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Court Order Judge Decision

Preliminary injunction Alligator Alcatraz

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0% found this document useful (0 votes)
32K views82 pages

Court Order Judge Decision

Preliminary injunction Alligator Alcatraz

Uploaded by

audra.schroeder
Copyright
© © All Rights Reserved
We take content rights seriously. If you suspect this is your content, claim it here.
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You are on page 1/ 82

Case 1:25-cv-22896-KMW Document 131 Entered on FLSD Docket 08/21/2025 Page 1 of 82

UNITED STATES DISTRICT COURT


SOUTHERN DISTRICT OF FLORIDA
CASE NO. 25-22896-CV-WILLIAMS

FRIENDS OF THE EVERGLADES, INC., et al.,

Plaintiffs,

v.

KRISTI NOEM, et al.,

Defendants.
/

OMNIBUS ORDER

THIS MATTER is before the Court on Plaintiffs Friends of the Everglades, Inc.

(“Friends”) and Center for Biological Diversity’s (“CBD”) (together, “Plaintiffs”) Expedited

Motion for Preliminary Injunction (DE 5) (“Motion for Preliminary Injunction”). The Court

will also address Defendant Kevin Guthrie (the “State”) and Defendants Kristi Noem and

Todd Lyons’ (together, “Federal Defendants”) venue challenges. (DE 50; DE 60; DE

65). 1 Both Motions are fully briefed. 2 On July 30, 2025, the Parties presented oral

argument on the State and Federal Defendants’ improper venue challenge, (DE 72)

(“Hearing on Venue”), and on August 6, 7, 12, and 13, 2025, the Parties presented

evidence and oral argument on the merits of Plaintiffs’ request for injunctive relief.

1 Though Defendants’ venue challenges were advanced in the form of supplemental


briefings to Plaintiffs’ Renewed Motion for TRO, the Court “will treat Defendants’
response[s] as a 12(b)(3) motion to dismiss based on ‘improper venue.’” Doe 1 v. Bondi,
-- F. Supp. 3d --, 2025 WL 1482733, at *4 (N.D. Ga. May 2, 2025).
2 All Defendants responded in opposition to Plaintiffs’ Motion for Preliminary Injunction,
(DE 12; DE 16; DE 21), and Plaintiffs replied (DE 24). Plaintiffs also replied to Defendants’
improper venue Motions. (DE 61; DE 66).

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(DE 102; DE 103; DE 119; DE 121 (together, the “Preliminary Injunction Hearing”)).

For the reasons set forth below, the Court finds that venue in the Southern District of

Florida (“S.D. Fla.”) is proper as to the State and Federal Defendants, and the Motion for

Preliminary Injunction (DE 5) is GRANTED IN PART AND DENIED IN PART.

I. BACKGROUND

According to the Complaint, on June 23, 2025, the Florida Division of Emergency

Management (“FDEM”) took control of the Dade-Collier Training and Transition Airport

(“TNT”), in order to construct a mass migrant detention and deportation camp. (DE 1 ¶¶

1, 39). 3 Two days later, Florida Governor Ron DeSantis announced that the detention

center was requested and would be fully funded by the federal government. (Id. ¶ 35).

Pre-construction and construction activities at TNT began that week, (Id. ¶¶ 40–42),

according to Plaintiffs, without any environmental assessment or impact statement having

been prepared. (Id. ¶ 43).

The TNT site is located within the Big Cypress National Preserve (“BCNP”) and

the Big Cypress Area, which the Florida legislature has designated as “an area of critical

state concern” with the intention to “conserve and protect the [area’s] natural resources

and scenic beauty.” Fla. Stat. § 380.055(1)–(2); (DE 1 ¶¶ 21–22). The project site is

“within an environmentally sensitive freshwater wetland ecosystem of ecological

significance for wildlife,” such as the “threatened wood stork, and the endangered Florida

bonneted bat and the Florida panther.” (DE 1 ¶ 23). The site is also “near Everglades

National Park and part of the historic Everglades,” and within the footprint of the Western

3 Throughout this Order, the Court will refer to the detention facility at the TNT site as
“facility” or “camp.” The Court declines to use the moniker “Alligator Alcatraz.”

