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High Court of Ireland Decisions |
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You are here: BAILII >> Databases >> High Court of Ireland Decisions >> An Taisce -v- Ireland & Ors [2010] IEHC 415 (25 November 2010) URL: http://www.bailii.org/ie/cases/IEHC/2010/H415.html Cite as: [2010] IEHC 415 |
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Judgment Title: An Táisce -v- Ireland & Ors Composition of Court: Judgment by: Charleton J. Status of Judgment: Approved |
Neutral Citation Number: [2010] IEHC 415 THE HIGH COURT JUDICIAL REVIEW 2009 941 JR BETWEEN AN TÁISCE – THE NATIONAL TRUST FOR IRELAND APPLICANT AND IRELAND AND THE ATTORNEY GENERAL AND AN BORD PLEANÁLA RESPONDENT AND
MONAGHAN COUNTY COUNCIL, JOHN McQUADE QUARRIES LIMITED AND PETER SWEETMAN AND ASSOCIATES NOTICE PARTIES JUDGMENT of Mr. Justice Charleton delivered on 25th November 2010 1. An Táisce seeks to overturn a decision of An Bord Pleanála dated the 20th July 2009, granting permission to John McQuade Quarries Limited to continue to use a quarry at Lengare, Clontibert, County Monaghan subject to conditions. The permission was granted under s.261 of the Planning and Development Act 2000 (“the Act of 2000”) (Quarry reference no. Q04/303) and the decision is PL 18.225398. An Bord Pleanála granted permission predicated on the basis that the quarry had begun to operate prior to the implementation of the Local Government Planning and Development Act 1963 on 1 October 1964 and had not been changed as to the use thereof by intensification. 2. The grounds on which judicial review is sought may be concisely stated as follows:
(2) An Bord Pleanála engaged in an irrational approach to the issue as to whether the quarry had been proportionately used prior to the 1st October 1964; (3) An Bord Pleanála failed to at all consider the issue of the use of the quarry prior to the 1st October 1964; (4) An Bord Pleanála failed to give any reason for any decision it may have made to the effect that the quarry had been used in a proportionate manner prior to the 1st October 1964; (5) An Bord Pleanála failed to give any consideration as to whether there were exceptional circumstances, absent proportionate pre-1st October 1964 use, which would have allowed for the retention of the use of the quarry. 2. Because of the thorough nature of the arguments presented by counsel, for which the Court is grateful, the issues which this case has raised may be disposed of concisely. Proportionate Use 4. Intensification of use as a breach of an existing pre-1964 lawful use of land is not to be decided solely by reference to criteria set out in Galway County Council v. Lackagh Rock Limited [1985] I.R. 120. Modern methods as a replacement for manual work do not necessarily establish an unlawful intensification of use but neither is that an indication of lawful intensification. That, furthermore, is only one principle. Whether intensification of use is established, as opposed to a proportionate and therefore lawful continuance of pre-planning control use, is a question for analysis based on the relevant case law. Where there has been an intensification of use, it must also be considered if that intensification impacts on the proper planning and sustainable development of an area. The establishment, however, that such intensification has affected the proper planning and development of the area does not necessarily have to be subject to separate submissions to either a planning authority or An Bord Pleanála. As with other areas of proof, this may arise by necessary implication arising out of a comparison of this nature and scale of the operation as compared to the base line against which it is to be judged. Further, a planning application is not a court process. Proofs are absent. The duty that is cast on a planning authority, or on An Bord Pleanála on appeal, is to make an appropriate enquiry. See Weston Limited v. An Bord Pleanála [2010] IEHC 255, (Unreported, High Court, Charleton J., 1st July, 2010). Section 261(7)
(2) Without prejudice to the generality of subsection (1), information provided under that subsection shall specify the following
(b) the material being extracted and processed (if at all), (c) the date when quarrying operations commenced on the land (where known), (d) the hours of the day during which the quarry is in operation, (e) the traffic generated by the operation of the quarry including the type and frequency of vehicles entering and leaving the quarry, (f) the levels of noise and dust generated by the operations in the quarry, (g) any material changes in the particulars referred to in paragraphs (a) to (f) during the period commencing on the commencement of this section and the date on which the information is provided, (h) whether -
(ii) the operation of the quarry commenced before 1 October 1964,and (iii) such other matters in relation to the operations of the quarry as may be prescribed. (4) (a) A planning authority shall, not later than 6 months from the registration of a quarry in accordance with this section, publish notice of the registration in one or more newspapers circulating in the area within which the quarry is situated. (b) A notice under paragraph (a) shall state -
