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S50428 Friends of Parrett Mountain v. Northwest Natural
State: Oregon
Docket No: none
Case Date: 11/06/2003

FILED: November 6, 2003

IN THE SUPREME COURT OF THE STATE OF OREGON

In the Matter of the Application for
a Site Certificate for Northwest Natural Gas
Company's South Mist Pipeline Extension,

FRIENDS OF PARRETT MOUNTAIN,
LARRY BRIGGS, LEANN BENNETT,
and GEORGE BURNS,

Petitioners,

v.

NORTHWEST NATURAL GAS COMPANY,

Respondent.

(SC S50428 (Control))

WASHINGTON COUNTY FARM BUREAU,
CLACKAMAS COUNTY FARM BUREAU,
MARION COUNTY FARM BUREAU,
DAVID VANASCHE, PHILIP LAPP,
STACEY RUMGAY BUTTON,
LKS CORPORATION,
dba WIL-CHRIS ACRES,
DOUG FEMRITE,
FEMRITE NURSERY COMPANY,
STEPHEN G. BAKER, and CLIVE COOK,

Petitioners,

v.

ENERGY FACILITY SITING COUNCIL,

Respondent.

(SC S50434)

On judicial review from an order of the Oregon Energy Facility Siting Council dated March 13, 2003.*

Argued and submitted July 22, 2003.

James S. Smith, of Davis Wright Tremaine, LLP, Portland, argued the cause and filed the brief for petitioners Friends of Parrett Mountain, Larry Briggs, Leann Bennett, and George Burns.

Christine M. Cook, Portland, argued the cause for petitioners Washington County Farm Bureau, Clackamas County Farm Bureau, Marion County Farm Bureau, David Vanasche, Phillip Lapp, Stacey Rumgay Button, LKS Corporation, Doug Femrite, Femrite Nursery Company, Stephen G. Baker, and Clive Cook. With her on the brief was F. Blair Batson, Portland.

James N. Westwood, Stoel Rives LLP, Portland, argued the cause for respondent Northwest Natural Gas Company. With him on the brief were Margaret D. Kirkpatrick and Ellen Hawes Grover, Portland.

Denise G. Fjordbeck, Assistant Attorney General, Salem, argued the case for respondent Energy Facility Siting Council. With her on the brief were Hardy Myers, Attorney General, and Mary H. Williams, Solicitor General.

Before Carson, Chief Justice, and Gillette, Durham, Riggs, De Muniz, and Balmer, Justices.**

DE MUNIZ, J.

The order of the Energy Facility Siting Council is affirmed.

*Dr. Roslyn Elms-Sutherland, Chair.

**Kistler, J., did not participate in the consideration or decision of this case.

DE MUNIZ, J.

In these consolidated proceedings for judicial review, petitioners challenge a final order of the Energy Facility Siting Council (council) that permits Northwest Natural Gas Company (Northwest Natural) to construct an approximately 62-mile long natural gas pipeline sited primarily within Exclusive Farm Use (EFU) zones in Washington, Marion, and Clackamas counties. This court reviews final orders of the council for errors of law, abuses of agency discretion, and the presence of substantial evidence in the record to support the agency's findings of fact. ORS 469.403(6); ORS 183.482(8)(a). In the cases before us, the parties raise issues that require review for legal error and substantial evidence only. For the reasons that follow, we affirm the council's order.

FACTS, PROCEDURAL BACKGROUND,
AND STATUTORY FRAMEWORK

At the heart of these contested cases is the council's decision to issue a site certificate for a new, 24-inch, underground natural gas pipeline that will link Northwest Natural's Bacona Station in Washington County with its Molalla Gate Station in Clackamas County. (1) A site certificate not only authorizes an applicant to construct and operate a facility like the pipeline at issue here, (2) it also binds state, county, and city governments in accordance with the council's determination and requires state agencies and local governments to issue any permits specified in the site certificate without further proceedings. ORS 469.401. We begin our discussion of these cases by first providing an overview of the procedures involved in the council's determinations generally, followed by a procedural history of these cases in particular.

ORS 469.470(1) places the responsibility for studying each aspect of site selection with the council:

"The Energy Facility Siting Council shall:

"(1) Conduct and prepare, independently or in cooperation with others, studies, investigations, research and programs relating to all aspects of site selection."

(Emphasis added.) To aid the council in performing that function, ORS 469.040(1)(b) requires the administrator of the Oregon Office of Energy (OOE) to supervise and facilitate work and research on siting applications at the council's direction.

Because of the council's central role in siting determinations, applicants begin the process by submitting a Notice of Intent (NOI) to the council, outlining the proposed site and the characteristics of the proposed facility. ORS 469.330(1). The council, in turn, distributes public notice of the applicant's intent, describing the proposed facility and its site in sufficient detail to inform the public of the facility's use and its location. ORS 469.330(2). After reviewing the NOI, as well as any comments generated by its public distribution, the OOE may hold a preapplication conference with those state agencies and local governments that would have a regulatory or advisory responsibility regarding the proposed facility. ORS 469.330(3). Following that conference, the OOE issues a project order that establishes the applicable statutes, administrative rules, council standards, local ordinances, application requirements, and study requirements governing the application process. Id. A project order is not a final order, and either the council or the OOE may amend it at any time. ORS 469.330(4).

When an applicant has completed the project order's requirements, the applicant must submit its application to the council. ORS 469.350(1). The applicant's NOI and application then are distributed to various state agencies, as well as any city or county affected by the application, for comments and recommendations. ORS 469.350(2). It is the OOE's responsibility to determine whether the application is complete and, when it does so, to notify both the applicant and the public. ORS 469.350(4).

The OOE reviews the completed application, along with the comments and recommendations submitted by state agencies and local governments. Following that review, the OOE prepares a draft proposed order. ORS 469.370(1). After the OOE issues its draft, the council must hold one or more public hearings on the application in areas that the proposed facility will affect and elsewhere, when the council considers it necessary. ORS 469.370(2). The OOE reviews any testimony taken at those hearings and then issues a proposed order recommending approval or rejection of the application. ORS 469.370(4). The OOE also must issue a public notice concerning the proposed order; the notice must include notice of a contested case hearing, along with deadlines for requesting party status in that proceeding and a date for the prehearing conference. Id.

After the council receives the OOE's proposed order regarding the application, the council must hold a contested case hearing in accordance with the provisions of ORS 183.310 to 183.550. ORS 469.370(5). At the conclusion of the contested case, the council issues its final order either approving or rejecting the application. ORS 469.370(7).

