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England and Wales High Court (Administrative Court) Decisions |
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You are here: BAILII >> Databases >> England and Wales High Court (Administrative Court) Decisions >> Marton -Cum -Grafton Parish Council), R (On the Application Of) v North Yorkshire County Council [2013] EWHC 2406 (Admin) (09 August 2013) URL: http://www.bailii.org/ew/cases/EWHC/Admin/2013/2406.html Cite as: [2013] EWHC 2406 (Admin) |
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QUEEN'S BENCH DIVISION
ADMINISTRATIVE COURT
LEEDS DISTRICT REGISTRY
B e f o r e :
____________________
The Queen ( on the application of Marton-cum-Grafton Parish Council ) |
Claimant |
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- and - |
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North Yorkshire County Council |
Defendant |
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-and- |
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Ameycespa Limited |
First Interested Party |
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-and- |
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City of York Council |
Second Interested Party |
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-and- |
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The Right Honourable Edward William Stephen Baron Mowbray Segrave and Stourton |
Third Interested Party |
____________________
Ms Nathalie Lieven QC (instructed by the Solicitor for North Yorkshire County Council) for the Defendant
Mr Rhodri Price Lewis QC (instructed by Trowers and Hamlins LLP ) for the First Interested Party
Hearing dates: 30th and 31st July 2013
____________________
Crown Copyright ©
His Honour Judge Gosnell:
The project became known as the Allerton Waste Recovery Park ("AWRP") and the First Interested Party became the Preferred Bidder in 2010. The genesis of the proposal was much earlier however and in October 2005 the Department for Environment Food and Rural Affairs ("Defra") wrote to the Defendant to say that they had earmarked £40 million of PFI credits in support of a waste procurement project jointly between the Defendant and Second Interested Party. Defra confirmed in 2008 that the project was ready to enter into procurement and that central government support for the project was expected to be given on the basis of £65 million worth of PFI credits.
The Claimant contends that the decision to grant consent was unlawful for the following reasons:
(i) The resolution to grant consent was made by the Defendant Council on 30th October 2012. There subsequently arose a number of new facts which amounted to material considerations in the context of S70 (2) Town and Country Planning Act 1990 ("TCPA") and which deprived the Officer of jurisdiction to issue the consent and required him to return the matter to the Committee of the Defendant Council in accordance with the principle in R (Kides) v. South Cambridgeshire DC [2002] EWCA Civ 1370. Unlawfully, and in breach of the principle in Kides, the Officer of the Defendant Council purported to issue the planning permission on 14th February 2013;
"70 Determination of applications: general considerations.
(1)Where an application is made to a local planning authority for planning permission—
(a)subject to sections 91 and 92, they may grant planning permission, either unconditionally or subject to such conditions as they think fit; or
(b) they may refuse planning permission.
(2)In dealing with such an application the authority shall have regard to
(a) the provisions of the development plan, so far as material to the application
(b) any local finance considerations, so far as material to the application, and
(c) any other material considerations"
The issue in this case however relates not to documents which were supplied as part of the original application for planning permission but to information which came into being between the date of the committee's resolution to grant planning permission on 30th October 2012 and the publication of the Decision Notice on 14th February 2013.
"118.I begin by considering the nature and extent of a planning authority's duty under section 70(2) of the 1990 Act.
119. Section 70(2) requires a planning authority, in "dealing with" an application, to "have regard" (among other things) to all "material considerations".
"dealing with"
120. In the context of the activities of a planning authority in relation to a planning application, I find it hard to think of an expression which has a wider or more general meaning than the expression "in dealing with". In my judgment, "dealing with" in the context of section 70(2) includes anything done by or on behalf of the planning authority which bears in any way, and whether directly or indirectly, on the application in question. Thus it extends beyond "considering", so as to include administrative acts done by the authority's delegated officers. Nor, in my judgment, is the expression "dealing with" to be limited to the particular acts of the authority in granting or refusing permission under section 70(1). I would regard such a construction as an unjustifiable limitation on the natural meaning of the words. In temporal terms, the first act of a planning authority in "dealing with" an application will be its receipt of the application; and its final act will normally be the issue of the decision notice (certainly that is the position in the instant case).
