4 May 2006*
(Failure of a Member State to fulfil obligations - Admissibility - Subject-matter of the case - Jurisdiction of national courts - Action devoid of purpose - Legal certainty and legitimate expectations of developers Directive 85/337/EEC - Assessment of the effects of certain projects on the environment - White City development project - Crystal Palace development project - Projects falling within Annex II to Directive 85/337 - Obligation to assess projects likely to have significant effects on the environment - Burden of proof - Transposition of Directive 85/337 into national law - Grant of consent comprising more than one stage)
*Language of the case: English.
NAVIGATION:
Judgment
Legal Context - Community
Legislation
- National
legislation
- National implementing
measures
Facts and pre-litigation
procedures - White City
- Crystal
Palace
Incorrect transposition
of directive
The
action
Advisability of the
first complaint
A new
complaint
Infringement of the
principle of legal certainty
The jurisdiction of the
national courts
The action is devoid of
purpose
The second complaint:
incorrect transposition...
Costs
ACTION under Article 226 EC for failure to
fulfil obligations, brought on
1 December 2003,
Commission of the European
Communities, represented by F. Simonetti and
X. Lewis, acting as Agents,
applicant,
United Kingdom of Great Britain and Northern Ireland, represented by K. Manji, acting as Agent, D. Elvin QC and J. Maurici, Barrister,
defendant,
composed of P. Jann (Rapporteur), President of the Chamber, K. Schiemann, N. Colneric, E. Juhász and E. Levits, Judges,
Advocate General: P. Léger,
Registrar: L. Hewlett, Principal Administrator,
having regard to the written procedure and further to the hearing on 22 June 2005,
having decided, after hearing the Advocate General, to proceed to judgment without an Opinion,
gives the following
1 By its application,
the Commission of the European Communities seeks a
declaration from the Court that: - by failing to ensure the
correct application of Articles 2(1), 4(2), 5(2) and 8 of
Directive 85/337, as amended by Council Directive
97/11/EC of 3 March 1997 (OJ 1997 L 73, p. 5) ('Directive
85/337, as amended'), when development consent is granted
in a multi-stage procedure, the United Kingdom of Great
Britain and Northern Ireland has failed to fulfil its
obligations under that directive. Community legislation 2 According to the fifth recital in
the preamble thereto, Directive 85/337 is intended to
establish general principles for the assessment of
environmental effects with a view to supplementing and
coordinating development consent procedures governing public
and private projects which are likely to have an effect on
the environment. 3 For this purpose, Article 1(2) of
Directive 85/337 defines 'development consent' as 'the
decision of the competent authority or authorities which
entitles the developer to proceed with the
project'. 4 Article 2(1) of the directive
states: 'Member States shall adopt all
measures necessary to ensure that, before consent is given,
projects likely to have significant effects on the
environment by virtue inter alia of their nature, size or
location are made subject to an assessment with regard to
their effects. These projects are defined in
Article 4.' 5 Article 4 of the directive
provides: '1. Subject to Article 2(3),
projects of the classes listed in Annex I shall be made
subject to an assessment in accordance with Articles 5 to
10. 2. Projects of the classes listed in
Annex II shall be made subject to an assessment, in
accordance with Articles 5 to 10, where Member States
consider that their characteristics so require. To this end Member States may inter
alia specify certain types of projects as being subject to
an assessment or may establish the criteria and/or
thresholds necessary to determine which of the projects of
the classes listed in Annex II are to be subject to an
assessment in accordance with Articles 5 to 10.' 6 Article 5(2) of the directive
provides that 'the information to be provided by the
developer in accordance with paragraph 1 shall include at
least: - a description of the measures
envisaged in order to avoid, reduce and, if possible,
remedy significant adverse effects, - the data required to identify
and assess the main effects which the project is likely
to have on the environment, - a non-technical summary of the
information mentioned in indents 1 to 3'. 7 Under Article 8 of the directive,
'information gathered pursuant to Articles 5, 6 and 7 must
be taken into consideration in the development consent
procedure'. 8 Point 10(b) of Annex II to the
directive refers to 'urban development projects'. 9 Directive 85/337, in particular the
rules relating to projects falling within Annex II, was
substantially amended by Directive 97/11, which had to be
transposed in the United Kingdom by 14 March 1999 at the
latest. Since the applications seeking consent for the two
projects at issue in the first complaint were submitted to
the competent authorities before that date, those amendments
are not relevant to the projects, as is clear from Article
3(2) of Directive 97/11. 10 The second complaint, however, must
be considered in the light of Directive 85/337, as
amended. 11 In that regard, while Article 1(2)
of Directive 85/337, as amended, remains unchanged, Article
2(1) of the directive now provides that 'Member States shall
adopt all measures necessary to ensure that, before consent
is given, projects likely to have significant effects on the
environment by virtue, inter alia, of their nature, size or
location are made subject to a requirement for development
consent and an assessment with regard to their effects.