In 1999, Northwest Natural introduced its pipeline proposal by first submitting its NOI to the council. Northwest Natural then distributed the NOI to the appropriate state agencies, the Confederated Tribes of the Grande Ronde and Siletz, local governing bodies, and individual property owners in areas likely to be affected by the pipeline's construction.

In its NOI, Northwest Natural defined an area encompassing roughly 500 square miles for the study of prospective pipeline sites. (3) It then laid out four possible corridors within that area as starting points for analysis and public comment. The OOE subsequently directed Northwest Natural to develop and study three additional alternatives: (1) a route that followed the area's major highways -- US 26, US 17, and Interstate 5; (4) (2) a route that considered only the factors listed in ORS 215.275(2); (5) and (3) a route that minimized incursions onto EFU-zoned lands. When those studies were completed, Northwest Natural began formulating preferred and alternative pipeline sites for review, using public comments received in response to its NOI and data derived from its research.

Under ORS 469.310, "siting, construction and operation of energy facilities shall be accomplished in a manner consistent with protection of the public health and safety and in compliance with the energy policy and air, water, solid waste, land use and other environmental protection policies of this state." The different sets of requirements implementing that statute are extensive. (6) This case involves two sets of requirements in particular. The first set of requirements encompasses the statutory criteria that an applicant must meet to locate energy facilities on EFU lands. ORS 215.275 requires an applicant, as a threshold matter, to demonstrate that it has considered reasonable alternatives to placing its facility within an EFU zone. The statute then requires the applicant to show that it nevertheless must site its facilities in an EFU zone due to one or more statutory factors:

"(1) A utility facility established under ORS 215.213(1)(d) or 215.283(1)(d) is necessary for public service if the facility must be sited in an exclusive farm use zone in order to provide the service.

"(2) To demonstrate that a utility facility is necessary, an applicant for approval under ORS 215.213(1)(d) or 215.283(1)(d) must show that reasonable alternatives have been considered and that the facility must be sited in an exclusive farm use zone due to one or more of the following factors:

"(a) Technical and engineering feasibility;

"(b) The proposed facility is locationally dependent. A utility facility is locationally dependent if it must cross land in one or more areas zoned for exclusive farm use in order to achieve a reasonably direct route or to meet unique geographical needs that cannot be satisfied on other lands;

"(c) Lack of available urban and nonresource lands;

"(d) Availability of existing rights of way;

"(e) Public health and safety; and

"(f) Other requirements of state or federal agencies.

"(3) Costs associated with any of the factors listed in subsection (2) of this section may be considered, but cost alone may not be the only consideration in determining that a utility facility is necessary for public service. Land costs shall not be included when considering alternative locations for substantially similar utility facilities. The Land Conservation and Development Commission shall determine by rule how land costs may be considered when evaluating the siting of utility facilities that are not substantially similar.

"(4) The owner of a utility facility approved under ORS 215.213(1)(d) or 215.283(1)(d) shall be responsible for restoring, as nearly as possible, to its former condition any agricultural land and associated improvements that are damaged or otherwise disturbed by the siting, maintenance, repair or reconstruction of the facility. Nothing in this section shall prevent the owner of the utility facility from requiring a bond or other security from a contractor or otherwise imposing on a contractor the responsibility for restoration.

"(5) The governing body of the county or its designee shall impose clear and objective conditions on an application for utility facility siting under ORS 215.213(1)(d) or 215.283(1)(d) to mitigate and minimize the impacts of the proposed facility, if any, on surrounding lands devoted to farm use in order to prevent a significant change in accepted farm practices or a significant increase in the cost of farm practices on the surrounding farmlands.

"(6) The provisions of subsections (2) to (5) of this section do not apply to interstate natural gas pipelines and associated facilities authorized by and subject to regulation by the Federal Energy Regulatory Commission."

ORS 215.275.

The second set of requirements is found in the structural standards imposed by OAR 345-022-0020(1). Under that rule, an applicant seeking site certification must demonstrate that:

"(a) The applicant, through appropriate site-specific study, has adequately characterized the site as to seismic zone and expected ground motion and ground failure, taking into account amplification, during the maximum credible and maximum probable seismic events; and

"(b) The applicant can design, engineer, and construct the facility to avoid dangers to human safety presented by seismic hazards affecting the site that are expected to result from all maximum probable seismic events. As used in this rule 'seismic hazard' includes ground shaking, landslide, liquefaction, lateral spreading, tsunami inundation, fault displacement, and subsidence;

"(c) The applicant, through appropriate site-specific study, has adequately characterized the potential geological and soils hazards of the site and its vicinity that could, in the absence of a seismic event, adversely affect, or be aggravated by, the construction and operation of the proposed facility; and

"(d) The applicant can design, engineer and construct the facility to avoid dangers to human safety presented by the hazards identified in subsection (c)."

In March 2001, Northwest Natural presented its siting plan to the OOE in an eight-volume site certificate application. At the OOE's direction, Northwest Natural subsequently submitted several supplements to complete the application, among them detailed plans to mitigate possible environmental and agricultural impacts. In September 2002, the OOE issued a proposed order tentatively approving the pipeline's site certificate. At the same time, the OOE also issued a contested case proceeding notice to allow interested parties to challenge the proposed order. Ultimately, the council granted party status to 56 entities and individuals in the administrative proceedings that followed. From December 13, 2002 through January 31, 2003, the parties presented their respective cases. The council then issued a recommended order in February 2003, and the parties filed exceptions and responses. In March 2003, the council issued a final order granting a site certificate for construction of the pipeline.

The certificate authorizes Northwest Natural to construct its pipeline within an approximately 62-mile long, 200-foot wide corridor designed around 10 significant "constraint points." (7) Inside that corridor, Northwest Natural will build the pipeline within an 80-foot wide, temporary construction easement. Upon completion of the project, the width of the easement will be reduced to 40 feet and become permanent. Approximately 56 miles of the pipeline will pass through EFU zones; in those zones, 35 miles of the pipeline will be buried within, or adjacent to, existing road or highway rights of way. In most locations, the pipeline will be buried at least five feet below ground level, except at road crossings, where the pipeline's depth will be four feet.

Two groups of petitioners seek review of the council's siting decision in this case. The first -- Friends of Parrett Mountain et al. (Parrett Mountain petitioners) -- is a community organization comprised of people from the Parrett Mountain and Sherwood areas who live or work in the vicinity of the proposed pipeline. The second -- Washington County Farm Bureau et al. (Farm Bureau petitioners)-- is made up of the Washington County Farm Bureau, its counterparts in Marion and Clackamas counties, and individual farm owners who will be affected by the pipeline's construction. We address the arguments of each group separately.

