wildlife. Finally, the mitigation
    measures require: homeowner association educational materials concerning pets and the
    requirement they be kept on leashes; specified limitations on the construction of utility
    poles and cell and phone towers so as to reduce collisions with condors and other birds;
    and the installation of anti-perching devices to deter condors and other raptors from
    perching on antennae and phone and utility towers. As a result, the environmental impact
    report concluded that the long-term secondary impacts to the California Condor would be
    adverse but not significant.
    14
    Finally, the department responded to Elder Waiya’s comments about how the
    project would destroy the cultural landscape of the Chumash Tribe. As noted in our
    original opinion, W&S Consultants conducted an extensive physical examination of the
    entire project site. That review of the project site failed to uncover any evidence of
    Chumash Tribe artifacts. Further, the Tataviam Tribe whose territory historically
    encompassed the project site, expressed support for the proposed construction. As to
    both the California condor and historic site arguments presented by Elder Waiya, none of
    them directly addressed any issues relating to the mitigation measures.
    The second letter, authored by Jason Weiner of the Wishtoyo Foundation dated
    August 3, 2010, reiterates many of the same concerns as those expressed by Elder Waiya.
    Mr. Weiner’s analysis challenges the following aspects of the environmental impact
    report: it fails to recognize the historic presence of Chumash Tribe in the project area;
    the procedure for preserving unanticipated discovery of human remains is not in
    compliance with relevant statutory and regulatory provisions; there had been a failure to
    consult with trustee agencies regarding as required by Guidelines section 15086,
    subdivision (a)(2); the mitigation measures in connection with cultural resources are
    inadequate; and there was a failure to identify and analyze impacts in connection with
    historic sacred sites that depend on the condor’s presence. As did Elder Waiya, Mr.
    Weiner also references the Northwest Economic Associates prepared for the federal
    agriculture department.
    The department prepared a 14-page single spaced response to Mr. Weiner’s letter.
    Much of our analysis concerning Elder Waiya’s comments apply equally here. The W&S
    15
    Consultants’ study, which encompassed both archival research and archeologists walking
    the entirety of the project, constitutes substantial evidence supporting the department’s
    cultural resources conclusions. The W&S Consultants’ study uncovered no evidence of
    the Chumash Tribe’s presence in the project site. Further, the W&S Consultants’ study
    located eight prehistoric sites in the specific plan area. And, the specific plan imposes
    mitigation measures SP-4.3-1 through SP-4.3-3 and SP-5.0-21 in the case of any
    discoveries of prehistoric and historic archaeological sites and remains. The
    environmental impact report engages in a lengthy analysis of direct and indirect impacts
    on Native American cultural resources under various development scenarios. Moreover,
    the environmental impact report imposes mitigation measures CR-1a through CR-6
    which require: the protection of the two sites labeled CA-LAN-2133 and CA-LAN-2233
    from development and vandalism; in the event that either of these sites cannot be
    avoided, the data recovery mitigation program must be instituted after consultation with
    the Tataviam tribal community; strict limitations on earth disturbance within 300 feet of
    any known archaeological site; and a specified procedure to be followed in the event of
    the discovery of cultural resources during grading in the project area. Finally, mitigation
    measure CR-6 identifies procedures to be followed when any human remains are
    discovered except on a dedicated cemetery.
    Additionally, the department’s comments explain there has been full compliance
    with Guidelines section 15064.5, subdivision (d) concerning consultation with other
    agencies. The department’s comments also identify and attach letters sent to persons
    representing the interests of the various Native American tribes and documented
    16
    telephone conversations. Also attached to the department’s comments are copies of
    letters sent by the engineering corps to individuals representing Native American
    interests or other government organizations.
    The department’s responses to the Native American cultural resources comments
    fully comply with California’s statutory or regulatory and decisional requirements. A lead
    agencies written responses must describe the disposition of each significant
    environmental issue raised in the public comments. (§ 21091, subd. (d)(2)(B);
    Guidelines, § 15088, subd. (c).) The lead agency’s responses must consist of a good faith
    reasoned analysis. (Santa Clarita Organization for Planning the Environment v. County
    of Los Angeles (2003) 
    106 Cal. App. 4th 715
    , 723; Cleary v. County of Stanislaus (1981)
    
    118 Cal. App. 3d 348
    , 357.) It is insufficient for a lead agency to merely provide
    conclusory statements which are unsupported by factual information. (Laurel Heights
    Improvement Assn. v. Regents of University of California (1993) 
    6 Cal. 4th 1112
    , 1124;
    Stanislaus Natural Heritage Project v. County of Stanislaus (1996) 
    48 Cal. App. 4th 182
    ,
    191.) The lead agency must explain in detail its reasons for rejecting suggestions and
    proceeding with the project despite its environmental effects. (Laurel Heights
    Improvement Assn. v. Regents of University of 
    California, supra
    , 6 Cal.4th at p. 1124;
    Stanislaus Natural Heritage 
    Project, supra
    , 48 Cal.App.4th at p. 191.) The lead agency
    need not respond to every public comment, but it must explicitly respond to the most
    significant environmental questions raised in opposition to the project. (Browning-Ferris
    Industries v. City Council (1986) 
    181 Cal. App. 3d 852
    , 862; Environmental Protection
    Information Center, Inc. v. Johnson (1985) 
    170 Cal. App. 3d 604
    , 628.) As can be noted,
    17
    the department’s responses to the comments fully comply with the requirements imposed
    by section 21091, subdivision (d)(2)(B) and Guidelines, section 15088, subdivision (c).
    In terms of the ultimate merits of whether the department’s certification
    determination was correct, we stand by our prior opinion. In terms of the correctness of a
    lead agency’s environmental conclusions, our Supreme Court has explained: “Thus, the
    reviewing court ‘“does not pass upon the correctness of the [environmental impact
    report’s] environmental conclusions, but only upon its sufficiency as an informative
    document.”’ [Citations.] We may not set aside an agency’s approval of an
    [environmental impact report] on the ground that an opposite conclusion would have
    been equally or more reasonable.” (Citizens of Goleta Valley v. Board of Supervisors
    (1990) 
    52 Cal. 3d 553
    , 564, quoting Laurel Heights Improvement Assn. v. Regents of
    University of 
    California, supra
    , 47 Cal.3d at p. 392 and County of Inyo v. City of Los
    Angeles (1977) 
    71 Cal. App. 3d 185
    , 189.) Thus, we defer to the department’s resolution
    of conflicting opinions and evidence. (Western States Petroleum Assn. v. Superior Court
    (1995) 
    9 Cal. 4th 559
    , 572; Environmental Council of Sacramento v. City of Sacramento
    (2006) 
    142 Cal. App. 4th 1018
    , 1042.) Our standard of review is the same as that of the
    trial court. We do not review the trial court’s decision; rather, we examine the
    department’s adherence to the law and environmental conclusions. (Vineyard Area
    Citizens for Responsible Growth, Inc. v. City of Rancho Cordova (2007) 
    40 Cal. 4th 412
    ,
    426-427; Melom v. City of Madera (2010) 
    183 Cal. App. 4th 41
    , 47-48.) Every contention
    posited by plaintiffs contravenes the foregoing standard of review for a lead agency’s
    environmental conclusions.