These projects are defined in Article 4.' 12 Directive 97/11 also made a minor
amendment to the wording of Article 5(2) of Directive 85/337
by inserting an indent requiring the developer also to
provide: - 'an outline of the main
alternatives studied by the developer and an indication of
the main reasons for his choice, taking into account the
environmental effects'. 13 The numbering of that provision also
changed and it became Article 5(3) of Directive 85/337, as
amended. 14 Article 8 of the
directive provides, in its amended version, that 'the
results of consultations and the information gathered
pursuant to Articles 5, 6 and 7 must be taken into
consideration in the development consent
procedure'. National legislation 15 In England, the principal legal
instrument relating to land planning is the Town and Country
Planning Act 1990 ('the Town and Country Planning Act'),
which lays down general rules concerning both the grant of
planning permission and the modification or revocation of
such permission. This Act is amplified by the Town and
Country Planning (General Development Procedure) Order 1995
('the General Development Procedure Order') and the Town and
Country Planning (Assessment of Environmental Effects)
Regulations 1988 ('the Assessment of Environmental Effects
Regulations'). 16 The Assessment of Environmental
Effects Regulations were replaced by the Town and Country
Planning (Environmental Impact Assessment) (England and
Wales) Regulations 1999 ('the 1999 Regulations'). Since
these new regulations apply only to applications lodged on
or after 14 March 1999, they are not relevant to the two
projects at issue in the first complaint. On the other hand,
they determine the relevant national law for the purposes of
the second complaint. - The Town and Country Planning Act
and the General Development Procedure Order 17 Under section 57(1) of the Town and
Country Planning Act, planning permission is required for
any 'development' within the meaning of section 55, a term
which includes 'the carrying out of building
or other
operations in, on, over or under land
'. 18 Planning permission may be granted
in several forms, one of which is outline permission with a
requirement of subsequent approval of the reserved
matters. 19 Section 92(1) of the Town and
Country Planning Act provides that 'outline planning
permission' is permission 'granted, in accordance with the
provisions of a development order, with the reservation for
subsequent approval by the local planning authority or the
Secretary of State of matters not particularised in the
application ("reserved matters")'. 20 Article 1(2) of the General
Development Procedure Order defines such 'reserved matters'
as 'any of the following matters in respect of which details
have not been given in the application, namely (a) siting,
(b) design, (c) external appearance, (d) means of access,
(e) the landscaping of the site'. 21 Section 92(2) of the Town and
Country Planning Act implicitly provides that consent is
deemed to be finally given for a reserved matter by the
decision granting subsequent approval. 22 It is apparent from section 73 of
the Town and Country Planning Act that an application for an
amendment to an existing permission constitutes an
application for a new planning permission. - The Assessment of Environmental
Effects Regulations and the 1999 Regulations 23 By virtue of the Assessment of
Environmental Effects Regulations, certain projects must be
subject to an environmental impact assessment before consent
is granted. 24 Schedule 2 to the Assessment of
Environmental Effects Regulations sets out the classes of
project which are listed in Annex II to Directive 85/337,
including 'urban development project[s]'. 25 Under regulation 2(1) of the
Assessment of Environmental Effects Regulations, 'Schedule 2
application' means 'an application for planning permission
for the carrying out of development of any
description mentioned in Schedule 2, which is not exempt
development and which would be likely to have significant
effects on the environment by virtue of factors such as its
nature, size or location', this being a matter to be
assessed by the competent authority on a case-by-case
basis. 26 As provided in regulation 4(1) and
(2) of the Assessment of Environmental Effects Regulations,
the competent authority cannot grant planning permission in
respect of, inter alia, a Schedule 2 application unless it
has first taken the environmental information into
consideration and states in its decision that it has done
so. 27 When faced with an application for
planning permission in respect of a project envisaged in
Schedule 2 to the regulations, the competent authority must
therefore, on a case-by-case basis, determine prior to any
grant of planning permission whether the characteristics of
the project require an assessment of its environmental
impact, that is to say whether the project is likely to have
significant effects on the environment, and refuse
permission if it does not have sufficient information to
come to a decision on this point. 28 Under national law, outline planning
permission constitutes 'planning permission' for the
purposes of regulation 4 of the Assessment of Environmental
Effects Regulations, whereas the decision approving reserved
matters does not. For this reason, an environmental impact
assessment can, under national law, be carried out in
respect of a project only at the initial outline planning