PARRETT MOUNTAIN PETITIONERS

In the proceedings below, the Sherwood fault -- a geological formation underlying the pipeline's proposed route in the Parrett Mountain area -- was of particular concern for Parrett Mountain petitioners, because of the possible earthquake activity often associated with faults. The council found, however, that Northwest Natural's application met the structural standards imposed by OAR 345-022-0020(1) and demonstrated that Northwest Natural could design, engineer, and construct the pipeline to avoid seismic and soil-related dangers to human safety. On review, Parrett Mountain petitioners argue that substantial evidence in the record does not support the council's finding.

To understand petitioners' argument fully, some explanation regarding the geological assessment of the Parrett Mountain/Sherwood area is needed. OAR 345-021-0010(1)(h) required Northwest Natural to submit, with its application, "information from reasonably available sources regarding the geological and soil stability of the site and vicinity." To comply with that requirement, Northwest Natural hired an independent engineering firm to compile a geological assessment of the proposed pipeline corridor.

In examining the Parrett Mountain portion of the corridor, the firm conducted, among other things, an aerial study of the region's topography, searching for potential landslide hazards with digital sonar technology and aerial photography. Field investigations of areas identified as potential trouble spots followed the aerial study. The engineering firm also relied, in part, on a 1995 study that had examined the Sherwood fault for earthquake potential and found no evidence that the fault had moved in the last 1.6 to 2 million years. In addition, the firm used its own aerial photographs to determine that soil deposits covering the surface projection of the fault from past geologic ages had remained undisturbed for roughly ten thousand years. As a result of its studies, the engineering firm concluded that the fault should not be considered potentially active and that the pipeline was unlikely to be threatened by landslides in the area.

Parrett Mountain petitioners, however, also engaged an independent expert -- a certified geologist -- to review geotechnical data from the area and physically examine the proposed pipeline site. Upon completing his research, the geologist testified that Northwest Natural had failed to (1) use or refer to the best and most detailed study of the local geology; (2) identify two significant landslides in the middle of the corridor that should be of concern to the pipeline designers; and (3) address the considerable evidence of "soil creep" in the area. (8)

In response, a representative of Northwest Natural's engineering firm testified that his firm had not used the study referred to by the Parrett Mountain geologist -- Groundwater Conditions of Basalt Aquifers, Parrett Mountain, Northern Willamette Valley -- because of its focus on groundwater resources rather than fault hazards. The engineering firm nevertheless reviewed the groundwater study, and its representative later presented evidence documenting multiple discrepancies in the study's geological mapping. As a result, the engineering firm's representative concluded that the study's geological map and associated cross sections did not meet generally accepted standards of quality for published maps, calling the map's reliability into question. The engineering firm's representative also noted that, in any event, the ground water study presented nothing to indicate that the Sherwood fault, in fact, was active.

Northwest Natural's engineering firm also returned to the Parrett Mountain area to investigate the landslide sites and soil creep reported by the Parrett Mountain geologist. The engineering firm found no evidence of landslide activity at the locations that the Parrett Mountain expert had noted. The firm also concluded that slope irregularities in the area were generally not the product of soil creep, but rather traces of old logging activities -- the remains of access roads, dragline scars, and removed or rotted stumps. Although the firm did discover some instances of soil creep, the firm found that the affected areas were shallow and unlikely to disturb the pipeline because of the depth at which it would be buried.

On review, Parrett Mountain petitioners argue that, to the extent that their expert's evidence conflicts with evidence presented by Northwest Natural's experts, unfilled gaps exist in the demonstration of Northwest Natural's ability to meet the structural standards imposed by OAR 345-022-0020(1). Because of those gaps, they argue, this court should conclude that the council's final order is not supported by substantial evidence in the record. We disagree.

Substantial evidence exists to support a finding of fact when the record, viewed as a whole, would permit a reasonable person to make that finding. ORS 183.482(8)(c). In making that determination, the probative weight to be accorded the testimony of expert witnesses is for the trier of fact to apportion. Cf. State v. Clark, 286 Or 33, 40-41, 593 P2d 123 (1979) (stating principle in nonadministrative law context).

Here, in arguing that the parties' clash of experts effectively has deprived the record of substantial evidence, Parrett Mountain petitioners implicitly ask this court to either weigh the evidence in the record, reexamine the credibility of the experts, or both. That is not our function in this case. Although the testimony of the respective experts is in conflict, a simple conflict in evidence is not a sufficient basis for this court to conclude that the council's findings regarding OAR 345-022-0020(1) are unsupported by substantial evidence.

In any event, even if we were to assume, without deciding, that the Parrett Mountain expert indeed did create an "evidentiary gap" in the record when he testified before the council, we could not say the same after Northwest Natural's expert responded. Neither Northwest Natural's engineering firm nor the council dismissed out of hand the concerns contained in the Parrett Mountain expert's testimony -- the unused groundwater study, the undiscovered landslide sites, and soil creep in the area. The record shows that Northwest Natural's experts reviewed the groundwater study, physically reexamined the area proposed for locating the pipeline, and subsequently presented evidence garnered from those endeavors to rebut the geologist's testimony. Based on that evidence and the engineering firm's initial studies of the area, the council ultimately determined that the firm's presentation regarding the safety of the pipeline's Parrett Mountain location was entitled to greater weight than the countervailing evidence presented by petitioners' geologist. That determination was within the purview of the council, and the evidence from which it was drawn would permit a reasonable person to make the same findings as those contained in the council's order. We therefore conclude that there was substantial evidence in the record that Northwest Natural's site certificate application met the structural standards imposed by OAR 345-022-0020(1).

FARM BUREAU PETITIONERS

The issues that Farm Bureau petitioners raise on review are the result of the pipeline's proposed placement in areas zoned for exclusive farm use. In its final order, the council found that Northwest Natural -- in keeping with ORS 215.275 -- had considered reasonable alternatives to EFU locations in formulating the pipeline's route. The council then found that siting the pipeline within EFU zones nevertheless was necessary in light of the statutory factors set out in ORS 215.275(2).

As set out above, ___ Or ___ (slip op at 7-8), before an applicant can site an energy facility in an EFU zone, ORS 215.275(2) requires the applicant to establish that it must site the facility in that zone to provide service. To do so, that statute requires an applicant to show that as part of its planning, it considered reasonable alternatives to the use of EFU lands and that one or more statutory factors nevertheless required it to locate the facility in an EFU zone. See Friends of Parrett Mountain, ___ Or at ___ n 5 (slip op at 5 n 5).

On review, Farm Bureau petitioners' first assignment of error is that the council misconstrued ORS 215.275(2) in finding that Northwest Natural had considered "reasonable alternatives" before concluding that it was necessary to locate the pipeline within EFU zones. Specifically, Farm Bureau petitioners argue that, as a matter of law, the phrase "reasonable alternatives" means alternatives that are "facially feasible" or, as they state in their brief, "alternatives that have some likelihood of success either initially or with modest refinement." They contend that Northwest Natural failed to meet that standard.