    18
    As we explained in detail in our original opinion, substantial evidence supports the
    department’s findings concerning Native American cultural resources. As we explained
    in our prior opinion: the environmental impact report’s conclusions are based upon
    scholarly archival analysis and the Phase I and II surveys conducted by W&S
    Consultants; the W&S Consultants staff included credentialed academics; the discussion
    in the project and specific plan environmental impact reports is exhaustive; as to the
    burial locations discovered during the W&S Consultants’ surveys, the sites denominated
    CA-LAN-2133 and CA-LAN-2233 are protected by explicit mitigation measures; and in
    the unlikely event Native American resources were uncovered, the project and specific
    plan environmental impact reports’ mitigation measures impose extensive protection for
    those resources. There is no merit to plaintiffs’ arguments concerning the extent of the
    mitigation plan. As we explained in our original opinion: the extensive pedestrian
    survey revealed virtually no Native American cultural resources in the specific plan and
    therefore the project area; the use of preservation in place practices, as is discussed at the
    length in the environmental impact report, is the preferred technique for mitigating
    archaeological impacts (Guidelines, § 15126.4, sub. (b)(3)); specific limitations are
    imposed on construction near the two known burial sites; and if it is infeasible to avoid
    construction on a burial site or location where cultural resources are discovered, specific
    contingencies are to be implemented. We summarized those wide-ranging contingencies
    in our original opinion: Phase III data collection operations are to be completed which is
    in essence a salvage venture; if additional artifacts are uncovered, an archaeologist is to
    be notified; the archaeologist is to stabilize and evaluate the discovery; and any Phase III
    19
    salvage operation must be conducted in consultation with Tataviam community, the tribe
    that historically inhabited the project area. If possible, the newly discovered site is to be
    protected by specified protective measures. Finally, the discovery of human remains
    must be handled in compliance with section 5097.98 and Guidelines section 15064.5
    subdivision (e). Thus, as we held in our original opinion, the trial court’s rulings
    concerning Native American cultural resources are reversed.
    C. Impacts on Steelhead Smolt
    The second issue remanded to us concerns the impact of dissolved copper runoff
    from the project site on steelhead smolt. Our Supreme Court, as in the case of the Native
    American cultural resources issues, left to us the question of whether are merits based
    determinations warranted reexamination. (Center for Biological 
    Diversity, supra
    , 62
    Cal.4th at p. 239.) Upon, reexamination we reach the same ultimate conclusions as we
    did in our initial opinion. And it bears emphasis that the environmental impact report
    concludes there is no significant ecological impact after the implementation of the
    mitigation measures.
    Before discussing the effect of dissolved copper runoff on steelhead smolt, it is
    wise to describe the so-called “dry gap.” A material part of the scientific analysis
    supporting the environmental impact report and the discussion therein concerning
    dissolved copper runoff in the Santa Clara River involves the dry gap. The dry gap is
    described in the April 2008 report of GSI Water Solutions, Inc. which assesses future
    surface water conditions in that part of the Santa Clara River. The dry gap is defined by
    the GSI Water Solutions, Inc. staff as follows: “Beginning about 3.5 river miles
    20
    downstream of the county line, the [Santa Clara] [R]iver is dry most of the year, with
    water present only when rainfall events creates sufficient stormwater runoff into the
    [Santa Clara] [R]iver. This dry ephemeral reach of the [Santa Clara] [R]iver extends
    beyond the mouth of Piru Creek as informally known as the ‘dry gap’ in the Santa Clara
    River.” (As will be noted, the dry gap discussion is but part of the scientific analysis
    pertinent to whether the project will have a significant environmental impact.)
    Two paragraphs in plaintiffs’ mandate petition contain direct allegations
    concerning steelhead smolt. Plaintiffs allege the environmental impact report fails to
    analyze and mitigate water quality impacts below the “dry gap” in the Santa Clara River
    and coastal marine waters. At another point, the mandate petition alleges: “The
    [environmental impact report] fails to identify the [p]roject’s significant water quality
    impacts to southern steelhead smolt residing in the Santa Clara River estuary, migrating
    adult steelhead in the Santa Clara River, or migrating steelhead smolt in the Santa Clara
    River, nor does it provide measures to mitigate those impacts to a less than significant
    effect.” Plaintiffs argued in their papers filed in the trial court, “The [environmental
    impact report] fails to analyze the sub- lethal . . . impacts of the [project’s] discharges of
    dissolved copper on juvenile steelhead.” The trial court ruled that the environmental
    impact report failed to adequately discuss the impact of dissolved copper discharged from
    the project area on steelhead smolt. The trial court ruled, “The [environmental impact
    report] fails to consider . . . whether the dissolved copper discharged from the [p]roject
    [a]rea . . . would adversely affect restored habitat for endangered steelhead smolt.”
    21
    In our original opinion, we reached two conclusions. First, we concluded that the
    entire steelhead smolt issue had been forfeited because it was not raised during the
    comment period. As noted, our Supreme Court held these issues were timely raised.
    (Center for Biological 
    Diversity, supra
    , 62 Cal.4th at pp. 238-239.)
    Second, we held that plaintiffs’ dissolved copper discharge and steelhead smolt
    contentions were not a basis for setting aside the environmental impact report’s
    certification. We concluded there was substantial evidence the water quality impacts
    were less than significant because: the steelhead smolt’s habitat was below the dry gap in
    the Santa Clara River downstream from the project area; dissolved copper runoff is
    regulated by the federally adopted California Toxics Rule criteria; the dissolved copper
    threshold for toxicity is 32 micrograms and above per liter; utilizing the California Toxics
    Rule criteria, after mitigation, the dissolved copper levels will be reduced to 8.4
    micrograms per liter; this contrasts with the concentrations in the Santa Clara River in the
    project area which range currently from 3.3 to 22.6 micrograms per liter; and even during
    a wet year when there would be flooding over the dry gap, the toxicity levels would be
    below the federally adopted California Toxics Rule criteria. In addition, we adverted to
    the mitigation measures SP-4.2-7 and WQ-1 which impose: ecologically friendly
    comprehensive project site design features; runoff source control; and monitoring of
    water quality in the Santa Clara River.