permission stage, and not at the later stage of approval of
the reserved matters. 29 While the 1999
Regulations made substantive amendments to the rules
applying to environmental impact assessment, they in no way
altered the fact, at issue in the second complaint, that an
assessment cannot be carried out at the reserved matters
stage. National implementing
measures 30 Circular 15/88, issued by the
Department of the Environment, provides non-statutory
guidance to help the competent authorities to identify
projects as referred to in Schedule 2 to the Assessment of
Environmental Effects Regulations which must be the subject
of an environmental impact assessment. 31 After stating, in paragraph 18, that
the basic question to be asked is whether a project is
likely to give rise to significant environmental effects,
Circular 15/88 then explains, in paragraph 20, that in
general terms an assessment is needed (i) for projects which
are of more than local importance, (ii) for projects
proposed in sensitive locations and (iii) for projects with
unusually complex and potentially adverse
effects. 32 Paragraphs 30 and 31 of Circular
15/88 state that, for certain categories of project,
criteria and thresholds are listed in Appendix A to the
circular that are intended to give a broad indication of the
types of cases in which, in the Secretary of State's view,
an environmental assessment may be required under the
Assessment of Environmental Effects Regulations or,
conversely, is not likely to be required. The circular adds,
however, that those criteria and thresholds are purely
indicative and the fundamental test to be applied in each
case is whether the project is likely to have significant
environmental effects. 33 With regard, more particularly, to
urban development projects, the circular states, in
paragraph 15 of Appendix A, that redevelopment of previously
developed land is unlikely to require an assessment, unless
the proposed development is one of certain specific types or
is on a very much greater scale than the previous
development. 34 The circular states, in paragraph 16
of Appendix A, with regard to projects on sites which have
not previously been intensively developed that 'the need for
[an assessment] should be considered in the light of
the sensitivity of the particular location'. Thus, 'such
schemes
may require [an assessment]
where: (ii) there are significant
numbers of dwellings in close proximity to the site of
the proposed development, e.g. more than 700 dwellings
within 200 metres of the site boundaries; or (iii) the development would provide
a total of more than 10 000 square metres (gross) of shops,
offices or other commercial uses'. Top 35 In addition, paragraph 42 of the
circular states that the preparation of an environmental
statement is bound to require the developer to work out his
proposals in some detail. Otherwise any thorough appraisal
of likely effects will be impossible. It will be for the
planning authority to judge how much information is required
in the particular case. The information given in the
environmental statement will have an important bearing on
whether matters may be reserved in an outline planning
permission. Where the information states or implies a
particular treatment of any matter, it will not be
appropriate to reserve that matter in the planning
permission. 36 Paragraph 48 of
Circular 2/99 issued by the Department of the Environment,
Transport and the Regions, which replaced Circular 15/88 in
March 1999 (in order to take account of the 1999
Regulations), notes that, in the case of outline planning
permission with a requirement of subsequent approval of the
reserved matters, an environmental impact assessment can be
carried out only at the initial stage of granting such
permission and not at the later stage of approval of the
reserved matters. Facts and pre-litigation
procedure White City 37 In December 1993 Chesfield Plc
('Chesfield') applied to the London Borough of Hammersmith
& Fulham ('Hammersmith & Fulham LBC'), the competent
planning authority, for outline planning permission to
develop retail and leisure facilities at White City, London
(the 'White City development project'), a project falling
within Annex II to Directive 85/337. 38 After considering the effects of the
project, as set out in a number of reports, and following
public consultation, Hammersmith & Fulham LBC took the
view that an assessment of the effects that the project
might have on the environment was not required. 39 In March 1996 Hammersmith &
Fulham LBC granted outline planning permission. Certain
matters were reserved for subsequent approval by that
authority. 40 In October 1997 and September 1998
Chesfield made applications for approval of the reserved
matters. 41 On 12 October 1999 Hammersmith &
Fulham LBC gave such approval. 42 Works commenced after the approval.
Top 43 Following receipt
of a complaint, the Commission, by letter of 19 April 2001,
gave the United Kingdom the opportunity to submit its
observations and, on 20 August 2002, sent it a reasoned
opinion, alleging that it had infringed Articles 2(1) and
4(2) of Directive 85/337 in relation to the White City
development project, a project falling within point 10(b) of
Annex II to that directive. The Commission set the United
Kingdom a time-limit of two months for it to take the
measures necessary to comply with the reasoned opinion.