(ii) where planning permission has been granted in respect of the quarry, that it has been so granted and whether the planning authority is considering restating, modifying or adding to conditions attached to the planning permission in accordance with subsection (6)(a)(ii), or (iii) where planning permission has not been granted in respect of the quarry, that it has not been so granted and whether the planning authority is considering—
(II) requiring the making of a planning application and the preparation of an environmental impact statement in respect of the quarry in accordance with subsection (7), (c) A notice under this subsection may relate to one or more quarries registered in accordance with this section. (5) (a) Where a planning authority proposes to— (i) impose, restate, modify or add to conditions on the operation of the quarry under this section, or (ii) require, under subsection (7), a planning application to be made and an environmental impact statement to be submitted in respect of the quarry in accordance with this section, it shall, as soon as may be after the expiration of the period for making observations or submissions pursuant to a notice under subsection (4)(b), serve notice of its proposals on the owner or operator of the quarry. (b) A notice referred to in paragraph (a), shall state— (i) the reasons for the proposals, and (ii) that submissions or observations regarding the proposals may be made by the owner or operator of the quarry to the planning authority within such period as may be specified in the notice, being not less than 6 weeks from the service of the notice. (c) Submissions or observations made pursuant to a notice under paragraph (b) shall be taken into consideration by a planning authority when performing its functions under subsection (6) or (7). (6) (a) Not later than 2 years from the registration of a quarry under this section, a planning authority may, in the interests of proper planning and sustainable development, and having regard to the development plan and submissions or observations (if any) made pursuant to a notice under subsection (4) or (5)— (i) in relation to a quarry which commenced operation before 1 October 1964, impose conditions on the operation of that quarry, or (ii) in relation to a quarry in respect of which planning permission was granted under Part IV of the Act of 1963 restate, modify or add to conditions imposed on the operation of that quarry, and the owner and operator of the quarry concerned shall as soon as may be thereafter be notified in writing thereof. (b) Where, in relation to a grant of planning permission conditions have been restated, modified or added in accordance with paragraph (a), the planning permission shall be deemed, for the purposes of this Act, to have been granted under section 34 , and any condition so restated, modified or added shall have effect as if imposed under section 34. (c) Notwithstanding paragraph (a), where an integrated pollution control licence has been granted in relation to a quarry, a planning authority or the Board on appeal shall not restate, modify, add to or impose conditions under this subsection relating to—
(ii) the control of emissions related to or following the cessation of the operation of the quarry. (7) (a) Where the continued operation of a quarry— (i) (I) the extracted area of which is greater than 5 hectares, or
(ii) that commenced operation before 1 October 1964, would be likely to have significant effects on the environment (having regard to any selection criteria prescribed by the Minister under section 176 (2)(e)), a planning authority shall not impose conditions on the operation of a quarry under subsection (6), but shall, not later than one year after the date of the registration of the quarry, require, by notice in writing, the owner or operator of the quarry to apply for planning permission and to submit an environmental impact statement to the planning authority not later than 6 months from the date of service of the notice, or such other period as may be agreed with the planning authority. (b) Section 172 (1) shall not apply to development to which an application made pursuant to a requirement under paragraph (a) applies. (c) A planning authority, or the Board on appeal, shall, in considering an application for planning permission made pursuant to a requirement under paragraph (a), have regard to the existing use of the land as a quarry. (8) (a) Where, in relation to a quarry for which permission was granted under Part IV of the Act of 1963, a planning authority adds or modifies conditions under this section that are more restrictive than existing conditions imposed in relation to that permission, the owner or operator of the quarry may claim compensation under section 197 and references in that section to compliance with conditions on the continuance of any use of land consequent upon a notice under section 46 shall be construed as including references to compliance with conditions so added or modified, save that no such claim may be made in respect of any condition relating to a matter specified in paragraph (a), (b) or (c) of section 34 (4), or in respect of a condition relating to the prevention, limitation or control of emissions from the quarry, or the reinstatement of land on which the quarry is situated. (b) Where, in relation to