This court interprets statutory terms under the now familiar analytical framework set out in PGE v. Bureau of Labor and Industries, 317 Or 606, 610-12, 859 P2d 1143 (1993). Pursuant to that methodology, we first examine the text and context of the statute, giving words of common usage "their plain, natural and ordinary meaning." Id. at 611. If the legislature's intent is clear from the text and context of the statute, then further analysis is unnecessary. Id.

No statutory definition exists to explain what makes an alternative "reasonable" under ORS 215.275(2). There is, however, a well-understood legal meaning attributed to that term: "Fair, proper, just, moderate, suitable under the circumstances. * * * Not immoderate or excessive, being synonymous with rational, honest, equitable, fair, suitable, moderate, tolerable." Black's Law Dictionary 1265 (6th ed 1990). That definition of "reasonable" contrasts considerably with the meaning that Farm Bureau petitioners would have us insert in its place, i.e., to "have some likelihood of success either initially or with modest refinement." By its choice of words, the legislature used a broad brush to describe the alternatives that an applicant must consider under ORS 215.275(2). The qualification that Farm Bureau petitioners propose would narrow that broad standard significantly, effectively replacing it with one by which applicants must determine that a particular EFU alternative probably is capable of realization before they can consider it as an alternative under the statute. We reject that construction of the statute. See ORS 174.010 (in construing statutes, court cannot omit what has been inserted or insert what has been omitted).

Farm Bureau petitioners next argue that, in developing the initial pipeline corridor, the council erred in failing to require Northwest Natural to evaluate siting alternatives on a property-by-property basis. Relying on a Land Use Board of Appeals' (LUBA) decision City of Albany v. Linn County, 40 Or LUBA 38 (2001), they contend that the size and complexity of the proposed pipeline requires a property-by-property analysis under ORS 215.275(2) for each discrete property segment. That position, however, is not well supported, for several reasons.

First, nothing in ORS 215.275(2) suggests that the legislature intended to impose the kind of property-by-property analysis Farm Bureau petitioners posit here. The text of that statute focuses on EFU zones only as whole units, not as collections of discrete, subdivided properties:

"(2) To demonstrate that a utility facility is necessary, an applicant for approval under ORS 215.213(1)(d) or 215.283(1)(d) must show that reasonable alternatives have been considered and that the facility must be sited in an exclusive farm use zone due[.]"

(Emphasis added.)

Second, assuming arguendo that LUBA's opinion in City of Albany is indeed instructive in the context of this judicial review proceeding, Farm Bureau petitioners nevertheless have misconstrued its application here. City of Albany involved siting a municipal waterworks that encompassed separate, discrete components, among them, a water treatment facility, a storage reservoir, a waste backwash facility, and finished water pipelines. The opinion in that case noted, as a general matter, that the need to locate one component of such a facility in an EFU zone would not necessarily justify siting companion components in the same zone. 40 Or LUBA at 48. The opinion then went on to observe that the justification for siting the waterworks' pipelines on farm or forest land would not, by extension, also justify placing the facility's separate water treatment and storage reservoir components in similar areas. Id. at 50.

The kind of multiple-component utility that figured so prominently in City of Albany, however, is not present in this case. Here, one component comprises the facility at issue: the proposed pipeline. Unlike the waterworks in City of Albany, the pipeline contains no obvious dividing points marked by separate physical structures and therefore affords no occasion to consider whether distinct physical structures might require distinct justifications under ORS 215.275(2). As a result, we see no application for the City of Albany rationale in this case. The council did not err in refusing to require a property-by-property analysis of the pipeline under ORS 215.275(2).

In their second and third assignments of error, Farm Bureau petitioners focus on the use of road and highway rights-of-way in the EFU zones as alternatives to routing the pipeline through actively farmed land. Farm Bureau petitioners assert in their second assignment of error that the council erred when it allowed Northwest Natural to site the pipeline on farmland, rather than in public road and highway rights-of-way within the EFU zones. Specifically, they argue that the council misconstrued ORS 215.275(2) and made findings that were not supported by substantial evidence in determining that safety and other concerns prevented Northwest Natural from locating the pipeline within those rights-of-way. In their third assignment of error, Farm Bureau petitioners assert that the council erred when it determined that road or highway rights of way in EFU zones do not require consideration as siting alternatives under ORS 215.275(2). Farm Bureau petitioners note that, pursuant to ORS 215.283(1)(L), an applicant may site energy facilities either overhead or in the subsurface of public roads in EFU zones without resorting to the analysis required by ORS 215.275(2). Because that analysis is unnecessary when siting energy facilities on non-EFU zoned land, Farm Bureau petitioners argue that road and highway rights of way in EFU zones, in effect, are like non-EFU zoned lands for the purposes of ORS 215.275(2) and should be considered accordingly. Because our analysis of the latter argument effectively disposes of both assignments of error, we address it first.

ORS 215.203(1) allows areas within counties to be set aside as zones for exclusive farm use:

"Zoning ordinances may be adopted to zone designated areas of land within the county as exclusive farm use zones. Land within such zones shall be used exclusively for farm use except as otherwise provided in ORS 215.213, 215.283 or 215.284. Farm use zones shall be established only when such zoning is consistent with the comprehensive plan."

(Emphasis added.) At the same time, however, the part of the statute highlighted above recognizes another assortment of uses that can take place in EFU zones: specific nonfarm uses "otherwise provided" in ORS 215.213, 215.283, or 215.284. Expressly included within that group is the construction and modification of public roads and highways within EFU zones. See, e.g., ORS 215.283(1)(L) (permitting roadway modifications that do not involve construction of additional travel lanes, removal or displacement of buildings, or creation of new land parcels); ORS 215.283(2)(q)(r) (permitting, with prior approval, construction of passing or travel lanes that require acquisition of right-of-way and road modifications that require building displacement); ORS 215.283(3) (permitting, with prior approval, construction of roads and highways not allowed under subsections (1) and (2) of statute).

As a result, rather than categorically distinguishing road-related modifications and construction from the EFU zones in which they occur, ORS 215.203 anticipates inclusion of roads and highways as integral parts of EFU zones, even though they are nonfarm uses. In short, under ORS 215.203, it is incorrect to view road and highway rights-of-way within EFU zones as non-EFU anomalies that each require separate analysis under ORS 215.275(2). We do not view such rights-of-way as alternatives to EFU zones when, in fact, they are part of such zones. Farm Bureau petitioners' contrary position in their third assignment of error therefore is not well taken. We conclude that the council did not misapply ORS 215.275(2) with regard to the road and highway rights-of-way at issue here.