Being dissatisfied with the response given by the United
Kingdom Government in its letter of 29 October 2002, the
Commission brought the present action. Crystal Palace 44 Crystal Palace Park, in London, is
Metropolitan Open Land listed as a Grade II* historic park
on the statutory register kept by English Heritage. Part of
the site at issue relating to the access and adjoining land
fall within the Crystal Palace Park Conservation
Area. 45 On 4 April 1997 London &
Regional Properties Ltd ('L&R') applied to the London
Borough of Bromley ('Bromley LBC'), the competent planning
authority, for outline planning permission to develop a
leisure complex in Crystal Palace Park ('the Crystal Palace
development project'), a project falling within Annex II to
Directive 85/337. 46 After consideration which took into
account a number of reports and additional information,
Bromley LBC concluded that an environmental impact
assessment was not required for the project. 47 On 24 March 1998 Bromley LBC granted
outline planning permission, reserving certain matters for
subsequent approval before any development was
commenced. 48 On 25 January 1999 L&R applied
to Bromley LBC for final determination of certain reserved
matters. The details of the Crystal Palace development
project then showed: (i) on the ground floor, 18 cinemas, a
leisure area and an exhibition area; (ii) at the gallery
level, restaurants and cafes, two leisure areas and public
toilets; (iii) at roof level, a roof-top car park with a
maximum of 950 spaces, four viewing areas and areas
enclosing plant and equipment; (iv) the addition of a
mezzanine floor of 800 square metres; and (v) changes to the
construction of the external walls. 49 Those matters fell wholly within the
parameters of the outline permission already
granted. 50 However, at the meeting where a
decision was to be taken on approval of the reserved
matters, some Bromley LBC councillors expressed the wish
that an environmental impact assessment should be carried
out. After legal advice had been sought, they were informed
that as a matter of domestic law an assessment could be
carried out only at the initial outline planning permission
stage. 51 Bromley LBC issued the notice of
approval on 10 May 1999. 52 However, the planning permission has
expired in the meantime without the project being carried
out. Top 53 Following receipt
of a complaint, the Commission, by letter of 6 November
2000, gave the United Kingdom the opportunity to submit its
observations and, on 26 July 2001, sent it a reasoned
opinion, alleging that it had infringed Articles 2(1) and
4(2) of Directive 85/337 in relation to the Crystal Palace
development project, a project falling within point 10(b) of
Annex II to that directive. The Commission set the United
Kingdom a time-limit of two months for it to take the
measures necessary to comply with the reasoned opinion.
Being dissatisfied with the response given by the United
Kingdom Government in its letter of 3 December 2001, the
Commission brought the present action. Incorrect transposition of
Directive 85/337, as amended, regarding outline planning
permission with a requirement of subsequent approval of the
reserved matters 54 On 26 July 2001,
having given the United Kingdom the opportunity to submit
its observations, the Commission sent it a reasoned opinion,
in which it stated that some aspects of the national
legislation concerning assessment of the environmental
impact of projects, in particular as regards outline
planning permission with a requirement of subsequent
approval of the reserved matters, appeared to it to be
incompatible with Directive 85/337, as amended. The
Commission set the United Kingdom a time-limit of two months
for it to take the measures necessary to comply with the
reasoned opinion. Being dissatisfied with the response given
by the United Kingdom Government in its letter of 3 December
2001, the Commission brought the present action. The action 55 The Commission puts forward two
complaints in support of its action. 56 The first complaint, as advanced by
the Commission during the pre-litigation procedure and in
its reply, is in essence divided into three
limbs: - infringement of Articles 2(1)
and 4(2) of Directive 85/337 in that Hammersmith &
Fulham LBC failed to adopt a formal decision allowing it
to be checked that the decision was based on adequate
prior investigation; - infringement of Articles 2(1) and
4(2) of Directive 85/337 in that neither Hammersmith &
Fulham LBC nor Bromley LBC carried out an environmental
impact assessment of the White City and Crystal Palace
development projects respectively. 57 However, in its application the
Commission mentions only the third limb of this
complaint. 58 The second
complaint concerns the incorrect transposition into national
law of Articles 2(1), 4(2), 5(3) and 8 of Directive 85/337,
as amended, in the national rules which provide that, in the
case of outline planning permission with a requirement of
subsequent approval of the reserved matters, an assessment
may be carried out only at the initial stage of granting
such permission, and not at the later reserved matters stage
('the rules at issue in the present case'). The first
complaint: breach of the obligations to investigate whether
an assessment was required, to adopt a formal decision in
that regard and to carry out such an assessment (Articles
2(1) and 4(2) of Directive 85/337) Admissibility of the first
complaint 59 The United Kingdom
Government puts forward four pleas of inadmissibility,
alleging that a new complaint is involved, that the
principle of legal certainty is infringed, that the national
courts have jurisdiction and that the action is devoid of
purpose. - A new complaint 60 The United Kingdom Government
contends that the first and second limbs of the first
complaint, as set out in the Commission's reply, constitute
a new complaint. While mention was admittedly made of those
limbs in the letter of formal notice and the reasoned
opinion and they were subsequently restated in the reply
submitted to the Court, they were not, however, set out in
the application initiating the proceedings. It is the
application which defines the subject-matter of a
case. 61 As to those submissions, it is not