"material considerations"
121. In my judgment a consideration is "material", in this context, if it is relevant to the question whether the application should be granted or refused; that is to say if it is a factor which, when placed in the decision-maker's scales, would tip the balance to some extent, one way or the other. In other words, it must be a factor which has some weight in the decision-making process, although plainly it may not be determinative. The test must, of course, be an objective one in the sense that the choice of material considerations must be a rational one and the considerations chosen must be rationally related to land use issues.
"have regard to"
122. In my judgment, an authority's duty to "have regard to" material considerations is not to be elevated into a formal requirement that in every case where a new material consideration arises after the passing of a resolution (in principle) to grant planning permission but before the issue of the decision notice there has to be a specific referral of the application back to committee. In my judgment the duty is discharged if, as at the date at which the decision notice is issued, the authority has considered all material considerations affecting the application, and has done so with the application in mind – albeit that the application was not specifically placed before it for reconsideration.
123. The matter cannot be left there, however, since it is necessary to consider what is the position where a material consideration arises for the first time immediately before the delegated officer signs the decision notice.
124. At one extreme, it cannot be a sensible interpretation of section 70(2) to conclude that an authority is in breach of duty in failing to have regard to a material consideration the existence of which it (or its officers) did not discover or anticipate, and could not reasonably have discovered or anticipated, prior to the issue of the decision notice. So there has to be some practical flexibility in excluding from the duty material considerations to which the authority did not and could not have regard prior to the issue of the decision notice.
125. On the other hand, where the delegated officer who is about to sign the decision notice becomes aware (or ought reasonably to have become aware) of a new material consideration, section 70(2) requires that the authority have regard to that consideration before finally determining the application. In such a situation, therefore, the authority of the delegated officer must be such as to require him to refer the matter back to committee for reconsideration in the light of the new consideration. If he fails to do so, the authority will be in breach of its statutory duty.
126. In practical terms, therefore, where since the passing of the resolution some new factor has arisen of which the delegated officer is aware, and which might rationally be regarded as a "material consideration" for the purposes of section 70(2), it must be a counsel of prudence for the delegated officer to err on the side of caution and refer the application back to the authority for specific reconsideration in the light of that new factor. In such circumstances the delegated officer can only safely proceed to issue the decision notice if he is satisfied (a) that the authority is aware of the new factor, (b) that it has considered it with the application in mind, and (c) that on a reconsideration the authority would reach (not might reach) the same decision.
127 In substance, therefore, I accept the submission made by Mr Drabble in paragraph 12 of his skeleton argument (quoted in paragraph 115 above), but with the proviso (which may in any event be implicit in his formulation of the statutory duty) that the test of a "material consideration" is an objective one in the sense explained in paragraph 121 above. It is not for the delegated officer to decide what is a material consideration within the meaning of section 70(2). Hence it is no defence to a claim that an authority has breached its section 70(2) duty for the authority to assert that in issuing the decision notice the delegated officer did not consider the consideration to be "material". Accordingly, I respectfully agree with the judge's observation (in paragraph 71 of the judgment) that "the delegation of the consideration of new material considerations is no answer to the .... claim".
"Without seeking to detract from the authority of the guidance in Kides, I would emphasise that it is only guidance as to what is advisable, "erring on the side of caution". Furthermore, in that case there had been a gap of five years between the resolution and the issue of the permission. The guidance must be applied with common sense, and with regard to the facts of the particular case."
a) a publication by HM Treasury entitled " A new approach to public private partnerships" published in December 2012; and
b) two Leeds City Council reports to their planning committee about the grant of planning permission for two Energy from Waste facilities in the Leeds area.
"As part of the continuous monitoring of our progress towards meeting EU Landfill Directive Targets Defra has made an assessment of the amount of residual waste treatment infrastructure it is estimated, on reasonable assumptions, is required nationally to meet our obligation to reduce the amount of waste that is sent to landfill. As a result of this assessment I regret to inform you…"
Whilst it is not essential that the withdrawal of funding is causally connected to the HM Treasury report the fact that it clearly was not adds some weight to the suggestion that the Defendant's officials did not and could not have known that PFI funding was at risk. The assessment which is referred to in the letter was published the same day and is clearly a complex assessment prepared on a national basis which could not have been anticipated or replicated by the Defendant's staff. The evidence of David Bowe who is the Defendant's Director of Business and Environmental Services is that he had no indication that the funding was about to be withdrawn until the letter dated 21st February 2013 arrived. There is support for this evidence at page 345 of the Trial Bundle in the form of a press release where the elected leader of the Defendant described the decision as "baffling and disappointing". It is abundantly clear that the Defendant did not know the funding was about to be withdrawn before it was but ought they to have had concerns based on the HM Treasury report? The report appears to be concerned with future PFI arrangements rather than previously approved projects and there is nothing in the document, in my assessment which would lead any competent planning officer to be concerned that, as a consequence of the contents of the report, the PFI funding for the AWRP might be affected. It follows from this conclusion that I find as a fact that the HM Treasury report and its contents were not a material consideration in that they would not have tipped the balance in the decision maker's scales to any extent on the information which was available to both the officers and committee members at that time.