That conclusion also disposes of Farm Bureau petitioners' second assignment of error. There, they argue that, under the alternatives analysis that ORS 215.275(2) requires, the council incorrectly rejected some road rights-of-way within EFU zones as pipeline sites based on safety concerns and other factors. Although the context of that argument differs slightly from that presented in Farm Bureau petitioners' third assignment of error, it is nevertheless premised on the same mistaken notion that we have identified above, i.e., that the statutes treat road and highway rights-of-way in EFU zones in the same manner as non-EFU zoned lands. As we have concluded, they do not.

In their fourth assignment of error, Farm Bureau petitioners assert that, in those locations where the council did approve public road and highway rights-of-way as sites for the pipeline, the council nevertheless misconstrued ORS 215.283(1)(L) in doing so. That statute provides:

"(1) The following uses may be established in any area zoned for exclusive farm use:

"* * * * *

"(L) Reconstruction or modification of public roads and highways, including the placement of utility facilities overhead and in the subsurface of public roads and highways along the public right of way, but not including the addition of travel lanes, where no removal or displacement of buildings would occur, or no new land parcels result."

(Emphasis added.) Relying on the text highlighted above, Farm Bureau petitioners argued below that locating a pipeline within the "subsurface" of a public road or highway road right-of-way necessitated, as a matter of law, placing it directly under the hard surface of the road. The council declined to adopt that reading of the statute, and petitioners now reiterate their argument on review.

In construing ORS 215.283(1)(L) under the PGE methodology, 317 Or at 610-12, we first examine the statute's text and context. Id. at 611. The statute's use of the phrase "along the public right of way" and the fact that it modifies the word "overhead" in the statute suggests that the legislature intended that a utility facility may be placed anywhere "along," that is, within the confines of, the right of way. The context of that statutory provision, which includes related statutes, lends substantial support to that interpretation of legislative intent.

The zoning statutes contained in ORS chapter 215 do not articulate the defining physical aspects of roads or highways, much less discuss in any detail their subsurfaces. However, statutes expressly devoted to the thoroughfares of this state (9) frequently define roads and highways as encompassing "the entire right of way" upon which the road or highway's hard surface has been built:

"'Road' means the entire right of way of any public or private way that provides ingress to or egress from property by means of vehicles or other means or that provides travel between places by means of vehicles. 'Road' includes, but is not limited to:

"(a) Ways described as streets, highways, throughways or alleys[.]"

ORS 368.001(6)(a) (emphasis added).

"'Public road' means the entire right of way of any road over which the public has the right of use or any right of way held by the state or a political subdivision of the state for road purposes that is not open for public use."

ORS 376.150(1) (emphasis added).

"'State highway,' 'highway' or 'state highway system' means the entire width between the boundary lines of the right of way of every state highway, as defined by ORS 366.005, and the terms also include the interstate system and the federal-aid primary system."

ORS 377.710(34) (emphasis added). For zoning purposes, the legislature can define roads and highways differently if it chooses, but it has not done so. In the absence of any other definition in the zoning statutes, the statutes noted above provide important contextual clues from which we discern the legislatures's intent regarding the roads and highways at issue here. We conclude that, for purposes of ORS 215.283(1)(L), the phrase "public roads and highways" means the entire right-of-way within which those thoroughfares are constructed, not just the hard surface upon which traffic travels. As a result, Northwest Natural could comply with ORS 215.283(1)(L) by burying a pipeline alongside a hard road surface, so long as it remained within the thoroughfare's right-of-way. Farm Bureau petitioners' contrary construction of the statute therefore is not well taken, and the council did not err in so concluding.

In their final assignment of error, Farm Bureau petitioners assert that the council misconstrued and, as a result, failed to satisfy the requirements of ORS 215.275(5). ORS 215.275(5) provides:

"The governing body of the county or its designee shall impose clear and objective conditions on an application for utility facility siting under ORS 215.213(1)(d) or 215.283(1)(d) to mitigate and minimize the impacts of the proposed facility, if any, on surrounding lands devoted to farm use in order to prevent a significant change in accepted farm practices or a significant increase in the cost of farm practices on the surrounding farmlands."

Farm Bureau petitioners note that, in the administrative rules that the council promulgated, one definition of "mitigation" makes avoiding impacts a priority in the hierarchy of actions that an applicant can take to lessen potentially negative effects in siting an energy facility. See OAR 345-001-0010(29). (10) Pointing to that rule, Farm Bureau petitioners suggest that the term "mitigate" in ORS 215.275(5) warrants a similar construction. They argue that the statutory term compels the council to preempt farmland impacts outright by conditioning compliance with ORS 215.275(5) on avoiding incursions onto actively farmed land where possible. As a result, they argue, the council should have imposed an objective condition requiring Northwest Natural to locate the pipeline under roadways in EFU zones wherever possible or, alternatively, denied Northwest Natural's application. Farm Bureau petitioners contend that the council's failure to do so was error. (11)

In construing ORS 215.275(5), we follow the PGE methodology, 317 Or at 610-12. In this instance, because the terms "minimize" and "mitigate" do not have special statutory definitions, and do not have any well-understood legal meaning in this context, we give those terms their plain, natural and ordinary meanings. Id. The dictionary defines, "mitigate" as "to cause to become more gentle or less hostile; * * * to make less severe, violent, cruel, intense, or painful." Webster's at 1447. In the context of ORS 215.275(5), that term speaks to lessening the intensity or severity of a particular impact. "Minimize" in turn, means to reduce "to the smallest possible number, degree, or extent[.]" Webster's at 1438. It does not, however, mean "eliminate." Thus, the statute assumes that some impact on EFU land is permissible. Put differently, the word connotes reducing, to the extent possible, the frequency with which an impact occurs. When we construe the terms "mitigate" and "minimize" together, they demonstrate that ORS 215.275(5) requires the general reduction in the intensity and frequency of an impact, not, as Farm Bureau petitioners suggest, the absolute avoidance or elimination. The council did not err in declining to adopt that construction of those terms in its final order.

The order of the Energy Facility Siting Council is affirmed.

1. The stated purpose of the pipeline is twofold. First, according to Northwest Natural, it will allow Northwest Natural to maximize use of its Mist Underground Natural Gas Storage Facility to store gas during off-peak periods of demand and help balance a relatively static gas supply with widely fluctuating seasonal needs. Second, it will help meet the increasing demands for natural gas in the growing suburbs west of Portland.

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2. Aside from several exceptions not relevant here, ORS 469.300(10)(a)(E) defines natural gas pipelines that are at least 16 inches in diameter and more than five miles long as energy facilities.