permissible for a party to alter the very subject- matter of
the case during the proceedings, and the merits of the
action must be examined solely in the light of the claims
contained in the application initiating the proceedings
(see, to that effect, Case 232/78 Commission v France
[1979] ECR 2729, paragraph 3, and Case C-256/98
Commission v France [2000] ECR I-2487, paragraph
31). 62 Furthermore, by virtue of Article 21
of the Statute of the Court of Justice and Article 38(1)(c)
of its Rules of Procedure, the Commission must, in any
application made under Article 226 EC, indicate the specific
complaints on which the Court is asked to rule and, at the
very least in summary form, the legal and factual
particulars on which those complaints are based (see Case
C-52/90 Commission v Denmark [1992] ECR
I-2187, paragraph 17). 63 In the present case, no mention is
made of the first and second limbs of the first complaint in
the claims at the end of the application. Nor do they appear
in the part of the application headed 'in law'. 64 Accordingly, the first two limbs of
the first complaint, which were not included in the
application initiating proceedings, are inadmissible
although they were set out in the Commission's reply and
mention is made of them in the letter of formal notice and
the reasoned opinion. Top 65 It remains to
consider, therefore, the admissibility of the third limb of
the first complaint in the light of the other pleas of
inadmissibility raised by the United Kingdom
Government. - Infringement of the principle of
legal certainty 66 The United Kingdom Government
contends that, in view of the considerable length of time
that has passed since the planning permissions at issue were
granted, the action for failure to fulfil obligations
offends against the principle of legal certainty and
undermines the legitimate expectations which developers
derive from acquired rights. 67 It should be stated with regard to
those submissions, first, that the infringement procedure is
based on the objective finding that a Member State has
failed to fulfil its obligations under the Treaty or
secondary legislation (see, to that effect, Case C-71/97
Commission v Spain [1998] ECR I-5991,
paragraph 14, and Case C-83/99 Commission v Spain
[2001] ECR I-445, paragraph 23). 68 Secondly, it follows from case-law
that, while the principles of legal certainty and of the
protection of legitimate expectations require the withdrawal
of an unlawful measure to occur within a reasonable time and
regard must be had to how far the person concerned might
have been led to rely on the lawfulness of the measure, the
fact remains that such withdrawal is, in principle,
permitted (see, in particular, Joined Cases 7/56 and 3/57 to
7/57 Algera and Others v Common Assembly of the ECSC
[1957] ECR 39, at 55 and 56; Case 14/81 Alpha
Steel v Commission [1982] ECR 749, paragraph 10;
and Case 15/85 Consorzio Cooperative d'Abruzzo v
Commission [1987] ECR 1005, paragraph
12). 69 A Member State
cannot therefore rely on legal certainty and legitimate
expectations derived by developers from acquired rights in
order to prevent the Commission from bringing an action
seeking an objective finding that the Member State has
failed to fulfil its obligations under Directive 85/337 with
regard to assessment of the effects of certain projects on
the environment. - The jurisdiction of the national
courts 70 The United Kingdom Government
contends that it is for national courts and not the Court of
Justice to determine whether a competent authority has
correctly assessed whether a project will have significant
effects on the environment. Top 71 As to that
submission, the fact that proceedings have been brought
before a national court to challenge the decision of a
competent authority which is the subject of an action for
failure to fulfil obligations and the decision of that court
cannot affect the admissibility of the action for failure to
fulfil obligations brought by the Commission. The existence
of the remedies available through the national courts cannot
prejudice the bringing of an action under Article 226 EC,
since the two procedures have different objectives and
effects (see Case 31/69 Commission v Italy
[1970] ECR 25, paragraph 9; Case 85/85 Commission
v Belgium [1986] ECR 1149, paragraph 24; and
Case C-87/02 Commission v Italy [2004] ECR
I-5975, paragraph 39). - The action is devoid of
purpose 72 The United Kingdom Government
maintains that the permission granted in respect of the
Crystal Palace development project expired in March 2003
without being implemented and that any infringement, even if
established, is therefore wholly theoretical. 73 As to that submission, an action in
respect of an infringement which no longer existed on the
date upon which the period laid down in the reasoned opinion
expired is, according to the case-law, inadmissible because
it is devoid of purpose (see Case C-362/90 Commission v
Italy [1992] ECR I-2353, paragraph 13, and Case
C-209/02 Commission v Austria [2004] ECR
I-1211, paragraphs 17 and 18). 74 It is clear from settled case-law
that the purpose of an action brought under Article 226 EC
is to obtain a declaration that the State concerned has
failed to fulfil its obligations under the Treaty and that
it has failed to put an end to that infringement within the
time set by the Commission in its reasoned opinion (Case
C-347/88 Commission v Greece [1990] ECR I-4747,
paragraph 40). The Court has also consistently held that the
question whether a Member State has failed to fulfil its
obligations must be assessed by reference to the situation
prevailing in the Member State concerned at the end of the
period laid down in the reasoned opinion (see Case C-200/88
Commission v Greece [1990] ECR I-4299, paragraph 13,
and Case C-362/90 Commission v Italy, paragraph
10). 75 In the present case, the fact that
on expiry of the period laid down in the reasoned opinion,
namely on 26 September 2001, the planning permission at
issue was still in force is sufficient to preclude the
action for failure to fulfil obligations from being regarded
as devoid of purpose. 76 It follows from the above
considerations that the pleas of inadmissibility in respect
of the third limb of the first complaint must be dismissed.