" Recent appeal decisions relating to the provision of waste treatment capacity have generally followed an approach of not giving weight to potential alternative capacity which is not yet operational and given the range of uncertainty about delivery of operational capacity, referred to above, it is considered that this is a reasonable approach. It is therefore considered that there is currently a lack of sufficient available and operational capacity in North Yorkshire and the Yorkshire and Humber Region to deal with the volume of residual waste requiring management."
"Of this regional capacity, available capacity to North Yorkshire and York waste producers will be restricted by the following critical factors :
- The lack of long term contracts means that funding cannot be generated resulting in many proposed merchant facilities not being built."
The Biffa site is a merchant facility and the granting of planning permission is unlikely to solve the major difficulty of the length of contract affecting funding generation. The prospects of it becoming operational therefore appear to remain low. Taking all of the evidence as a whole the fact that these two projects appear to have passed or were about to pass the hurdle of planning permission had little if any effect on the need for an EfW facility in North Yorkshire. Even if Leeds had any spare capacity, which seemed unlikely, it would be limited to 1% for all outside sources and one of the two facilities had been assessed of having a low prospect of actually being developed. I form the view that this information was so marginal it would not tip the scales one way or the other and was not relevant on the issue of whether the application should be granted or refused.
The genesis of the obligation to carry out an Environmental Impact Assessment arose in European Law and the current provision is Directive 2011/92/EU dated 13 December 2011 and Article 5(1) provides:
"1. In the case of projects which, pursuant to Article 4, are to be made subject to an environmental impact assessment in accordance with this Article and Articles 6 to 10, Member States shall adopt the necessary measures to ensure that the
developer supplies in an appropriate form the information specified in Annex IV inasmuch as:
(a) the Member States consider that the information is relevant to a given stage of the consent procedure and to the specific characteristics of a particular project or type of project and of the environmental features likely to be affected;
(b) the Member States consider that a developer may reasonably be required to compile this information having regard, inter alia, to current knowledge and methods of assessment."
"environmental information" means the environmental statement, including any further information and any other information, any representations made by any body required by these Regulations to be invited to make representations, and any representations duly made by any other person about the environmental effects of the development;
"environmental statement" means a statement—
(a) that includes such of the information referred to in Part 1 of Schedule 4 as is reasonably required to assess the environmental effects of the development and which the applicant can, having regard in particular to current knowledge and methods of assessment, reasonably be required to compile, but
(b) that includes at least the information referred to in Part 2 of Schedule 4;"
29. Schedule 4 provides as follows:
"SCHEDULE 4 Regulation 2(1)
Information for inclusion in environmental statements
PART 1
1. Description of the development, including in particular—
(a) a description of the physical characteristics of the whole development and the land-use requirements during the construction and operational phases;
(b) a description of the main characteristics of the production processes, for instance, nature and quantity of the materials used;
(c) an estimate, by type and quantity, of expected residues and emissions (water, air and soil pollution, noise, vibration, light, heat, radiation, etc) resulting from the operation of the proposed development.
2. An outline of the main alternatives studied by the applicant or appellant and an indication of the main reasons for the choice made, taking into account the environmental effects.
3. A description of the aspects of the environment likely to be significantly affected by the development, including, in particular, population, fauna, flora, soil, water, air, climatic factors, material assets, including the architectural and archaeological heritage, landscape and the interrelationship between the above factors.
4. A description of the likely significant effects of the development on the environment, which should cover the direct effects and any indirect, secondary, cumulative, short, medium and long term, permanent and temporary, positive and negative effects of the development, resulting from—
(a) the existence of the development;
(b) the use of natural resources;
(c) the emission of pollutants, the creation of nuisances and the elimination of waste, and the description by the applicant or appellant of the forecasting methods used to assess the effects on the environment.