    The environmental impact report and the department’s comment responses:
    identify the area of the Santa Clara River watershed, 1,634 square miles; specify that the
    project consists of 1.4 per cent of the total Santa Clara River watershed, thereby
    22
    attenuating the effects of any dissolved copper runoff; describe the location and effect of
    the dry gap where the Santa Clara River goes underground which is 3.5 miles
    downstream from the project; explain that the dry gap therefore attenuates the effect any
    dissolved copper runoff during the dry and non-flood seasons; ; set forth the identified
    range of observed concentrations of dissolved copper in the Santa Clara River in the
    project area, 3.3 through 22.6 micrograms per liter; identify the project site’s present and
    post-development anticipated dissolved copper concentration amounts, increasing from
    7.5 to 8.4 micrograms per liter after utilizing environmentally sensitive project design
    features; state that this level of anticipated dissolve copper runoff, 8.4 micrograms per
    liter, is less than 32 micrograms per liter; explain that no steelhead smolt habitat exists
    above the dry gap; note that no historical records demonstrate the existence of steelhead
    smolt in the Santa Clara River upstream from the dry gap ; explain the buildout in the
    project area will entail only 5 percent of the land thereby reducing the effect of runoff in
    a wet year when the dry gap is breached and waters flow into the Santa Clara River’s
    lower reaches ; note the department was justified in relying upon the California Toxics
    Rule; and conclude that if the dry gap is breached during a flood scenario, the project’s
    anticipated dissolved copper runoff will be below the California Toxics Rule toxicity
    level.
    The environmental impact report concluded: “The modeled concentrations in
    runoff from the [p]roject area are below all benchmark water quality objectives and
    criteria and [total daily maximum load] waste load allocations for the Santa Clara River
    and are addressed by a comprehensive site design, source control, and treatment control
    23
    strategy, and compliance with Standard Urban Stormwater Mitigation Plan [],
    Construction General Permit, and General De-Watering Permit requirements.” Hence,
    the department concluded the projected runoff loads will not significantly change the
    pollutant load in the Santa Clara River at the project or in its lower reaches. The
    engineering corps agreed with the department’s assessment. The environmental impact
    report concludes, after engaging in an extensive reasoned discussion of the subject, that
    the impact of dissolved copper will be less than significant. The less than significant
    impact finding, when environmentally responsible design features are incorporated into
    the project, is documented by the April 2008 Geosyntec Consultants study.
    No doubt, plaintiffs produced contrary evidence concerning the impacts on
    steelhead smolt in the lower reaches of the Santa Clara River. That plaintiffs produced
    contrary evidence did not permit the trial court nor allows us to invalidate the
    department’s certification of the environmental impact report. As noted, we may not
    reweigh the conflicting evidence and scientific analysis. (Western States Petroleum Assn.
    v. Superior 
    Court, supra
    , 9 Cal.4th at p. 572; Environmental Council of Sacramento v.
    City of 
    Sacramento, supra
    , 142 Cal.App.4th at p. 1042.) Having reexamined our
    analysis, we thus reaffirm our prior decision. The trial court’s findings in connection
    with dissolved copper runoff and steelhead smolt are reversed.
    24
    [The balance of this opinion is to be published.]
    V. THE SCOPE OF OUR REMAND ORDER
    A. The Parties’ Remand Arguments
    The trial court ruled that six aspects of the environmental impact report were
    deficient and entered a stay of any construction on the project site. The trial court ruled
    the following errors appeared in the environmental impact report: the department failed
    to prevent the taking of the unarmored threespine stickleback as part of construction of a
    bridge over the Santa Clara River; the environmental impact report failed to assess the
    impact of project-related dissolved copper discharge when storm waters breached the dry
    gap; the department’s analysis of mitigation measures for the San Fernando Spineflower
    was legally impermissible; the department’s assessment of the project’s greenhouse gas
    omissions were inadequate; the environmental impact reports assessment of the project’s
    impact on Native American cultural resources was not supported by substantial evidence;
    and the environmental impact report improperly relied upon portions of the specific plan
    in rejecting alternatives to the project. We reversed in their entirety the trial court’s
    findings as to: the effects of dissolved copper runoff on steelhead smolt; the San
    Fernando Spineflower preserves; Native American resources; and reliance upon the
    specific plan. We have reversed in part the trial court’s greenhouse gas emission findings
    concerning selection of a criterion of significance and its application to a business as
    usual scenario. We have affirmed the trial court’s greenhouse gas findings concerning
    the absence of substantial evidence to support the no significant impact finding. We have
    25
    affirmed the trial court’s findings disapproving mitigation measures BIO-44 and BIO-46
    which arise from the construction of a bridge over the Santa Clara River.
    After our Supreme Court issued its opinion, the developer filed a motion re
    remand concerning the scope of our ruling which is concurred in by the department.
    Plaintiffs have filed an opposition to some of the developer’s arguments. The developer
    and the department argue our Supreme Court’s opinion permits us retain jurisdiction to
    supervise the completion of the environmental review process. The developer argues as
    follows in part: “[T]he the superior court judge who heard and decided this case (Hon.
    Ann I. Jones) is no longer hearing mandate petitions, and this case has been reassigned to
    the Hon. John A. Torribio. Although Judge Torribio decided the related cases (Friends of
    the Santa Clara River v. County of Los Angeles, No. B256125, and California Native
    Plant Society v. County of Los Angeles, No. B258090, both of which are still pending
    before the Supreme Court as ‘grant and holds’ ancillary to this case, Judge Torribio is not
    familiar with the facts of this case (this case is never been before him.) Accordingly,
    remand to the superior court would necessarily result in delays that are to be avoided in
    [California Environmental Quality Act] litigation.” In addition, the developer and the
    department argue that this court is intimately familiar with this case. According to the
    developer and the department, by retaining jurisdiction, this court’s familiarity with the
    case will ameliorate the potential prejudice caused by the delays to date. The developer
    concludes: “We ask this [c]ourt to reaffirm its original holding concerning the merits of
    the steelhead and cultural resources claims; retain jurisdiction of the greenhouse gas and
    26
    unarmored threespine stickleback issues; and use [the developer’s] proposed writ as a
    guide for this court. . . .”
    Plaintiffs argue we should not retain jurisdiction but issue a remittitur directing the
    trial court to decide any remaining issues. Plaintiffs argue as follows in part. A
    reviewing court has the authority to act as specified in Code of Civil Procedure section
    43, which states in part: “[T]he courts of appeal, may affirm, reverse, or modify any
    judgment or order appealed from, and may direct the proper judgment or order to be
    entered, or direct a new trial or further proceedings to be had. In giving its decision, if a
    new trial be granted, the court shall pass upon and determine all the questions of law
    involved in the case, presented upon such appeal, and necessary to the final determination
    of the case. Its judgment in appealed cases shall be remitted to the court from which the
    appeal was taken.” (See Griset v. Fair Political Practices Com. (2001) 
    25 Cal. 4th 688
    ,
    701.) Further, Code of Civil Procedure section 912 states in part, “Upon final
    determination of an appeal by the reviewing court, the clerk of the court shall remit to the
    trial court a certified copy of the judgment or order of the reviewing court and of its
    opinion, if any.” (See Snukal v. Flightways Manufacturing, Inc. (2000) 
    23 Cal. 4th 764
    ,
    774.)