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Everglades Restoration Plan (“WERP”). (Id. ¶¶ 29, 32). The WERP is part of a multi-billion

dollar joint federal-state effort to “restor[e], preserv[e], and “protect[] the South Florida

ecosystem,” and uses a complex network of active and passive water management

features to “re-establish ecological connectivity, reduce the severity and frequency of

wildfires, and restore low nutrient conditions” in the Western Everglades. (Id. ¶¶ 29–32).

According to Plaintiffs, the detention camp’s construction and operation risks harming the

wetlands, wildlife, aquifer, and air and water quality in this sensitive area, and degrading

the “natural, scenic, hydrologic, floral, and faunal, and recreational values for which the

Preserve was created.” (Id. ¶ 58).

On June 27, 2025, non-profit environmental organizations Friends and CBD filed

this suit seeking declaratory and injunctive relief to halt the camp’s construction and

operation until the project complied with federal, state, and local laws. (Id. ¶¶ 1, 8, 13).

Most notably, Plaintiffs claim the project is being built and operated in violation of the

National Environmental Policy Act (“NEPA”), which requires that major federal actions

significantly affecting the human environment undergo environmental review processes.

(Id. ¶¶ 61–74) (Count I). Because no such review had been done, Plaintiffs claim, the

approval and use of the camp by the United States Department of Homeland Security

(“DHS”), including Immigration and Customs Enforcement (“ICE”), should be held

unlawful under the Administrative Procedure Act (“APA”). (Id. ¶¶ 75–79) (citing 5 U.S.C.

§ 701 et seq.) (Count II). Plaintiffs further claim the State’s participation in the project

through FDEM exceeds the department’s authority under Florida Statutes Chapters 252

and 944. (Id. ¶¶ 80–87) (Count III). Finally, Plaintiffs allege Defendant Miami-Dade County

(“Miami-Dade”) unlawfully acquiesced in allowing its property, TNT, to be used as a

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detention camp without the proper permitting and in violation of county code. (Id. ¶¶ 88–

94) (Count IV). The case was initially assigned to another judge in this district. (DE 2).

On that same day, Plaintiffs filed their Motion for Preliminary Injunction (DE 5),

requesting that the Court enjoin the State and the Federal Defendants from developing

or using the TNT site as an immigration detention camp “unless and until Defendants

comply with NEPA and the APA.” (DE 5 at 1–2, 14). 4 Within the following week, all

Defendants responded, challenging Plaintiffs’ likelihood of success on the merits, (DE 12;

DE 16; DE 21), inter alia, and Plaintiffs replied. (DE 24). No Defendant raised venue as

an issue.

The State’s response included an affidavit from Keith Pruett, the FDEM Deputy

Executive Director, stating that Florida is funding the project, though it expects to seek

reimbursement from the federal government, and that the project’s environmental impact

is likely to be minimal, 5 as TNT was already an active airfield with two buildings on site lit

4 In their Motion for Preliminary Injunction, Plaintiffs also requested that the Court enjoin
the State and Federal Defendants “from authorizing or permitting further development or
use of the TNT [s]ite for purposes related to a noncitizen detention center,” regardless of
what procedures they follow. (DE 5 at 14). That request is apparently tied to Count III,
which challenges the FDEM’s authority to build and operate a correctional camp. (DE 1
¶¶ 82–85). However, Plaintiffs did not develop any arguments nor provide any evidence
related to Count III in the Motion for Preliminary Injunction, their subsequent briefing, or
during the Preliminary Injunction Hearing. Therefore, Plaintiffs have waived this request.
See Fernandez v. Hotwire Commc’ns, Ltd., No. 21-cv-60115, 2022 WL 4598638, at *17
(S.D. Fla. Sept. 30, 2022) (holding plaintiffs had waived their disparate impact theory by
failing to advance any arguments on the issue at summary judgment (citing United States
v. Campbell, 26 F.4th 860, 873 (11th Cir. 2022) (holding that the “failure to raise an issue
in an initial brief . . . should be treated as a forfeiture of the issue”)). Similarly, Plaintiffs
initially sought injunctive relief against Miami-Dade but subsequently withdrew that
request. (DE 31 at 3 n.2). Consequently, the Court considers only Plaintiffs’ request for
an injunction tied to their NEPA allegations.
5Director Pruett’s declaration provided no background regarding his education, prior work
experience, or familiarity with environmental sciences, the Everglades ecosystem, or
NEPA. (DE 16-1 at 2–3). It is entirely unclear in what capacity Director Pruett purports to
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24-hours a day. (DE 16-1). For their part, the Federal Defendants attached declarations