a quarry to which subsection (7) applies, a planning authority, or the Board on appeal, refuses permission for development under section 34 or grants permission thereunder subject to conditions on the operation of the quarry, the owner or operator of the quarry shall be entitled to claim compensation under section 197 and for that purpose the reference in subsection (1) of that section to a notice under section 46 shall be construed as a reference to a decision under section 34 and the reference in section 197 (2) to section 46 shall be construed as a reference to section 34 save that no such claim may be made in respect of any condition relating to a matter specified in paragraph (a), (b) or (c) of section 34 (4), or in respect of a condition relating to the prevention, limitation or control of emissions from the quarry, or the reinstatement of land on which the quarry is situated. (9) (a) A person who provides information to a planning authority in accordance with subsection (1) or in compliance with a requirement under subsection (3) may appeal a decision of the planning authority to impose, restate, add to or modify conditions in accordance with subsection (6) to the Board within 4 weeks from the date of receipt of notification by the authority of those conditions. (b) The Board may at the determination of an appeal under paragraph (a) confirm with or without modifications the decision of the planning authority or annul that decision. (10) (a) A quarry to which this section applies in respect of which the owner or operator fails to provide information in relation to the operations of the quarry in accordance with subsection (1) or in accordance with a requirement under subsection (3) shall be unauthorised development. (b) Any quarry in respect of which a notification under subsection (7) applies shall, unless a planning application in respect of the quarry is submitted to the planning authority within the period referred to in that subsection, be unauthorised development.
(b) any other quarry in operation on or after the coming into operation of this section, being a quarry in respect of which planning permission was not granted under that Part. (12) The Minister may issue guidelines to planning authorities regarding the performance of their functions under this section and a planning authority shall have regard to any such guidelines. “emission” means—
(b) a discharge of polluting matter, sewage effluent or trade effluent within the meaning of the Local Government (Water Pollution) Act, 1977, to waters or sewers within the meaning of that Act, (c) the disposal of waste, or (d) noise; “operator” means a person who at all material times is in charge of the carrying on of quarrying activities at a quarry or under whose direction such activities are carried out; “quarry” has the meaning assigned to it by section 3 of the Mines and Quarries Act, 1965.” 7. Regrettably, it is apparent on the face of the order that a number of significant errors were made in the decision of the Board. Firstly, by board direction dated 10th July 2009 it is provided:-
8. It is settled as a matter of law that the registration of a quarry under s. 261 does not alter its status. If the use of a quarry was unlawful before registration, that status remains afterwards. It is incumbent on the planning authority to consider, in any application under s. 261(7), whether a lawful use has been established. No burden of proof exists as to an objector in that respect. The planning process is not to be turned into a kind of adversarial system. It is an enquiry into the appropriateness or otherwise of a proposed development. Legal status, where relevant to that process, can be established by reference to the enquiry which the Board or the planning authority undertakes. If An Bord Pleanála is not satisfied with the information which it has at its disposal it can cause further enquiries to be made. 9. Even the imposition of conditions, consequent upon registration under s. 261(5), of the Act does not alter the status of a quarry. As regard is to be had under s. 261(7) of the existing lawful use of the land, it would be wrong for the planning authority or the Board to take the lawful use of the land as having been established or implied by registration. In Pierson and Others v. Keegan Quarries Limited [2009] IEHC 550 (Unreported, High Court, Irvine J., 8th December, 2009), at para. 40. Irvine J. offered the following view, with which I agree:-
Irrational Approach
Reasons 14. Established authority clearly provides that An Bord Pleanála, or a planning authority, is enabled to give reasons by reference to the acceptance of a relevant report. This incorporates the relevant reasons and constitutes a fulfilment of the statutory obligation outlined. 15. In the decision in question, those reasons are manifestly absent. There is no consideration of the issue as to pre-1964 use. The matter was properly raised. A small error in terminology is argued to excuse this requirement. It does not excuse it. Exceptional Circumstances 17. This issue was not considered by An Bord Pleanála. A legislative amendment makes an application under a different route possible. Again, since this is not before the court, I refrain from comment. Result
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