5. A description of the measures envisaged to prevent, reduce and where possible offset any significant adverse effects on the environment.
6. A non-technical summary of the information provided under paragraphs 1 to 5 of this Part.
7. An indication of any difficulties (technical deficiencies or lack of know-how) encountered by the applicant or appellant in compiling the required information.
PART 2
1. A description of the development comprising information on the site, design and size of the development.
2. A description of the measures envisaged in order to avoid, reduce and, if possible, remedy significant adverse effects.
3. The data required to identify and assess the main effects which the development is likely to have on the environment.
4. An outline of the main alternatives studied by the applicant or appellant and an indication of the main reasons for the choice made, taking into account the environmental effects.
5. A non-technical summary of the information provided under paragraphs 1 to 4 of this Part."
The Claimant contends that the decision to grant consent was unlawful for the following reasons:
(ii) The form of the application was in conflict with the EC Directive on the assessment of the effects of certain projects on the environment (85/337/EEC) as amended, ("The EIA Directive") and the Town and Country Planning (Environmental Impact Assessment) Regulations 2011 ("The EIA Regulations") in that it failed to constitute a single and accessible compilation produced at the very start of the application process. In fact what the IP produced was a disparate collection of documents traceable only by a person with a good deal of energy and persistence and thereby failed to make available to the public the Annex III information which they ought to have provided, and in so doing acted in conflict with the principle in Berkeley v. Secretary of State for the Environment [2000] ENV LR 24;
(iii) The content of the Environmental Statement ("ES") was in conflict with the EIA Directive and EIA Regulations in that the Defendant Council wrongly excluded vital information from the ES despite it being provided by the IP to supplement information already contained in the ES;
Leading counsel for the Claimant at the hearing described ground two as a procedural failure and ground three as a substantive failure of law. At the heart of these issues is whether evidence in relation to the need for the development should be included in the Environmental Statement or in the Planning Statement. The Claimant says that in principle evidence of need should be included in the Environmental Statement and if it is not then the Environmental Statement is defective and the Defendant has no power to grant planning permission pursuant to regulation 3(4) of the EIA Regulations. The procedural failure stems from the way which the First Interested Party dealt with additional information after submission of the planning permission and the way in which information was disseminated to the public.
"(3) The recipient of further information pursuant to paragraph (1) or any other information shall publish in a local newspaper circulating in the locality in which the land is situated a notice stating ….."
There is a further provision in regulation 22(7) which effectively suspends determination of the planning application until this procedure has been complied with.
"My Lords, I do not accept that this paper chase can be treated as the equivalent of an environmental statement. In the first place, I do not think it complies with the terms of the Directive. The point about the environmental statement contemplated by the Directive is that it constitutes a single and accessible compilation, produced by the applicant at the very start of the application process, of the relevant environmental information and the summary in non-technical language. It is true that article 6.3 gives Member States a discretion as to the places where the information can be consulted, the way in which the public may be informed and the manner in which the public is to be consulted. But I do not think it allows Member States to treat a disparate collection of documents produced by parties other than the developer and traceable only by a person with a good deal of energy and persistence as satisfying the requirement to make available to the public the Annex III information which should have been provided by the developer."
"127.Although of course these statements carry great persuasive weight, care is needed in applying them in other statutory contexts and other factual circumstances. Not only did they rest in part on concessions by counsel for the Secretary of State, but the circumstances were very unusual in that, by the time the case reached the House of Lords, the developer had abandoned the project, and the decision had lost any practical significance."
In R (Blewett) v Derbyshire County Council [2003] EWHC 2775 (Admin) Sullivan J stated as follows:
"32. Where there is a document purporting to be an environmental statement, the starting point must be that it is for the local planning authority to decide whether the information contained in the document is sufficient to meet the definition of an environmental statement in Regulation 2 of the Regulations.
33. The local planning authority's decision is, of course, subject to review on normal Wednesbury principles: see R v Cornwall County Council ex parte Hardy [2001] JPL 786, per Harrison J at paragraph 65, applying R v Rochdale Metropolitan Borough Council ex parte Milne [2001] Env LR 416 at paragraph 106.