from Thomas Giles, Acting Deputy Executive Associate Director for ICE’s Enforcement

and Removal Operations (“ERO”), (DE 21-1), and David Richardson, acting Administrator

of the Federal Emergency Management Agency (“FEMA”). (DE 21-2). 6 Giles stated that

ICE’s role in the development of the detention camp has been “limited to touring the camp

to ensure compliance with ICE detention standards, and meeting with officials from the

State of Florida to discuss operational matters.” (DE 21-1 ¶ 5). He further declared Florida

would have final decision-making authority over who to detain at the camp, but that any

detentions at the camp would be pursuant to “section 287(g) of the Immigration and

Nationality Act [(“INA”)], codified at 8 U.S.C § 1357(g).” (Id. ¶¶ 6–7). Even so, Richardson

admitted that the facility would be funded by the federal government, stating that

“DHS/FEMA announced $600 million in federal funding for the Detention Support Grant

Program [(“DSGP”)]” and that “[t]he only eligible applicant under the DSGP is [FDEM].”

(DE 21-2 ¶ 3).

Over the next two weeks through July 16, 2025, the Parties filed notices with

additional affidavits and other evidence, and they made additional arguments on the

merits of Plaintiffs’ preliminary injunction request. See (DE 14; DE 20; DE 25; DE 26;

DE 27; DE 34; DE 35; DE 38; DE 47; DE 48). This included two filings by the State, which,

in part, reiterated its merits argument that “NEPA does not apply” to the TNT camp.

possess the knowledge required to determine the likely environmental impacts of a


detention center on the Everglades.
6 Throughout this Order, the Court will identify exhibits either through reference to their
docket entry numbers or their exhibit numbers on the Parties’ Final Lists of Admitted
Exhibits (DE 123; DE 124). When doing the latter, Plaintiffs’ exhibits will be identified as
“Pl. Ex. #”, the Tribe’s exhibits as “Tribe Ex. #”, and Defendants’ exhibits as “D. Ex. #”.

Page 5 of 82
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(DE 28 at 2; DE 35 at 1 (“No matter how many times Plaintiffs poke and prod at the Court,

they are unable to show their complaint presents a justiciable controversy under

NEPA.”)). Still, no Defendant challenged or raised the question of venue.

Also during that period, on July 14, 2025, the Miccosukee Tribe of Indians of

Florida (“Tribe”) moved to intervene as plaintiffs based on its long-standing ties to the

lands around TNT and the environmental risks the project poses to the Tribe’s food and

water supply. 7 (DE 33). Then on July 16, 2026, the presiding judge recused from the

case, and it was reassigned to the undersigned. (DE 37).

The next day, Plaintiffs filed a Renewed Motion for TRO, explaining that since they

filed suit, the “State and Federal Defendants commenced transporting immigration

detainees to the TNT [s]ite,” that, according to State officials, “as many as 900 people are

now being detained at the [s]ite, and that the State has plans to expand the number of

detainees to as many as 4,000.” (DE 40 at 2). Given the completion of the detention

camp’s first phase of construction and its ongoing operations, Plaintiffs modified their

request for injunctive relief, now seeking a “halt to any further construction on the TNT

[s]ite . . ., [a] pause[ to] the transport of additional detainees to the [s]ite, and [the] ceasing

[of] any operations related to detaining or preparing for the detention of anyone not

[already] detained at the [s]ite[.]” (Id. at 6).