The merits of the third limb of the first
complaint 77 Before considering the merits, it is
appropriate first to note that in proceedings under Article
226 EC for failure to fulfil obligations it is incumbent
upon the Commission to prove the allegation that the
obligation has not been fulfilled. It is the Commission's
responsibility to place before the Court the information
needed to enable the Court to establish that the obligation
has not been fulfilled, and in so doing the Commission may
not rely on any presumptions (see, in particular, Case
C-494/01 Commission v Ireland [2005] ECR
I-3331, paragraph 41 and the case- law cited). 78 Thus, with regard more specifically
to Directive 85/337, the Court held in Case C-117/02
Commission v Portugal [2004] ECR I-5517, at
paragraph 85, that the Commission must furnish at least some
evidence of the effects that the project in question is
likely to have on the environment. 79 However, the Member States are
required, under Article 10 EC, to facilitate the achievement
of the Commission's tasks, which consist in particular,
pursuant to Article 211 EC, in ensuring that the provisions
of the Treaty and the measures taken by the institutions
pursuant thereto are applied (see, in particular, Commission
v Ireland, paragraph 42 and the case-law cited). 80 It follows in particular that, where
the Commission has adduced sufficient evidence of certain
matters in the territory of the defendant Member State, it
is incumbent on the latter to challenge in substance and in
detail the information produced and the consequences flowing
therefrom (see Commission v Ireland, paragraph 44 and
the case-law cited). 81 It is in the light of those
principles that the merits should be considered. 82 The Commission submits, in the third
limb of its first complaint, that Articles 2(1) and 4(2) of
Directive 85/337 have been infringed, on the ground that
neither Hammersmith & Fulham LBC nor Bromley LBC carried
out an environmental impact assessment of the White City and
Crystal Palace development projects respectively, although
those projects are likely to have significant
effects. 83 The Commission notes that the White
City development project involves about 58 000 square metres
of retail and leisure development, including a major new
road junction, 4 500 car parking spaces and a link to the
Underground network. In its opinion, for a project of that
size there is a presumption that an assessment is necessary,
unless such a presumption is mitigated by other
factors. 84 The Commission notes that the
Crystal Palace development project includes leisure and
commercial uses (18 cinemas, galleries, restaurants)
covering 52 000 square metres, a roof-top car park with 950
spaces and a car park at ground level. The Commission is of
the view that the scale and size of the project are such
that it is likely to have significant effects on the
environment, and that the competent authority therefore
exceeded the limits of its discretion. 85 The United Kingdom Government
considers that the competent authorities, in the light of
the reports and studies in their possession and following
the consultations that they carried out, were entitled to
conclude that neither of the two projects was likely to have
significant effects on the environment, and that they did
not therefore need to be the subject of an environmental
impact assessment. 86 As to those submissions, it should
be noted that, as provided in Article 2(1) of Directive
85/337, 'projects' within the meaning of Article 4 of that
directive which are likely to have significant effects must
be made subject to an assessment with regard to their
effects on the environment before consent for them is
given. 87 For that purpose, Article 4(2) of
Directive 85/337, read in conjunction with Annex II thereto,
lists the projects to be made subject to an impact
assessment where Member States consider that their
characteristics so require. 88 Although in those circumstances
Article 4(2) of Directive 85/337 gives the competent
authority a degree of freedom in appraising whether or not a
particular project must be made subject to an assessment, it
is, however, clear from settled case-law that the limits of
that discretion are to be found in the obligation, set out
in Article 2(1) of the directive, that all projects which
are likely to have significant effects on the environment
are to be subject to an assessment (see, to that effect,
Case C-435/97 WWF and Others [1999] ECR I-5613,
paragraphs 44 and 45; Case C-87/02 Commission v
Italy, paragraphs 43 and 44; and Case C-83/03
Commission v Italy [2005] ECR I-4747,
paragraph 19). 89 Thus, it is clear from case-law that
Directive 85/337 requires that all projects falling within
Annex II that are likely to have significant effects on the
environment be made subject to an assessment (see, to that
effect, WWF and Others, paragraph 45; Commission v Portugal,
paragraph 82; and Case C-87/02 Commission v Italy, paragraph
44). 90 However, as has already been noted
in paragraphs 77 to 80 above, proof that Article 2(1) of
Directive 85/337 has been infringed requires the Commission
to demonstrate that a Member State has failed to adopt all
measures necessary to ensure that, before consent is given,
projects likely to have significant effects on the
environment by virtue inter alia of their nature, size or
location are made subject to an assessment with regard to
their effects. That proof may effectively be furnished by
demonstrating that a Member State did not take the measures
necessary to ascertain whether a project which does not
reach the thresholds envisaged in Article 4(2) of Directive