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3. That area was bounded roughly by the Columbia/Washington county line to the north, Molalla to the south, the Coast Range to the west, and a line approximating the eastern limits of Hillsboro, Sherwood, Wilsonville, and Canby to the east.

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4. That route represented the alternative most often mentioned in public responses to Northwest Natural's NOI.

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5. ORS 215.275(2) is set out in full below, ___ Or at ___ (slip op at 7-8). Briefly paraphrased here for convenience, that statute allows an applicant to site an energy facility in an EFU zone if the applicant must use that zone rather than other alternatives due to one of the following factors: (1) technical and engineering feasibility; (2) locational dependency; (3) lack of available urban and nonresource lands; (4) availability of existing rights of way; (5) public health and safety; and (6) other requirements of state or federal agencies.

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6. OAR chapter 345, division 22, for example, delineates many of the substantive standards that an applicant must meet to receive site certification from the council. As a threshold matter, an applicant must, through appropriate studies, first categorize the site as to seismic zone and expected ground motion, show that the facility can be designed and built to avoid those dangers, and identify and avoid adverse nonseismic effects that construction will have on the site, OAR 345-022-0020. The applicant then must demonstrate, generally, that the design, construction, operation, and retirement of a facility (1) can avoid adverse soil impacts, OAR 345-22-0022; (2) will comply with statewide planning goals adopted by the Land Conservation and Development Commission (LCDC), OAR 345-022-0030; (3) are not likely to result in significant adverse impacts to protected areas, OAR 345-022-0040; (4) will allow a site to be restored adequately to a useful, nonhazardous condition following permanent cessation of construction or operation of the facility, OAR 345-022-0050; (5) are consistent with fish and wildlife habitat mitigation goals and standards, OAR 345-022-0060; (6) are consistent with conservation and protection programs for endangered plant and animal species, OAR 345-022-0070; (7) are not likely to result in significant adverse impacts to important scenic and aesthetic values identified in applicable land management plans, OAR 345-022-0080; (8) are not likely to result in significant adverse impacts to historic, cultural, or archaeological resources listed on, or likely to be listed on, the National Register of Historic Places, OAR 345-022-0090; (9) are not likely to result in significant adverse impacts to important recreational opportunities, OAR 345-022-0100; (10) are not likely to result in significant adverse impacts to the ability of public and private entities to provide sewers and sewage treatment, water, storm water drainage, solid waste management, housing, traffic safety, police and fire protection, health care, and schools, OAR 345-022-0110; and (11) will minimize and recycle solid waste and wastewater with minimal adverse impacts on surrounding and adjacent areas, OAR 345-022-0120.

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7. In laying out the corridor, Northwest Natural identified 10 key locations that the proposed facility had to pass through, or had to avoid, to maintain its viability. Those "constraint points" were formulated based on a variety of factors: public safety, geotechnical or engineering matters, other state or federal requirements, specific council requirements, and the location of favorably aligned roads. In each case, Northwest Natural considered alternatives to those locations, but found either that it could not implement them due to one of the constraint point factors listed above or that the proposed alternative simply traded one EFU location for another.

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8. "Soil creep" is the gradual movement of soil down a slope in response to gravity. When it occurs at a level deep enough below the surface, soil creep can result in step-like ridges along hillsides, trees that grow in a curve to counteract progressive leaning, and severely tilted man-made structures.

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9. ORS Title 31, Highways, Roads, Bridges, and Ferries.

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10. OAR 345-001-0010 provides, in part:

"In this chapter, the following definitions apply unless the context requires otherwise or a term is specifically defined within a division or a rule:

"* * * * *

"(29) 'Mitigation' means taking one or more of the following actions listed in order of priority:

"(a) Avoiding the impact altogether by not taking a certain action or parts of an action;

"(b) Minimizing impacts by limiting the degree or magnitude of the action and its implementation;

"(c) Partially or completely rectifying the impact by repairing, rehabilitating, or restoring the affected environment;

"(d) Reducing or eliminating the impact over time by preservation and maintenance operations during the life of the action by monitoring and taking appropriate corrective measures;

"(e) Partially or completely compensating for the impact by replacing or providing comparable substitute resources or environments; or

"(f) Implementing other measures approved by the Council."

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11. Farm Bureau petitioners go on to argue that, because ORS 215.275(5) requires avoidance of farmland impacts as a threshold matter, the council still must consider road and highway rights of way as siting alternatives within EFU zones, even if the alternatives analysis of ORS 215.275(2) is inapplicable in such cases. Our analysis of the primary argument in this assignment of error, however, disposes of the issue before us, obviating the need to address Farm Bureau petitioner's secondary argument at this time.

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Filed: June 30, 2011 IN THE SUPREME COURT OF THE STATE OF OREGON In Re: Complaint as to the Conduct of J. MARK LAWRENCE, Accused. (OSB 08-115; SC S058778) En Banc On review of the decision of a trial panel of the Disciplinary Board. Argued and submitted May 2, 2011. Paula Lawrence, McMinnville, argued and cause and filed the briefs for accused. Stacy Hankin, Assistant Disciplinary Counsel, Tigard, argued the cause and filed the brief for the Oregon State Bar. PER CURIAM The complaint is dismissed. PER CURIAM The issue in this lawyer disciplinary proceeding is whether the accused, by releasing a partial transcript of a juvenile hearing to the press, violated Rule of Professional Conduct (RPC) 8.4(a)(4), which prohibits a lawyer from engaging in conduct that is prejudicial to the administration of justice. A trial panel found the accused guilty of violating RPC 8.4(a)(4) and suspended him for 60 days. We review the decision of the trial panel de novo. ORS 9.536(2); BR 10.6. Because we conclude that

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the Bar failed to prove by clear and convincing evidence that the accused's conduct caused prejudice to the administration of justice, we dismiss the complaint. The facts are straightforward and largely undisputed. In 2007, the accused represented a juvenile male who, along with another male friend, allegedly had touched or swatted several female classmates on the buttocks and had danced in front of the females in a lascivious manner. The incident occurred at the students' middle school. After being informed of the youths' behavior, the vice principal and a police officer interviewed the victims. Based on those interviews, the accused's client and his friend were arrested by a McMinnville Police Officer on February 22, 2007. On February 23, the Yamhill County Juvenile Department filed a delinquency petition alleging that the accused's client had committed acts that, if done by an adult, would have constituted five counts of first-degree sexual abuse and five counts of third-degree sexual abuse. At an initial detention hearing that same day, the court ordered the youths to remain in custody. The events giving rise to this disciplinary action arose out of a second detention hearing held on February 27, 2007, before Judge John Collins. The accused called two of the victims to testify on behalf of his client. The female victims testified that the youths were their friends and that they did not find the youths to be threatening in any way. Regarding the alleged sexual abuse, the female victims testified that the touching or swatting was not sexual in nature but rather was mere horseplay. The victims also testified that they felt pressured by the vice principal and the police officer to make the touching sound hurtful and uncomfortable when it was not. By the second detention hearing, the case was receiving substantial media 2