On July 21, 2025, the State filed a Supplemental Response to Plaintiffs’ Requests

for a Temporary Restraining Order (“Supplemental Response on Venue”) arguing for

7 Only the State opposed the Tribe’s intervention in the suit. See (DE 58; DE 59). The
Court granted the Tribe’s request on July 30, 2025. (DE 73). The Tribe has since filed an
Intervenor Complaint, (DE 84), and joined Friends and CBD’s Motion for Preliminary
Injunction. (DE 85).

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Case 1:25-cv-22896-KMW Document 131 Entered on FLSD Docket 08/21/2025 Page 7 of 82

the first time that “venue is not proper in this Court.” (DE 50 at 1). At a Status Conference

that day, the Court set a briefing schedule on the issue and oral arguments for July 30,

2025. (DE 54). ‘“Where facts are bitterly contested and credibility determinations must be

made to decide whether injunctive relief should issue,’ district courts must hold an

evidentiary hearing on the propriety of injunctive relief.” Farmworker Ass’n of Fla. v.

Moody, 734 F. Supp. 3d 1311, 1320–21 (S.D. Fla. 2024) (quoting McDonald’s Corp. v.

Robertson, 147 F.3d 1301, 1312 (11th Cir. 1998). Therefore, the Court also set an

evidentiary hearing on Plaintiffs’ Motion for Preliminary Injunction for August 6, 2025.

(DE 54).

A. Preliminary Injunction Hearing

Over four days of evidentiary presentation and oral argument between August 6

and August 13, 2025, the Court heard testimony from ten witnesses and viewed over a

hundred exhibits. Plaintiffs first called Friends Executive Director Eve Samples, who

spoke both of her personal, and the 50,000-member organization’s commitment to

preserving the Everglades and the procedural harms they have faced due to Defendants’

failure to consult with Friends before building the detention camp. State Representative

Anna Eskamani recounted a July 12, 2025 tour of the facility led by Director Guthrie. She

testified that on the tour, Director Guthrie informed her that the facility was the product of

a DHS request, that there would be a federal reimbursement to the state for the facility’s

costs, that detainees are dropped off at the site by federal agents, and that ICE inspects

the facility. CBD member Amber Crooks described hiking, camping, stargazing, and

animal-watching in the preserved areas around the TNT site, shared her fears that the

light pollution, increased traffic, and wastewater associated with the project will frustrate

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her future enjoyment of the area, and stated her readiness to engage with any future

NEPA process. Next, 27-year veteran of the Florida Fish and Wildlife Conservation

Commission, ecologist, and panther expert Randy Kautz explained how increased light,

sound, vehicular traffic, and other human activity from the project risks loss of habitat and

increased mortality for the estimated 120 to 230 remaining Florida panthers. The final

witness on August 6 was Friends member Jessica Namath, an avid outdoorswoman and

animal watcher, who described regularly hiking and driving in the areas surrounding the

TNT site before the camp’s construction. Since then, Ms. Namath testified to spending

nearly every day at the access gate to the TNT site to bear witness to its transformation.

She described the site’s industrial lighting and her observation of heavy construction

materials and machinery coming and going to and from the site, and of federal law

enforcement vehicles entering the site daily.

On August 7, Plaintiffs called soil physicist, hydrologist, and wetland ecologist Dr.

Christopher McVoy. After touring the project with site Incident Commander Dr. Frank E.

Lumm, and reviewing photos and soil reports, Dr. McVoy opined that over 800,000 square

feet of new paving had been introduced at the site, which risked disrupting the nutrient

balance of the surrounding, connected wetlands by increasing runoff. Next, former Miami-

Dade County Department of Environmental Regulatory Management geologist Dillon

Reio presented an analysis concluding that the Defendants’ 800,000 square feet of new

paving could lead to large increases in runoff contaminated with polycyclic aromatic

hydrocarbons (“PAH”) and other carcinogens into the surrounding wetlands. He also

testified that the project did not appear to have any meaningful stormwater management

system, based on his review of permitting databases and the camp’s engineering plans.