    The developer and the department argue these statutory provisions which apply to
    appeals do not apply here. The developer and the department rely upon the general
    principle that litigation involving environmental impact report should be promptly
    concluded. (§ 21167.1, subd. (a); Stockton Citizens for Sensible Planning v. City of
    Stockton (2010) 
    48 Cal. 4th 41
    , 500.) More specifically, the developer and the department
    27
    rely upon the following portion of section 21168.9, subdivision (a) which states in part,
    “(a) If a court finds, as a result of a trial, hearing, or remand from an appellate court,
    that any determination, finding, or decision of a public agency has been made without
    compliance with this division, the court shall enter an order that includes one or more of
    the following. . . .” (Italics added.) The developer and the department focus upon this
    italicized language as the basis for its contention concerning our future obligations.
    Section 21168.9, subdivision (a) then identifies a series of actions that may be taken as a
    result of a remand from an appellate court .2
    Section 21168.9, subdivision (b) limits the authority of a court to “include only
    those mandates which are necessary” to achieve compliance with the California
    Environmental Quality Act. Section 21168.9, subdivision (b) contains three relevant
    provisions. The first aspect limits the court’s mandate to those matters necessary to
    achieve compliance with the California Environmental Quality Act, “Any order pursuant
    2
    Section 21168.9, subdivision (a) states in its entirety: “(a) If a court finds, as a
    result of a trial, hearing, or remand from an appellate court, that any determination,
    finding, or decision of a public agency has been made without compliance with this
    division, the court shall enter an order that includes one or more of the following: [¶] (1)
    A mandate that the determination, finding, or decision be voided by the public agency, in
    whole or in part. [¶] (2) If the court finds that a specific project activity or activities will
    prejudice the consideration or implementation of particular mitigation measures or
    alternatives to the project, a mandate that the public agency and any real parties in
    interest suspend any or all specific project activity or activities, pursuant to the
    determination, finding, or decision, that could result in an adverse change or alteration to
    the physical environment, until the public agency has taken any actions that may be
    necessary to bring the determination, finding, or decision into compliance with this
    division. [¶] (3) A mandate that the public agency take specific action as may be
    necessary to bring the determination, finding, or decision into compliance with this
    division.”
    28
    to subdivision (a) shall include only those mandates which are necessary to achieve
    compliance with this division and only those specific project activities in noncompliance
    with this division.” (Ibid.) The order shall be made by the issuance of a peremptory writ
    of mandate specifying what action by the public agency is necessary to comply with this
    division. The second aspect of section 21168.9, subdivision (b) imposes a three-fold
    severability requirement if only a limited portion of the proposed project is to be set
    aside: “However, the order shall be limited to that portion of a determination, finding, or
    decision or the specific project activity or activities found to be in noncompliance only if
    a court finds that (1) the portion or specific project activity or activities are severable, (2)
    severance will not prejudice complete and full compliance with this division, and (3) the
    court has not found the remainder of the project to be in noncompliance with this
    division.” (See Anderson First Coalition v. City of Anderson (2005) 
    130 Cal. App. 4th 1173
    , 1181; Kostka & Zischke, § 23.124, pp. 23-139 to 23-140.) The final aspect of
    section 21168.9, subdivision (b) states a trial court retains jurisdiction by way of a writ of
    mandate to ensure the public agency has complied with the California Environmental
    Quality Act, “The trial court shall retain jurisdiction over the public agency’s proceedings
    by way of a return to the peremptory writ until the court has determined that the public
    agency has complied with this division.” (See Ballona Wetlands Land Trust v. City of
    Los Angeles (2011) 
    201 Cal. App. 4th 455
    , 479.)
    According to the developer and the department, section 21168.9, subdivision (a)
    vests this court with the power to supervise compliance our decision. This is because we
    have acted “as a result of a . . . remand from an appellate court. . . .” In addition, the
    29
    developer and the department rely upon the following language in our Supreme Court’s
    opinion: “On remand, the Court of Appeal shall decide whether, in light of our
    exhaustion holding, the Native American cultural resource and steelhead smolt claims
    warrant reexamination on the merits. The Court of Appeal shall further decide, or
    remand for the superior court to decide, the parameters of the writ of mandate to be
    issued. (See § 21168.9.)” (Center for Biological 
    Diversity, supra
    , 62 Cal.4th at p. 240.)
    According to the developer and the department, our Supreme Court’s language and
    section 21168.9, subdivision (a) give us the authority to issue our own writ of mandate
    and supervise compliance therewith.
    B. Standard of Review and the Presence of Ambiguous Statutory Language
    We are construing the effect of section 21168.9, subdivision (a) to our situation.
    Our Supreme Court has explained: “When construing a statute, we look first to its words,
    ‘“because they generally provide the most reliable indicator of legislative intent.”
    [Citation.] We give the words their usual and ordinary meaning [citation], while
    construing them in light of the statute as a whole and the statute’s purpose [citation].’
    (Pineda v. Williams-Stores, Inc. (2011) 
    51 Cal. 4th 524
    , 529-530.)” (Accord, In re Ethan
    C. (2012) 
    54 Cal. 4th 610
    , 627.) According to our Supreme Court: “‘If there is no
    ambiguity in the language, we presume the Legislature meant what it said and the plain
    meaning of the statute governs.’ [Citation.] ‘Only when the statute’s language is
    ambiguous or susceptible of more than one reasonable interpretation, may the court turn
    to extrinsic aids to assist in interpretation.’ [Citation.]” (Pineda v. Williams-Stores, 
    Inc., supra
    , 51 Cal.4th at p. 530; see In re Ethan 
    C., supra
    , 54 Cal.4th at p. 627.)