40. In the light of the environmental information the local planning authority may conclude that the environmental statement has failed to identify a particular environmental impact, or has wrongly dismissed it as unlikely, or not significant. Or the local planning authority may be persuaded that the mitigation measures proposed by the applicant are inadequate or insufficiently detailed. That does not mean that the document described as an environmental statement falls outwith the definition of an environmental statement within the Regulations so as to deprive the authority of jurisdiction to grant planning permission. The local planning authority may conclude that planning permission should be refused on the merits because the environmental statement has inadequately addressed the environmental implications of the proposed development, but that is a different matter altogether. Once the requirements of Schedule 4 are read in the context of the Regulations as a whole, it is plain that a local planning authority is not deprived of jurisdiction to grant planning permission merely because it concludes that an environmental statement is deficient in a number of respects.
41. Ground 1 in these proceedings is an example of the unduly legalistic approach to the requirements of Schedule 4 to the Regulations that has been adopted on behalf of claimants in a number of applications for judicial review seeking to prevent the implementation of development proposals. The Regulations should be interpreted as a whole and in a common-sense way. The requirement that "an EIA application" (as defined in the Regulations) must be accompanied by an environmental statement is not intended to obstruct such development. As Lord Hoffmann said in R v North Yorkshire County Council ex parte Brown [2000] 1 AC 397, at page 404, the purpose is "to ensure that planning decisions which may affect the environment are made on the basis of full information". In an imperfect world it is an unrealistic counsel of perfection to expect that an applicant's environmental statement will always contain the "full information" about the environmental impact of a project. The Regulations are not based upon such an unrealistic expectation. They recognise that an environmental statement may well be deficient, and make provision through the publicity and consultation processes for any deficiencies to be identified so that the resulting "environmental information" provides the local planning authority with as full a picture as possible. There will be cases where the document purporting to be an environmental statement is so deficient that it could not reasonably be described as an environmental statement as defined by the Regulations (Tew was an example of such a case), but they are likely to be few and far between.
42. It would be of no advantage to anyone concerned with the development process - applicants, objectors or local authorities - if environmental statements were drafted on a purely "defensive basis", mentioning every possible scrap of environmental information just in case someone might consider is significant at a later stage. Such documents would be a hindrance, not an aid to sound decision-making by the local planning authority, since they would obscure the principal issues with a welter of detail."
The Defendant and First Interested Party contend that the Claimant in this case is indulging in the "unduly legalistic approach" which was the subject of criticism by Mr Justice Sullivan as he then was.
The Claimant contends that the decision to grant consent was unlawful for the following reasons
(iv) The content of the Environmental Statement was in conflict with the EIA Directive and EIA Regulations in that it wrongly excluded information about the likely significant effects of the proposal which ought to have been included in the Environmental Statement , namely; the impact of the Combined Heat and Power ("CHP") pipes on the environment;
(v) Alternatively to (iv) above, the Defendant Council failed to take into account a material consideration in assessing the acceptability of the ES as a condition of granting consent; namely the analysis of the Secretary of State of a failure to provide environmental information about the likely significant effects of laying CHP pipes in a similar proposal at Cheshire;
"6. I consider that the fundamental purpose of the EfW development subject of Appeal A is to recover energy from waste in accordance with the aims of the revised Waste Framework Directive 2008 (Directive 2008/98/EC) and the Waste (England and Wales) Regulations 2011 (SI 2011: NO 988). To fulfil the purpose of the EfW facility therefore the energy by the facility must be exported and used or it will not substitute for energy derived from other fuels. In those circumstances, the operations at the EfW facility could not be considered as recovery operations as defined in Article 3 of the revised Directive and in paragraph 5(b) of Part I of Schedule 2 to the 2011 Regulations. Neither could the proposed development be considered an EfW facility.
7. Accordingly, I conclude that the export of energy from the development subject of Appeal A, whether as electricity to the grid or to any other user, as CHP, whether to British Salt or any other user, is a necessary and intrinsic part of that development. Therefore the effects of those supplies are main effect of the development and those effects fall to be assessed by the EIA Regulations."
"26. The Covanta decision, in my view, quite clearly does not indicate that in all the circumstances, where CHP is a possibility there must be an environmental impact assessment which covers that possibility. That would be absurd because unless and until it is at least known on the basis of probability, putting it no higher, that a particular route for that process to be carried out is at least considered, then it would be quite impossible to make a sensible assessment because one would simply not know what areas were likely to be affected and what would be the nature of any such effects.