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Case 1:25-cv-22896-KMW Document 131 Entered on FLSD Docket 08/21/2025 Page 9 of 82

On August 12, the Tribe called two members of its environmental team, Director

of Water Resources Amy Castaneda and Fish and Wildlife Department Director

Dr. Marcel Bozas. 8 Castaneda testified that eighty percent of the Tribe’s residences, two

schools, and the Tribal governmental building, are all located in the Miccosukee Reserved

Area a few miles southeast of the TNT site in Miami-Dade County. She explained that

any uncontained wastewater or run-off leaving the TNT site will likely flow into the BCNP,

Everglades National Park, and eventually into the Miccosukee Reserved Area. She

further testified that the multi-billion-dollar water management projects associated with

the recently enacted WERP—which was the culmination of an almost decade-long

planning—were based on the TNT site’s old usage as a training airport, and that WERP’s

preservation efforts in the area could be hindered by high-nutrient runoff from the

detention camp. Dr. Bozas testified about the site’s current and potential harmful impacts

on the environment and the Tribe’s use of the lands. He testified about the Tribe’s

traditions of hunting, fishing, and collection of medicinal or other culturally important plants

around the site. He pointed out off-road trails with trailheads on the camp’s fence line,

which had served as the Tribe’s access points to BCNP and which are now inaccessible.

He also discussed how the increased human activity, traffic, noise, and light from the

project is likely to disrupt wildlife in the area, including the endangered panther, bonneted

bat, and wood stork.

The only witness called by Defendants was Florida Department of Highway Safety

8Castaneda earned a bachelor’s degree of science in natural resource conservation and


has worked in the Tribe’s Water Resources Division for nineteen years. (DE 129 at 12).
Dr. Bozas holds a Ph.D. in earth system science and natural resources and conducted a
study for his dissertation of wildlife movement in the Miccosukee Water Conservation
Area and Everglades National Park. (Id. at 96–97).

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and Motor Vehicles (“FDHSMV”) Executive Director David Kerner. Director Kerner, who

also oversees the Florida Highway Patrol (“FHP”), discussed FHP’s coordination with ICE

under their 287(g) agreement. He explained how FHP troopers contact ICE to make a

detention determination after stopping an individual on state law violations and then

suspecting that individual of lacking lawful status. He said that it is federal agencies and

agents, not FHP troopers, who transport detainees to the TNT site, and federal agencies

who carry out deportations using federal aircraft. Director Kerner also discussed the

importance of immigration enforcement in Florida generally, referencing an uptick in

human and narcotics trafficking across the border, and the importance of increasing

detention capacity to those enforcement priorities. Director Kerner testified that his

knowledge of who was being detained at the TNT site was limited, though he knew all

detainees were there solely on immigration violations, none on state criminal charges.

Finally, Director Kerner said he had been on a tour of the facility before it became

operational and that he was not aware of any other sites that had been considered for the

facility. Defendants also introduced evidence that the TNT site had been in active use as

a training airport for decades before the project, and questioned witnesses about how risk

of harms from its use as a detention camp compare to those of its prior use facilitating

training flights. And throughout the Hearing, Defendants cross-examined witnesses about

their failure to collect data proving that the detention camp was having the harmful effects

they described in their testimony.

Although the Court heard testimony into the early evening of August 6, the Parties

agreed the Preliminary Injunction Hearing would not conclude that day. At that time,

counsel for the State and Federal Defendants informed the Court that they had absolute

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scheduling conflicts which would preclude resumption of the proceedings until the

following Tuesday. After some discussion with the Court, the Parties agreed that the

Hearing could proceed the next day for just a half day, to be resumed the following

Tuesday.

At the close of the half day of testimony on August 7, Plaintiffs renewed their

request for a limited TRO, citing evidence suggesting that Defendants planned to add

paving and other infrastructure over the weekend, while the Hearing was in recess.