    30
    As noted, the developer and the department focus upon the language in section
    21168.9, subdivision (a). The rely on the language that “as a result of . . . remand from
    an appellate court” and argue we may issue a writ of mandate. As noted, section
    21168.9, subdivision (a)(1) through (a)(3) specifies potential aspects of the “court[’s]”
    writ of mandate. Hence, they argue, we are the “court” that has the authority to issue the
    writ of mandate directed at the department. We are satisfied that the term “appellate
    court” in our context is subject to some ambiguity. Although the term appellate court
    generally refers to the Court of Appeal or an appellate division, our Supreme Court
    decides appeals. And it can be logically argued that when the Supreme Court remands an
    appeal as it did here, section 21168.9, subdivision (a) permits us to issue a writ of
    mandate. The developer and the department add to this textual analysis by adverting to
    the need for prompt resolution California Environmental Quality Act litigation. (§
    21167.1, subd. (a) [“In all actions or proceedings brought pursuant to Sections 21167,
    21168, and 21168.5, including the hearing of an action or proceeding on appeal from a
    decision of a lower court, all courts in which the action or proceeding is pending shall
    give the action or proceeding preference over all other civil actions, in the matter of
    setting the action or proceeding for hearing or trial, and in hearing or trying the action or
    proceeding, so that the action or proceeding shall be quickly heard and determined.”];
    Stockton Citizens for Sensible Planning v. City of 
    Stockton, supra
    , 
    48 Cal. 4th 481
    , 500
    [“’The Legislature has obviously structured the legal process for a [California
    Environmental Quality Act] challenge to be speedy, so as to prevent it from degenerating
    into a guerilla war of attrition by which project opponents wear out project
    31
    proponents.’”].) And the Courts of Appeal do have original mandate jurisdiction. (Cal.
    Const., art. VI, § 10 [“The . . . courts of appeal . . . and their judges have original
    jurisdiction in . . . proceedings for extraordinary relief in the nature of mandamus,
    certiorari, and prohibition.”]; Brosnahan v. Brown (1982) 
    32 Cal. 3d 236
    , 241 [original
    proceeding filed in Court of Appeal and transferred to our Supreme Court].) In light of
    the foregoing, we will evaluate the circumstances leading up to the enactment of section
    21168.9, subdivision (a) and its reference to a remand from an appellate court.
    C. Limited Legislative History Concerning Section 21168.9
    Section 21168.9 was introduced as Senate Bill No. 1079 (1983-1984 Reg. Sess.)
    (Sen. Bill No. 1079). When originally introduced on March 4, 1983, Senate Bill 1079
    made no reference to the issue of the scope of a writ of mandate to be issued in an
    environmental case. Rather, when originally introduced, Senate Bill No. 1079 related to
    costs of suit and attorney fees in environmental litigation involving low or moderate
    income housing projects. (Sen. Bill No. 1079 as introduced Mar. 4, 1983; Sen. Com. on
    Housing and Urban Affairs, rep. on Sen. Bill No. 1079, Mar. 4, 1983, p. 1.) Later, while
    still initially pending in the upper house, Senate Bill No. 1079 was amended to address
    other zoning, public planning issues and environmental matters.
    On July 25, 1983, Robert K. Break of the law firm of Latham & Watkins wrote a
    letter to Maxine Harris Brookner. Mr. Break’s letter proposed an amendment to the
    California Environmental Quality Act. Mr. Break’s letter was received while Senate Bill
    No. 1079 was under consideration in the upper house. Ms. Brookner was a Senate
    Committee on Housing and Urban Affairs staffer. Mr. Break requested that legislation be
    32
    adopted providing for greater flexibility when selecting remedies in the case of a
    California Environmental Quality Act violation. Mr. Break argued the California
    Environmental Quality Act should be amended to provide more focused remedies other
    than entirely voiding and environmental decision. Mr. Break wrote to Ms. Harris:
    “[G]iven the cost associated with the delay of any public or private works project and the
    sensitivity of many such projects to any delay, I think it is appropriate to consider some
    statutory direction to the courts recognizing there are appropriate situations where the
    relief granted upon a finding of [a California Environmental Quality Act] violation
    should be something less drastic than mandated voidance of the decision approving the
    project. In many situations, an expedited reconsideration of the decision by the lead
    agency under court supervision could minimize delay while fully meeting the letter and
    intent of [the California Environmental Quality Act].” Thereafter, Senate Bill No. 1079
    passed the upper house. No action was taken at this time on Mr. Break’s letter.
    On May 8, 1984, Senate Bill No. 1079, while pending in the Assembly, was
    amended to propose the adoption of section 21168.9. As it did later upon ultimate
    passage, the newly drafted Legislative Counsel’s Digest stated in part: “The act specifies
    procedures and requirements to challenge a determination, finding, or decision of a public
    agency under the act, including petitions to the court for an order of administrative
    mandate, as specified. [¶] This bill would require a court, if it finds, as a result of a trial,
    hearing, or remand from an appellate court that a determination, finding, or decision of a
    public agency has been made without compliance with the California Environmental
    Quality Act, to enter an order by the issuance of a peremptory writ of mandate including
    33
    one or more specified orders specifying what action by the public agency is necessary to
    comply with the act. . . . [¶] . . . The bill would require the court to retain jurisdiction
    over the public agency’s proceedings by way of a return to the peremptory writ until the
    court has determined that the public agency has complied with the act. The bill would
    also declare that its provisions do not authorize a court to direct any public agency to
    exercise its discretion in any particular . . . way.” (Italics deleted.) As can be noted, in
    terms of the remand from an appellate court language, the Legislative Counsel’s Digest
    endeavors to summarize the text appearing in section 21168.9, subdivision (a). The
    Assembly adopted the entirely rewritten Senate Bill No. 1079 and returned it to the upper
    house on May 29, 1983. The Legislative Counsel’s Digest is the only document prepared
    while the legislation was pending in the Assembly that sheds any light on Legislature’s
    intentions in enacting Senate Bill No. 1079.
    Only one Senate committee report discusses the language of section 21168.9,
    subdivision (a) after Senate Bill No. 1079 was amended in the Assembly. An unfinished
    business report prepared by the Senate Democratic Caucus reiterated the language
    concerning “remand from an appellate court” but shed no light on the subject. (Sen.
    Democratic Caucus, unfinished business rep. on Sen. Bill No. 1079 as amended May 8,
    1984, June 7, 1983, pp. 1-2.) On June 21, 1984, the Senate unanimously refused to
    concur in the Assembly amendments which in essence rewrote Senate Bill No. 1072 to
    propose section 21168.9. (7 Sen. Journal (1983-1984 Reg. Sess.) p. 12134.) A
    Conference Committee was appointed which recommended adoption of the Assembly
    amendments to Senate Bill No. 1079 which proposed enactment of section 21168.9.
    34
    Both the Senate and Assembly unanimously adopted the Conference Committee report
    and both houses unanimously voted to enact section 21168.9. (10 Assem. J. (1983-1984
    Reg. Sess.) p. 19010; 8 Sen. J. (1983-1984 Reg. Sess.) p. 14273.) There is little of
    consequence in the committee reports or other legislative documents that sheds light on
    the Legislature’s expectations in enacting the remand from an appellate court language.