27. It was only because on its facts, as is clear, that there was known to be a probability of CHP and the routes were again known, in the sense that there had been a degree of research into what would be appropriate, that it was considered, on the facts of that case to be a reasonable requirement (and note a reasonable requirement). There is an element of judgment involved in whether that situation can properly be said to have arisen."
"18. Let me turn to the question of the application for leave to amend to deal with the EIA point. In June 2009 the interested party submitted to the Council a request for a scoping opinion, setting out the intended scope of the EIA and seeking the Council's opinion on whether that was appropriate. The material part of the request for our purposes was 6.20, under the heading "Heat Plan" and this is said:
"West of England Partnership undertook a heat demand survey to assess whether there is sufficient potential heat demand in proximity to an identified site to justify CHP in addition to an EFW facility. It is considered that the application site and location offers excellent potential for the utilisation of the heat for the process, it is veiled [sic] to carry out a comprehensive assessment to establish whether the carbon footprint of the EFW can be further reduced by the utilisation of waste heat and quantify the addition carbon savings that may be achieved. The feasibility of a combined heat and power scheme relies on consistent market on the heat supplied by the plant. In order to determine the existing potential market for heat in the Avonmouth area a base line assessment will be carried out which will involve looking at facilities in the local area, such as industry, hospital, schools, local authority housing, large commercial premises, all of which could provide an essential base load for the proposed CHB scheme."
19. Accordingly, as it is said in the written submissions from the interested party that no likely end user had at that stage been identified for heat from the scheme. Nor had any likely or possible route from the pipework been identified."
"4.1 Urban Mines were commissioned to undertake a survey to identify potential users of the low grade heat and their demand within a 10km radius of Allerton Park Quarry (the report is included at annex 1). In an urban environment, a catchment of 4 to 6km is more usual for this type of work. However, with the most rural nature of the area surrounding the development site it was thought that a survey area of this size was more likely to identify significant heat demand, especially as this extends into Knaresborough and Harrogate south-west of the site.
4.4 The outcome of this survey indicated there is currently a total potential heat demand of approximately 76,054 MWh/annum, of which the majority would lie between 5-10km from the site. The survey established two main corridors emanating from the site:
- North of the Allerton Quarry site towards Boroughbridge ,with potential users consisting of mainly industrial and business properties ,but also with planned residential developments
- South-West of the Allerton Quarry site towards Knaresborough and Harrogate , with a number of sizable potential heat users, including Harrogate District Hospital , a number of retail and mixed use developments , senior schools and sports facilities , including the swimming pool at Knaresborough
4.5 Recommendations within the report suggested AmeyCespa open dialogue with major heat users and undertake a technical appraisal of the feasibility and cost implications of instituting such a system.
Summary
4.8 AmeyCespa has established that there is possible demand and physical ability to consider CHP
4.9 It is therefore now necessary to establish if, and which, potential users are interested in supply of heat from the proposed development. To this extent AmeyCespa has begun, and will continue, dialogue with a number of potential users.
Conclusions
6.1 AmeyCespa has an optimistic approach to CHP, but is aware of the barriers to implementation. All factors outlined above will be reviewed on a continuous process, in particular dialogue with potential users who are the key to such a scheme's implementation."
" 7.434 It should be noted, however, that the provision of CHP has a knock-on dis-benefit of reducing the amount of electricity that can be generated as reject steam is diverted away from the turbine and its ability to produce the wattage of electricity currently calculated to be produced. The applicant has indicated that the AWRP facility could be configured so as to enable the utilisation of CHP. However, at this stage, no specific user of heat has been identified and there is therefore considerable uncertainty as to whether the facility would operate as a CHP facility"
7.436 In this respect Members' attention is drawn to the fact that the applicant has produced a Heat Assessment…….
7.437 The report states that the majority of these are between 5km and 10km from the site. Objectors have expressed the view that there is no realistic prospect of the AWRP facility operating as a CHP facility and that this is a fundamental drawback of the proposal. Overall, it is concluded that there is likely to be some potential for heat utilisation from the scheme, but the extent of this potential is limited by the location of the site in relation to other major development. In the absence of realistic prospect of delivery of CHP at this point in time, it would not be appropriate to give significant weight to any potential heat usage.