85/337 is nevertheless likely to have significant effects on
the environment by virtue inter alia of its nature, size or
location. The Commission might also establish that a project
likely to have significant effects on the environment was
not the subject of an impact assessment although it should
have been (Commission v Portugal, paragraph
82). 91 In that last respect, it is also
clear from paragraphs 85 and 87 of Commission v
Portugal that, in order to demonstrate that the national
authorities exceeded the limits of their discretion by
failing to require that an impact assessment be carried out
before giving consent for a specific project, the Commission
cannot limit itself to general assertions by, for example,
merely pointing out that the information provided shows that
the project in question is located in a highly sensitive
area, without presenting specific evidence to demonstrate
that the national authorities concerned made a manifest
error of assessment when they gave consent to a project. The
Commission must furnish at least some evidence of the
effects that the project is likely to have on the
environment. Top 92 In the present case, it is clear
that the Commission did not satisfy the burden of proof
placed upon it. It cannot merely rely on presumptions that
large-scale projects are automatically likely to have
significant effects on the environment without establishing,
on the basis of at least some specific evidence, that the
competent authorities made a manifest error of
assessment. 93 Despite the analytical material and
documents supplied by the United Kingdom Government, the
Commission did not seek to back up its own assertions and
refute those of the defendant Member State through detailed
examination of that material or by obtaining, producing,
examining or providing an analytical presentation of
tangible and specific evidence which might have enabled the
Court to assess whether the competent authorities did in
fact exceed the limits of their discretion. 94 In those
circumstances, the third limb of the first complaint must be
dismissed as unfounded. The second complaint: incorrect
transposition into domestic law of Articles 2(1), 4(2), 5(3)
and 8 of Directive 85/337, as amended 95 By its second complaint, the
Commission in essence contends that the national rules at
issue, under which an assessment may be carried out only at
the initial outline planning permission stage, and not at
the later reserved matters stage, incorrectly transpose into
domestic law Articles 2(1), 4(2), 5(3) and 8 of Directive
85/337, as amended. 96 The Commission argues that, where
national law provides for a consent procedure comprising
more than one stage, Directive 85/337, as amended, requires
that an assessment may in principle be carried out at each
stage in that procedure if it appears that the project in
question is likely to have significant effects on the
environment. 97 The Commission contends that, in so
far as the national rules at issue in the present case
preclude an assessment at the later reserved matters stage,
they do not satisfy that requirement. 98 In its view, those rules allow some
projects to escape assessment although they are likely to
have significant effects on the environment. 99 The United Kingdom Government
contends, on the other hand, that Article 2(1) of that
directive makes it clear that a project must be subject to
an assessment 'before consent is given'. Since that
'consent' is given when outline planning permission is
granted (and not when the reserved matters are subsequently
approved), the rules at issue correctly transpose Articles
2(1), 4(2), 5(3) and 8 of Directive 85/337, as
amended. 100 As to those submissions, it should
be noted that Article 1(2) of that directive defines
'development consent' for the purposes of the directive as
the decision of the competent authority or authorities which
entitles the developer to proceed with the
project. 101 In the present case, it is common
ground that, under national law, a developer cannot commence
works in implementation of his project until he has obtained
reserved matters approval. Until such approval has been
granted, the development in question is still not (entirely)
authorised. 102 Therefore, the two decisions
provided for by the rules at issue in the present case,
namely outline planning permission and the decision
approving reserved matters, must be considered to
constitute, as a whole, a (multi-stage) 'development
consent' within the meaning of Article 1(2) of Directive
85/337, as amended. 103 In those circumstances, it is clear
from Article 2(1) of Directive 85/337, as amended, that
projects likely to have significant effects on the
environment, as referred to in Article 4 of the directive
read in conjunction with Annexes I and II thereto, must be
made subject to an assessment with regard to their effects
before (multi-stage) development consent is given (see, to
that effect, Case C-201/02 Wells [2004] ECR
I-723, paragraph 42). 104 In that regard, the Court stated in
Wells, at paragraph 52, that where national law
provides for a consent procedure comprising more than one
stage, one involving a principal decision and the other
involving an implementing decision which cannot extend
beyond the parameters set by the principal decision, the
effects which a project may have on the environment must be
identified and assessed at the time of the procedure
relating to the principal decision. It is only if those
effects are not identifiable until the time of the procedure
relating to the implementing decision that the assessment
should be carried out in the course of that procedure.