    More critically, nothing in the Senate Bill No. 1079’s sparse legislative history of which
    alters the normal processing of environmental litigation on direct appeal as is our case
    here. Nothing in Senate Bill No. 1079’s legislative documents suggest intermediate
    appellate courts were granted, in cases on direct appeal, authority to issue their own writ
    of mandate. And nothing in those papers suggest a legislative intention, when a case is
    on direct appeal, to grant us the authority to supervise the implementation of a writ of
    mandate.
    D. Other Provisions of the California Environmental Quality Act and Appellate Practice
    Militate Against Holding that on Direct Appeal We May Issue a Writ Of Mandate and
    Supervise Its Implementation.
    1. Other legal provisions concerning trial court jurisdiction over California
    Environmental Quality Act enforcement and administrative mandate procedure
    Other legal and procedural provisions are inconsistent with the legislative intent to
    permit an appellate court, on direct appeal, to issue a writ of mandate directly to the lead
    agency. First, we examine California Environmental Quality Act enforcement practice in
    1984 when section 21168.9 was enacted. Since 1972, if a litigant desires to challenge an
    environmental impact report’s certification, the Legislature has required a Code of Civil
    35
    Procedure section 1094.5 administrative mandate petition be filed. And the practice has
    always been to file a Code of Civil Procedure section 1094.5 administrative mandate
    petition in superior court. In 1970, the California Environmental Quality Act was
    adopted with the enactment of new sections 2000 through 21151. (Stats. 1970, ch. 1433,
    § 1, pp. 2780-2783.) Former section 21100, subdivision (a) required a “detailed
    statement by a responsible state official” be written describing a proposed action’s
    environmental impact. The 1970 legislation made no reference to judicial enforcement of
    the new environmental legislation. In 1972, sections 21060 through 21172.5 were
    adopted which substantially amended the 1970 version of the California Environmental
    Quality Act. (Stats. 1972, ch. 1154, § 1, pp. 2271-2280.) Former section 21168 required
    that any action challenging a public agency’s determination under the California
    Environmental Quality Act must be filed in accordance with Code of Civil Procedure
    section 1094.5. (Stats., ch. 1154, § 15, p. 2278.)
    As it was in effect in 1972, Code of Civil Procedure section 1094.5 had language
    which was solely consistent with the filing of administrative mandate petitions in the trial
    court. (Stats.1949, ch. 358, § 1, pp. 638-639.) For example; former Code of Civil
    Procedure section 1094.5, subdivision (a) required that the petition be heard by “the court
    sitting without a jury”; referred to the filing of the “respondent’s points and authorities”
    along with the administrative record (Code Civ. Proc., § 1094.5, subd. (a)); the entry of
    judgment (Code Civ. Proc., § 1094.5, subds. (d)(-(e)); the potential entry of an order
    staying the administrative decision until the filing of a notice of appeal (Code Civ. Proc.,
    36
    § 1094.5, subd. (f); specifying the duration of the stay by operation of law after the filing
    of a notice of appeal. (Code Civ. Proc., § 1094.5, subd. (f).)
    And any filing in a trial court would have been the superior court. In 1972, neither
    the municipal or justice courts had jurisdiction to hear administrative mandate petitions.
    As can be noted, this language is inconsistent with the direct filing of a Code of Civil
    Procedure section 1094.5 administrative mandate petition in an appellate court. (As we
    will explain later, we do not foreclose that possibility. But our point is that the practice in
    1984 when section 21168.9 was enacted was for administrative mandate petitions to be
    filed in the superior court.)
    We now turn to the legislative events in 1984 when section 21168.9, with its
    remand from an appellate court language, was adopted. The 1984 version of Code of
    Civil Procedure section 1094.5, the enforcement provision for California Environmental
    Quality Act, continued with the references to: a “court sitting without a jury”;
    “respondent’s points and authorities”; the entry of a judgment; and stays pending appeal.
    (Code Civ. Proc., § 1094.56, subds. (a), (e), (f). (g)(3), and (h)(3); Stats. 1982, ch. 812, §
    3, pp. 3103-3105.) Code of Civil Procedure section 86 in 1984 specified the jurisdiction
    of the justice and municipal courts. The 1984 amended version of Code of Civil
    Procedure section 86 did not vest the municipal or justice courts with jurisdiction over
    California Environmental Quality Act litigation. Nor did the 1984 version of Code of
    Civil Procedure section 86 vest those courts with the authority to rule on a Code of Civil
    Procedure section 1094.5 administrative mandate petition. (Stats. 1984, ch. 1719, § 1.1,
    pp. 6229-6231.)
    37
    No statute explicitly provided for filing a mandate petition to challenge an
    environmental impact report certification in the Courts of Appeal. Section 21168.6
    specified, as it does now, that a mandate petition “against the Public Utilities
    Commission” involving California Environmental Quality Act compliance must be filed
    in the Supreme Court. (Stats. 1972, ch. 1154, § 1, p. 2278.) Also, in 1984, the
    Legislature adopted section 21167.6, subdivisions (a) through (c)3 which imposed time
    requirements for the filing of the administrative record with the court. The sole exception
    was for suits against the Public Utilities Commission. (Stats 1984, ch. 1514, § 12, pp.
    5342-5343.) But as adopted in 1984, section 21167.6, subdivision (d) also imposed time
    limits for the preparation of a clerk’s transcript on appeal. And, section 21167.6,
    subdivision (d) permitted the use of an appendix on appeal. And section 21167.6,
    3
    As adopted in 1984, section 21776.8, subdivisions (a) through (c), the provisions
    relating to the filing of the administrative record with the “court,” stated:
    “Notwithstanding any other provision of law, in all actions brought pursuant to Section
    21167, except those involving the Public Utilities Commission: [¶] (a) At the time the
    action is filed, the petitioner shall file a request that the respondent public agency prepare
    the record of proceedings relating to the subject of the action. The request, together with
    the petition, shall be served upon the public agency not later than 10 business days after
    the action is filed. [¶] (b) The public agency shall prepare and certify the record of
    proceedings not later than 60 days after the request specified in subdivision (a) is served
    upon the public agency. The parties shall pay any costs or fees imposed for the
    preparation of the record of proceedings in conformance with any law or rule of court.
    The petitioner may elect to prepare the record of proceedings or the parties may agree to
    an alternative method of preparation of the record of proceedings, subject to the
    certification of its accuracy by the public agency, within the time specified in this
    subdivision. [¶] (c) The time limit established by subdivision (b) may be extended only
    upon stipulation of all parties will been properly served in the action or upon order of the
    court. Extensions shall be liberally granted by the court when the size of the record of
    proceedings renders infeasible compliance with the time limits specified in subdivision
    (b) There is no limit on the number of extensions which may be granted by the court, but
    no single extension shall exceed 60 days unless the court determines that a longer
    extension is in the public interest.” (Stats. 1984, ch. 1514, § 12, pp. 5342-5343.)