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attention. Judge Collins allowed the press to attend the detention hearing, but prohibited the press from recording the proceedings. The parties dispute whether the judge prohibited only video recordings or also prohibited audio recordings.1 A number of newspaper and television stories reported the events and testimony at the hearing. After the hearing, the accused obtained a copy of the official audio recording of the hearing and had a partial transcript prepared that contained the victims' testimony. In March 2007, a reporter contacted the accused about the February 27 hearing. The reporter, who was not present at the hearing, expressed disbelief that the female victims had felt pressured by the vice principal and the police officer to make the youths' actions seem sexual. The accused offered to give the reporter a copy of the partial transcript when it was available. The accused believed that it would have been improper to give the reporter the official audio recording of the hearing but thought that the transcript could be released. The accused contacted Deborah Markham, the deputy district attorney handling the case, to see if she objected to releasing the transcript. Markham told the accused that she believed that the court would have to consent. The accused then released the transcript to the reporter without obtaining permission from Judge Collins. Deputy District Attorney Deborah Markham testified that Judge Collins prohibited video recording. Judge Collins testified that he might have prohibited the press from recording the detention hearing, but that he did not remember whether he did so or not. He did remember allowing video recording at a later hearing in the proceeding. The accused testified that Judge Collins prohibited video recording but that he could not remember if the judge prohibited audio recording.
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When Judge Collins learned that the transcript had been released -following news reports that cited the transcript -- he called a meeting with Markham and the accused and told them to release no other transcripts. The testimony from the accused, Markham, and Judge Collins differs regarding that meeting. The accused described the meeting as relaxed and said that Judge Collins had stated that the release of the transcript was permissible. Markham testified that Judge Collins was "very concerned" about the release of the transcript and that Judge Collins said that the accused's disclosure violated the law. Judge Collins testified that the accused did not get his consent to release the transcript, but that he was not sure if the accused needed to do so under the circumstances of the case, particularly given the presence of the press at the hearing. In Judge Collins's description, the meeting was not contentious; although he requested that the parties refrain from releasing any additional transcripts, he did not "feel like [he] needed to be firm" and so did not issue an order barring further releases. In April 2008, several months after the juvenile case was resolved, Tim Loewen, director of the Yamhill County Juvenile Department, reported the accused's action of releasing the transcript to the Bar. After investigating the matter, the Bar charged the accused with violating RPC 8.4(a)(4)2 by releasing to the press "information
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RPC 8.4(a) provides, in relevant part: "It is professional misconduct for a lawyer to: "* * * * * "(4) engage in conduct that is prejudicial to the administration of

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appearing in the record" of a juvenile case without court consent, in violation of ORS 419A.255(1) and (3).3 The Bar alleged that the accused had "usurped" Judge Collins's authority to control the proceeding by not seeking the court's consent before releasing the transcript, and thereby had caused prejudice to the administration of justice. In the proceeding before the trial panel, the accused argued that his release of the transcript did not violate ORS 419A.255 for each of three independent reasons: (1) the transcript that he had prepared was not a part of the record of the case and so was not subject to ORS 419A.255; (2) Judge Collins had consented to the release of the information contained in the transcript when he allowed the press to attend and report on

justice[.]"
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ORS 419A.255 provides, in relevant part:

"(1) The clerk of the court shall keep a record of each case, including therein the summons and other process, the petition and all other papers in the nature of pleadings, motions, orders of the court and other papers filed with the court, but excluding reports and other material relating to the child, ward, youth or youth offender's history and prognosis. The record of the case shall be withheld from public inspection but is open to inspection by the child, ward, youth, youth offender, parent, guardian, court appointed special advocate, surrogate or a person allowed to intervene in a proceeding involving the child, ward, youth or youth offender, and their attorneys. The attorneys are entitled to copies of the record of the case. "* * * * * "(3) Except as otherwise provided in subsection (7) of this section, no information appearing in the record of the case or in reports or other material relating to the child, ward, youth or youth offender's history or prognosis may be disclosed to any person not described in subsection (2) of this section without the consent of the court * * * ."

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the hearing; and (3) the information in the transcript could be released under ORS 419A.255(5)(b) and (d), which list certain exceptions to the confidentiality of juvenile records. Even assuming that he did violate ORS 419A.255, the accused asserted, he did not violate RPC 8.4(a)(4), because his conduct was not prejudicial to the administration of justice. That was so, according to the accused, because the defendant and the victims supported releasing the transcript and because the information contained in the transcript had already been made public as a result of the press attending and reporting on the hearing. Thus, in the accused's view, no harm -- actual or potential -- resulted from his conduct. The trial panel found by clear and convincing evidence that the accused had violated RPC 8.4(a)(4) and suspended the accused from the practice of law for 60 days. The trial panel first determined that ORS 419A.255(3) prohibited the accused from releasing the partial transcript to the press without the consent of the trial court and that the accused had violated the statute in doing so. With little discussion, the trial panel then found that the evidence that the accused had violated the statute also was sufficient to show prejudice to the administration of justice and thus that the accused had violated RPC 8.4(a)(4). The accused sought review in this court. To prove a violation of RPC 8.4(a)(4), the Bar must prove (1) that the accused lawyer's action or inaction was improper; (2) that the accused lawyer's conduct occurred during the course of a judicial proceeding; and (3) that the accused lawyer's conduct had or could have had a prejudicial effect upon the administration of justice. See In re Kluge, 335 Or 326, 345, 66 P3d 492 (2003) (citing In re Haws, 310 Or 741, 746-48, 6

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801 P2d 818 (1990)) (so stating for identically worded former DR 1-102(A)(4)). Because we find the issue to be dispositive, we begin by examining the third element -- whether the accused's conduct had or could have had a prejudicial effect on the administration of justice -- and assume, without deciding, that the accused's conduct violated ORS 419A.255(3) and otherwise satisfied the test set out in Kluge and Haws. Prejudice to the administration of justice "may arise from several acts that cause some harm or a single act that causes substantial harm to the administration of justice." Kluge, 335 Or at 345. This court has identified two components to the "administration" of justice: "1) The procedural functioning of the proceeding; and 2) the substantive interest of a party in the proceeding." Haws, 310 Or at 747. "A lawyer's conduct could have a prejudicial effect on either component or both." Id. The Bar argues that the accused's conduct, a single act, resulted in prejudice to the administration of justice because it had the potential to cause substantial harm to the procedural functioning of the court. The Bar asserts, "Substantial potential harm to the administration of justice occurs whenever a lawyer interferes in or usurps the court's ability to do its job in a proceeding pending before it." The Bar states that the accused "usurped" the court's authority by not seeking Judge Collins's consent prior to releasing the transcript. The Bar cites three disciplinary cases to support its position that the accused's conduct resulted in substantial potential harm to the administration of justice. First, in In re Eadie, 333 Or 42, 36 P3d 468 (2001), this court found a violation of former DR 1-102(A)(4) where the accused lawyer submitted a proposed order containing a 7