Top 105 In the present case, the rules at
issue provide that an environmental impact assessment in
respect of a project may be carried out only at the initial
outline planning permission stage, and not at the later
reserved matters stage. 106 Those rules are therefore contrary
to Articles 2(1) and 4(2) of Directive 85/337, as amended.
The United Kingdom has thus failed to fulfil its obligation
to transpose those provisions into domestic law. 107 However, so far as concerns Articles
5(3) and 8 of Directive 85/337, as amended, the Commission
has not provided any explanation as to why it considers that
those two provisions have not been complied with. 108 Accordingly, the second complaint is
partly well founded. 109 In the light of
all the above considerations, it must be held that the
United Kingdom of Great Britain and Northern Ireland has
failed to fulfil its obligations under Community law by
incorrectly transposing into domestic law Articles 2(1) and
4(2) of Directive 85/337, as amended, as a result of the
national rules under which, in the case of outline planning
permission with a requirement of subsequent approval of the
reserved matters, an assessment may be carried out only at
the initial stage of granting such permission, and not at
the later reserved matters stage. Costs 110 Under Article 69(3) of the Rules of
Procedure, the Court may order that the costs be shared or
that the parties bear their own costs, if each party
succeeds on some and fails on other heads. Since the parties
have respectively been unsuccessful on a number of heads,
they must be ordered to bear their own costs. On those grounds, the Court (First
Chamber) hereby: Top 1 Declares that the United
Kingdom of Great Britain and Northern Ireland has
failed to fulfil its obligations under Community
law by incorrectly transposing into domestic law
Articles 2(1) and 4(2) of Council Directive
85/337/EEC of 27 June 1985 on the assessment of the
effects of certain public and private projects on
the environment, as amended by Council Directive
97/11/EC of 3 March 1997, as a result of the
national rules under which, in the case of outline
planning permission with a requirement of
subsequent approval of the reserved matters, an
assessment may be carried out only at the initial
stage of granting such permission, and not at the
later reserved matters stage; 2 Dismisses the action as
to the remainder; 3 Orders the Commission of
the European Communities and the United Kingdom to
bear their own costs.
- by failing to apply
correctly Articles 2(1) and 4(2) of Council Directive
85/337/EEC of 27 June 1985 on the assessment of the
effects of certain public and private projects on the
environment (OJ 1985 L 175, p. 40) in relation to the
proposed urban development projects at White City and at
Crystal Palace as projects falling within point 10(b) of
Annex II to the directive, the United Kingdom of Great
Britain and Northern Ireland has failed to fulfil its
obligations under that directive;
- a description of the
project comprising information on the site, design and
size of the project,
Top
Top
(i) the site area of the
scheme is more than five hectares in an urbanised area;
or
- infringement of Articles
2(1) and 4(2) of Directive 85/337 in that Hammersmith
& Fulham LBC failed to investigate whether the White
City development project required an environmental impact
assessment;
[Signatures]
Top
NAVIGATION:
Judgment
Legal Context - Community
Legislation
- National
legislation
- National implementing
measures
Facts and pre-litigation
procedures - White City
- Crystal
Palace
Incorrect transposition
of directive
The
action
Advisability of the
first complaint
A new
complaint
Infringement of the
principle of legal certainty
The jurisdiction of the
national courts
The action is devoid of
purpose
The second complaint:
incorrect transposition...
Costs
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8/5/06 Last Updated 8/5/06