    38
    subdivisions (d) through (f) imposed limits on briefing and scheduling requirements on
    appeal. (Stats. 1984, ch. 1514, § 12, p. 5343.4) The 1984 legislative record indicates the
    Legislature was aware, when section 21168.9 was adopted, that the practice was for
    environmental impact report litigation to be commenced in the superior court.
    2. Appellate courts’ powers and practice on direct appeal
    There is no evidence the Legislature intended when an environmental impact
    report’s certification was litigated on appeal to alter the established procedures for
    remitting jurisdiction of the trial court. As noted, now, as in 1984, an appellate court’s
    authority extended to affirmance or reversal and modification of an appeal from judgment
    or order. (Code Civ. Proc., § 43.) And after making one of those decisions, affirmance,
    reversal, modification or any combination thereof, the Courts of Appeal are required
    remit the cause to court from which the appeal was taken. (Ibid.; Code Civ. Proc., § 912;
    see Griset v. Fair Political Practices 
    Com., supra
    , 25 Cal.4th at p. 701.) These are well
    established principles of appellate practice. The Legislature did not expressly change
    these rules in the case of environmental litigation. When section 21168.9, subdivision (a)
    was adopted, the Legislature did not expressly grant us the power to issue a writ of
    mandate.
    4
    As adopted in 1984, section 21167.6, subdivision (d), the provision relating to
    preparation of the record on appeal, stated: “(d) The clerk of the superior court shall
    prepare and certify the clerk’s transcript on appeal not less than 60 days after the notice
    designating the papers or records to be included in the clerk’s transcript is filed with the
    Superior Court, provided that the party or parties may pay any costs or fees for
    preparation of the clerk’s transcript imposed in conformance with any law or rules of
    court. Nothing in contained in this subdivision shall preclude election to proceed
    pursuant to Rule 5.1 of the California Rules of Court.”
    39
    And, there is no basis for implying the Legislature intended in enacting section
    21168.9 to modify the well-established procedures for appeals digested in the
    immediately foregoing paragraph. Stated differently, we may not imply a repeal or
    modification of the Code of Civil Procedure sections 43 and 912 remittitur requirements
    because of the enactment of section 21168.9. Repeals by implication are disfavored.
    (People v. Siko (1988) 
    45 Cal. 3d 820
    , 824 [“As a general rule of statutory construction,
    of course, repeal by implication is disfavored.”]; Flores v. Workmen’s Comp. Appeals Bd.
    (1974) 
    11 Cal. 3d 171
    , 176 [“[A]ll presumptions are against a repeal by implication.”].)
    Our Supreme Court has explained: “Absent an express declaration of legislative intent,
    we will find an implied repeal ‘only when there is no rational basis for harmonizing the
    two potentially conflicting statutes [citation], and the statutes are “irreconcilable, clearly
    repugnant, and so inconsistent that the two cannot have concurrent operation.”‘“ (Garcia
    v. McCutchen (1997) 
    16 Cal. 4th 469
    , 476-477, quoting In re White (1969) 
    1 Cal. 3d 207
    ,
    212.)
    This presumption against the implied repeal of Code of Civil Procedure sections
    43 and 912 is of special emphasis given the historic nature of the structure of the
    California appellate process. In 1850, the Legislature specified the powers of the
    Supreme Court and the role of the remittitur, “The Supreme Court may reverse, affirm, or
    modify, the judgment or order appealed from, and its judgment shall be remitted as soon
    as practicable, after judgment pronounced, to the Court below, to be enforced according
    to law.” (Stats. 1850, ch. 14, § 7, p. 57; see Grogan v. Ruckle (1850) 
    1 Cal. 193
    , 194.)
    Later in 1850, the Legislature enacted “AN ACT to regulate proceedings in Civil Cases
    40
    in the District Court, the Superior Court of the City of San Francisco, and Supreme Court
    which: reiterated the power of the Supreme Court to “reverse, affirm, or modify any
    judgment, order or determination, appealed from in whole or in part”; directed that the
    Supreme Court’s judgment or order “be remitted to the District Court”; and required,
    “When the judgment of the Supreme Court is remitted to the Court below, the clerk of the
    Supreme Court shall certify the costs of the appeal . . . .” (Stats. 1850, ch. 142, §§ 280,
    283, pp. 428, 454.) In 1851, the Legislature once again defined the powers of the
    Supreme Court thusly, “This Court may reverse, affirm, or modify the judgment or order
    appealed from, in the respect mentioned in the notice of appeal, as to any and all of the
    parties, and may set aside, confirm, or modify any or all of the proceedings subsequent
    to, and dependent upon, such judgment or order; and may, if necessary or proper, order a
    new trial.” (Stats. 1851, ch. 1, § 8, p. 10.)
    The Code of Civil Procedure was enacted in 1872. (See First Nat. Bank of Santa
    Ana v. Kinslow (1937) 
    8 Cal. 2d 339
    , 343; Hogoboom v. Superior Court (1996) 
    51 Cal. App. 4th 653
    , 660.) As enacted in 1872, Code of Civil Procedure section 45 stated:
    “The Court may reverse, affirm, or modify any order or judgment appealed from, and
    may direct the proper judgment or order to be entered, or direct a trial or further
    proceeding be had. Its judgment must be remitted to the Court from which the appeal
    was taken.” (1 Ann. Code Civ. Proc., § 45 (1st ed. 1872, Haymond & Burch, commrs-
    annotators) p. 49.) In 1880, former Code of Civil Procedure section 45 was moved to
    section 53. The 1880 version of former Code of Civil Procedure section 45 maintained
    the “affirm, reverse, or modify” language and concluded, “Its judgment in appealed cases
    41
    shall be remitted to the Court from which the appeal was taken.” (Stats. 1880, ch. 35, §
    53, p. 25 (Amends. to Codes).) In 1933, former Civil Procedure section 53 was amended
    to clarify that the power “to affirm, reverse, or modify” extended to the Court of Appeal.
    As in the case of the 1880 version, the 1933 amendment explicitly stated the judgment in
    an appealed case was to be remitted to the trial court. (Stats.1933, ch. 743, § 6, p. 1807.)
    In 1967, former Civil Procedure section 53 was renumbered as section 43 and enacted to
    state as it does now. (Stats. 1967, ch. 17, § 5, p. 827.) Since 1850, the powers of
    appellate courts have been limited “to affirm, reverse, or modify” judgments or orders
    and the decision on appeal is to be remitted to the trial court.