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misrepresentation that was intended to influence the judge in changing the trial date. Id. at 58. That conduct substantially harmed the procedural functioning of the court because it resulted in the judge acquiescing to a trial date preferred by the accused and made it necessary for the judge to resolve a dispute resulting from the accused's misrepresentation and to redraft an order. Id. Second, in In re Morris, 326 Or 493, 953 P2d 387 (1998), this court concluded that the accused lawyer had engaged in a single act of conduct that had the potential to cause substantial harm, either to the procedural functioning of the court or to the substantive interests of the parties, when she knowingly filed a notarized document that she had altered. Id. at 502-03. Third, in In re Thompson, 325 Or 467, 940 P2d 512 (1997), this court found a violation of former DR 1-102(A)(4) where the accused lawyer physically confronted a judge after receiving an adverse decision. That conduct caused substantial harm to the administration of justice because the accused's ex parte communication with the judge "unfairly attack[ed] the independence, integrity, and respect due a member of the judiciary." Id. at 475. The conduct also had the potential to cause substantial harm, because it could have influenced the judge to change her decision or to recuse herself from the case. Id. In each of the preceding cases, the accused lawyer engaged in conduct that had the potential to disrupt or to improperly influence the court's decision-making process, Thompson, 325 Or at 475; that created unnecessary work for the court, Eadie, 333 Or at 58; or that had the potential to mislead the court, Morris, 326 Or at 503. Moreover, in Eadie and Morris, the accused lawyers made knowing misrepresentations to the court. Similarly, in Kluge, the accused lawyer's conduct in knowingly filing an 8

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untimely motion to disqualify the trial judge and then failing to serve the motion on opposing counsel caused prejudice to "the procedural functioning of the judicial system by imposing a substantial burden upon both opposing counsel and [the trial judge] to undo the accused's actions." 335 Or at 346. In this case, the Bar has made no showing, as required by Kluge and Haws, that the accused's conduct harmed the procedural functioning of the judicial system, either by disrupting or improperly influencing the court's decision-making process or by creating unnecessary work or imposing a substantial burden on the court or the opposing party. Nor has the Bar shown that his conduct had the potential to result in any of the above. Certainly, Judge Collins did not testify that the accused's actions interfered with Judge Collins's conduct of the juvenile proceeding. Although the Bar correctly asserts that ORS 419A.255 gives the trial court control over the release of protected information in a juvenile record -- and, as noted, we assume without deciding that the accused acted improperly in not seeking the trial court's consent -- the Bar's theory fails to take into account the fact that the information contained in the partial transcript that the accused released was presented in open court and had already been reported by the press.4 It is difficult to see how the accused's release of the same information, in the context of this case, had the potential to cause any harm to the proceeding, much less substantial harm.

Article I, section 10, of the Oregon Constitution grants members of the public, including the press, the right to attend juvenile hearings. State ex rel Oregonian Pub. Co. v. Deiz, 289 Or 277, 284-85, 613 P2d 23 (1980).

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See Kluge, 335 Or at 345 (prejudice to the administration of justice may arise from "several acts that cause some harm or a single act that causes substantial harm"). Indeed, the Bar makes no effort to show that the accused's conduct could have resulted in new information being made public or that the release of the partial transcript itself had any potential impact on the proceeding. In fact, after the press attended the hearing and the accused released the transcript, Judge Collins allowed members of the press to listen to the official audio recording of the hearing. Nevertheless, the Bar asserts that Judge Collins was sufficiently "concerned" about the release of the information to call the accused and Markham to his chambers to discuss the incident. The fact that Judge Collins was "concerned" and met with the accused and Markham does not, by itself, demonstrate the potential for substantial harm to the procedural functioning of the court. Judge Collins himself stated that, although "in a perfect world," he probably would not have wanted the transcript released, in the context of this case and the open court provision of Article I, section 10, of the Oregon Constitution, the release of the partial transcript was likely permissible without his consent because "if [the press is] * * * going to know the information and report the information, at least get it right." Judge Collins's testimony, then, does not demonstrate that the accused's conduct impacted the procedural functioning of the court, even if the accused's conduct was cause for "concern." Nor does the Bar offer any evidence to prove that the release of the partial transcript harmed the substantive interests of the accused's client, the victims, or the state. The accused released the transcript, with the support of his client, in response to an 10

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inquiry from the media and in order to respond to inaccuracies appearing in some media reports. The accused maintained the confidentiality of the victims' names in the transcript, referring to them by their initials, consistent with an earlier order by Judge Collins. In this proceeding, the accused also submitted letters from the two victims who testified (and their parents) that stated their support for the release of the partial transcript. Finally, there was no testimony from the Yamhill County Juvenile Department that the release of the partial transcript had any effect on its substantive interests or its ability to prosecute the case. The Bar appears, instead, to take the position that virtually any violation of a statute, rule, or court order that occurs during the course of a court proceeding and relates to the conduct or any procedural aspect of that proceeding necessarily is prejudicial to the administration of justice. The Bar asserts, in effect, that "substantial potential" harm is implicit in the accused's conduct. Our cases, however, require proof by clear and convincing evidence that an accused's conduct in a specific judicial proceeding caused actual or potential harm to the administration of justice and, when only one wrongful act is charged, that actual or potential harm must be "substantial." Kluge, 335 Or at 345; Haws, 310 Or at 748. Here, the Bar's evidence did not prove that substantial harm resulted or could have resulted from the accused's conduct. We conclude that the Bar has not proved by clear and convincing evidence that the accused violated RPC 8.4(a)(4). The accused's conduct did not result in such prejudice, because there is no evidence that the release of the partial transcript, which contained solely information already presented in open court and reported by the press, 11

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harmed the procedural functioning of the judicial system. Nor is there any evidence that the substantive rights of the accused's client, the other juvenile defendant, the victims, or the state were harmed. "Prejudice to the administration of justice" requires such a showing. Haws, 310 Or at 747-48. The complaint is dismissed.

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