Conclusion on energy-related issues
7.440…….However , the absence of a confirmed ability to deliver CHP reduces the certainty that the maximum potential energy supply benefit from the scheme could be realised and it is considered that this reduces the overall amount of weight that could otherwise attach to such benefit. If Members were minded to resolve to grant planning permission, it is recommended that a condition is imposed to ensure that the applicant takes ongoing steps during the life of the development to explore and where possible deliver opportunities for utilisation of CHP."
"68. I have dealt with it in some detail because it does illustrate a tendency on the part of claimants opposed to the grant of planning permission to focus upon deficiencies in environmental statements, as revealed by the consultation process prescribed by the Regulations, and to contend that because the document did not contain all the information required by Schedule 4 it was therefore not an environmental statement and the local planning authority had no power to grant planning permission. Unless it can be said that the deficiencies are so serious that the document cannot be described as, in substance, an environmental statement for the purposes of the Regulations, such an approach is in my judgment misconceived. It is important that decisions on EIA applications are made on the basis of "full information", but the Regulations are not based on the premise that the environmental statement will necessarily contain the full information. The process is designed to identify any deficiencies in the environmental statement so that the local planning authority has the full picture, so far as it can be ascertained, when it comes to consider the "environmental information" of which the environmental statement will be but a part."
"33. Therefore, in my view, Annex IV to the EIA Directive (and, in its turn, Schedule 4 to the EIA Regulations) requires a developer to include in his environmental statement a description of significant environmental hazards to which the proposed development will give rise. However:
(i) As indicated above (paragraph 28), by virtue of the definition in Regulation 2 of the EIA Regulations, a developer's obligation to provide information in an environmental statement is restricted to that which is "reasonably required to assess environmental effects" and that which he can "reasonably be required to compile" (emphasis added).
(ii) It is for the planning authority to decide whether the information contained within an environmental statement is sufficient to meet the requirements of the EIA Directive and Regulations (R (Blewett) v Derbyshire County Council [2003] EWHC 2775 (Admin); [2004] Env LR 29, a case to which I shall return in relation to Ground 4). That is a matter of planning judgment for them, subject only to challenge on Wednesbury grounds.
where Lord Justice Laws opined as follows:
11. There is a further ground of appeal. The appellant says that the deputy judge was also in error in applying the conventional Wednesbury standard of review (Associated Provincial Picture Houses v Wednesbury Corporation [1948] 1 QB 223) as a test of the legality of the Secretary of State's view as to the proper scope of the required EIA. It is submitted that the law of the European Union requires a more intensive judicial scrutiny.
39. I turn to Ground 2. It is in the circumstances (if my Lords agree with my conclusions on the first ground) strictly unnecessary to embark upon the debate about the appropriate intensity of review. I will deal with it shortly. R (Goodman) v LB Lewisham [2003] EWCA Civ 140, paragraph 9; Jones v Mansfield DC [2004] ELR 391, paragraphs 14 to 15 and R(Blewett) v Derbyshire CC [2003] EWHC Admin 2775, paragraphs 32 and 33, all indicate, as it seems to me, that the conventional Wednesbury approach applies to the court's adjudication of issues such as arise here, if I am right in holding that such issues are a matter of fact and judgment.
40. In R (BugLife) v Medway Council and Ors [2011] EWHC Admin 746, His Honour Judge Thornton QC opined that the courts might visit the question whether European Union law required them to apply a proportionate standard. For my part, I do not see that there is any true question of proportionality arising in the present case. We are not concerned with the exercise of discretion and therefore we are not concerned with assessing whether a response to a particular aim is or is not proportionate. We are concerned with a fact-finding exercise. There is nothing, as it seems to me, in the jurisprudence of the Court of Justice to show that the conventional English law approach is inapt. Paragraph 48 of Ecologistas perhaps suggests, though I accept it does not state, the contrary. Paragraph 39 of Abraham & Ors, C-2/07, which is a screening not a scoping decision, does not in my judgment assist the appellants. Mr Drabble has relied in a supplementary skeleton argument on other authority of the Court of Justice. However Commission v Germany C-431/92 and Commission v Spain are infringement cases in which the Court of Justice must inevitably make all judgments of fact and law. Kraaijeveld in the circumstances takes the matter no further.
41 I am inclined to accept Mr McCracken's submission for the third respondents that the Court of Justice is of course concerned to see that the law is properly applied in the Member States, but in the present context that is achieved by the Wednesbury standards.
All of this learning suggests that a challenge can only be made on rationality grounds.