    Finally, the department and developer argue that we should somehow supervise
    compliance with any writ of mandate we can issue. Section 21168.9, subdivision (b)
    explains who retains jurisdiction to supervise a writ of mandate issued to enforce
    compliance with the California Environmental Quality Act, “The trial court shall retain
    jurisdiction over the public agency’s proceedings by way of a return to the peremptory
    writ until the court has determined that the public agency has complied with this
    division.” The Legislature has explicitly vested the trial court with the authority to retain
    jurisdiction to ensure the department has complied with the California Environmental
    Quality Act. Any suggestion we can retain jurisdiction to supervise any return to the writ
    of mandate is contradicted by the express language of section 21168.9, subdivision (b).
    E. Conclusion
    Nothing in the language of 21168.9, subdivision (a), the events leading to its
    adoption or other provisions of law permit us, on direct appeal, to issue the writ of
    42
    mandate. That is a matter for a trial court. For the foregoing reasons, we conclude we do
    not have the authority to issue our own writ of mandate. Rather, our duty is to decide
    issues pertinent to the writ of mandate’s scope, insofar as possible, and then remit the
    matter to the trial court. And we further conclude our Supreme Court directed us to
    determine what language should be utilized by the trial court.
    Nothing we have said herein applies to cases where an original proceeding is
    initially commenced in the Court of Appeal. (Cal. Const., art. VI, § 10; see Raven v.
    Deukmejian (1990) 
    52 Cal. 3d 336
    , 340.) No original proceeding has been filed with this
    court. Similarly, we are not discussing specified environmental challenges filed against
    the Public Utilities Commission which are filed in our Supreme Court. (§21168.6.)
    Further, nothing we have said applies to cases where a supersedeas petition is filed and
    conditions are imposed which can lead to an early compliance with environmental
    requirements. (Cal. Rules of Court, rule 8.112(d)(1) [“The court may issue the writ on
    any conditions it deems just.”]; County of Inyo v. Yorty (1973) 
    32 Cal. App. 3d 795
    , 802-
    814 [supersedeas petition deemed to be mandate petition and the Court of Appeal issued
    a writ of mandate ordering preparation of an environmental impact report and limiting
    ground water pumping].) No supersedeas petition has been filed with us. Finally, in a
    related supersedeas scenario, nothing we have written applies to issue of injunctions
    designed to preserve the status quo so as to maintain the jurisdiction of this court. (Code
    Civ. Proc., § 923 [“The provisions of this chapter shall not limit the power of a reviewing
    court or of a judge thereof to stay proceedings during the pendency of an appeal or to
    issue a writ of supersedeas or to suspend or modify an injunction during the pendency of
    43
    an appeal or to make any order appropriate to preserve the status quo, the effectiveness of
    the judgment subsequently to be entered, or otherwise in aid of its jurisdiction.”]; People
    ex rel. S. F. Bay etc. Com. v. Town of Emeryville (1968) 
    69 Cal. 2d 533
    , 537 [Supreme
    Court’s inherent powers permit it to issue an injunction in aid of its own jurisdiction and
    to preserve the status quo]; County of Inyo v. City of Los Angeles (1976) 
    61 Cal. App. 4th 91
    , 100-101 [Court of Appeal uses injunctive order powers to reset an interim pumping
    rate from the subsurface pool of the Owens Valley Groundwater Basin].) No specific
    injunctive relief request has been presented to us. This is not merely a case involving an
    injunction but the: certification of an environmental impact; approval of a streambed
    alteration agreement; approval of the resource management and development plan;
    adoption of the Spineflower Conservation Plan and streambed alteration agreement; and
    issuance of two incidental take permits. Our analysis is limited to the argument that,
    based on section 21168.9, we should issue a writ of mandate and supervise the
    department’s compliance therewith. Section 21168.9 does not empower us to do so.
    Upon remittitur issuance, the trial court is to proceed in compliance with section
    21168.9. We have reversed the judgment except as to the greenhouse gas emission and
    BIO-44 and BIO-46 issues. This will entail at a minimum setting aside those two
    portions of the environmental impact report. But beyond that, we leave further matters in
    the trial court’s good hands. Whether to maintain the injunction against any development
    in effect or partially certify the environmental impact report depends on competing
    factual issues including section 21168.9, subdivision (b) severance issues. (LandValue
    77 LLC v. Board of Trustees of California State University (2011) 
    193 Cal. App. 4th 675
    ,
    44
    680-683; Anderson First Coalition v. City of Anderson (2005) 
    130 Cal. App. 4th 1173
    -
    1181.) One of the issues, changing the bridge design over the Santa Clara River so no
    threespine unarmored stickleback are taken, may be a comparatively uncomplicated
    engineering decision. But the other issue, the greenhouse gas emission question may be
    very complicated. (See Center for Biological 
    Diversity, supra
    , 62 Cal.4th at pp. 225-
    231.) It is speculatively injudicious for us to decide these matters and that is why the
    scope of our remittitur is narrowly drawn.
    VI. DISPOSITION
    The judgment is affirmed in part and reversed in part. First, the judgment is
    affirmed as to the finding that mitigation measures BIO-44 and BIO-46 violate Fish and
    Game Code section 5515. Second, the judgment is reversed as the finding that the
    selection of the Health and Safety Code section 38850 greenhouse gas emission reduction
    goals was an abuse of discretion. Upon remittitur issuance, the trial court shall find the
    department could select the Health and Safety Code section 38850 greenhouse gas
    emissions reduction goals as a significance criterion. Third, the judgment is reversed as
    to the finding that the department could not use a hypothetical business as usual scenario
    for evaluating greenhouse gas emission impacts. Upon remittitur issuance, the trial court
    is to enter a finding that the department can use a hypothetical business as usual scenario
    for evaluating greenhouse gas emission impacts. Fourth, the judgment is affirmed as to
    the trial court’s ruling there is no substantial evidence the project’s greenhouse gas
    emissions will not result in a cumulatively significant environmental impact. Upon
    remittitur issuance, the trial court is to enter a finding that the there is no substantial
    45
    evidence the project’s greenhouse gas emissions will not result in a cumulatively
    significant environmental impact. Fifth, the trial court’s remaining findings concerning
    Native American resources, San Fernando Spineflower conservation, reliance on the
    specific plan and steelhead smolt are reversed. Once the remittitur issues, the trial court
    is to issue its writ of mandate as specified in parts II, III and IV(E). Further, the trial
    court is to proceed in compliance with Public Resources Code section 21168.9 including
    fashioning appropriate injunctive orders including any changes to the permits if
    necessary. All parties are to bear their own costs of appeal.
    CERTIFIED FOR PARTIAL PUBLICATION
    TURNER, P. J.
    We concur:
    KRIEGLER, J.
    BAKER, J.
    46