Specifically, Plaintiffs requested that the Court prevent any additional industrial-style

lighting, paving, filling, excavating, site preparation, or fencing from being introduced to

the site. The Court inquired as to whether Defendants would agree that no such

construction would take place over the five-day hiatus. Defendants were unwilling to make

this representation. Consequently, after hearing additional argument, the Court granted

Plaintiffs’ narrow request for a TRO, halting further expansion of the site for fourteen days.

(DE 104). The Court then concluded the evidentiary presentation on August 12, 2025,

and heard closing remarks the following day.

B. 287(g) Agreements

“For nearly 150 years, the Supreme Court has held that the power to control

immigration—the entry, admission, and removal of noncitizens—is exclusively a federal

power.” United States v. Texas, 97 F.4th 268, 278–79 (5th Cir. 2024). However, “[f]ederal

law specifies limited circumstances in which state officers may perform the functions of

an immigration officer[,]” such as through a formal agreement under § 1357(g)(1). Arizona

v. United States, 567 U.S. 387, 408–09 (2012). As mentioned above, the Federal

Defendants concede that the camp operates pursuant to such “287(g)” agreements

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between DHS (through ICE) and relevant Florida law enforcement agencies, along with

the aid of on-site federal agents. (DE 105 at 34). In a separate case raising constitutional

challenges to particular practices at the camp, the State and Federal Defendants

produced several of the operative 287(g) agreements, including those between ICE and

nine Florida agencies: Florida Department of Alcoholic Beverages and Tobacco Bureau

of Law Enforcement (“FDABT”); Florida Department of Corrections (“FDOC”); Florida

Department of Law Enforcement (“FDLE”); Florida Department of Financial Services

Criminal Investigations Division (“DFS”); FDHSMV, Division of FHP; Florida Fish &

Wildlife Conservation Commission (“FWC”) (DE 53-1 at 78), Florida Department of Lottery

Division of Security (“FDL”), the Florida National Guard (“FNG”), and Florida Department

of Environmental Protection Division of Law Enforcement (“FDEP”). C.M. v. Noem,

25-cv-23182 (S.D. Fla.), ECF 53-1 at 2, 17, 32, 47, 62, 78, 93, 108, 123 (collectively, the

“287(g) Agreements”). 9 Each of those agreements contains essentially identical

sections, titled “Ice Supervision” and “Liability and Responsibility”. Id. at 6–9, 19–20, 29,

36–39, 51–54, 67–70, 82–85, 97–100, 112–15, 127–30. Those sections include the

following language:

XI. ICE SUPERVISION

Immigration enforcement activities conducted by participating LEA personnel will


be supervised and directed by ICE. Participating LEA personnel are not authorized

9 “A district court may take judicial notice of public records within its files relating to the
particular case before it or other related cases.” Cash Inn of Dade, Inc. v. Metro. Dade
Cnty., 938 F.2d 1239, 1243 (11th Cir. 1991); see also Lockett v. Experian Info. Sols., Inc.,
2021 WL 4815898, at *1, *12 n.9 (N.D. Ga. June 30, 2021) (“The Court may take judicial
notice of public records, such as court filings on public dockets.”) (citing Universal
Express, Inc. v. S.E.C., 177 F. App’x 52, 53 (11th Cir. 2006))); Ohio Cas. Ins. Co. v. Beall,
No. 23-cv-00060, 2024 WL 3993851, at *5 (M.D. Ga. Aug. 29, 2024) (explaining contract
was not hearsay because its language was legally operative, not used to prove the truth
of another matter).

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to perform immigration officer functions except when working under the


supervision or direction of ICE.

For the purposes of this MOA, ICE officers will provide supervision of participating
LEA personnel only as to immigration enforcement functions. The LEA retains
supervision of all other aspects of the employment of and performance of duties
by participating LEA personnel.

In the absence of a written agreement to the contrary, the policies and procedures
to be utilized by the participating LEA personnel in exercising these authorities
shall be DHS and ICE policies and procedures, including the ICE Use of Force
Policy.

XIV. LIABILITY AND RESPONSIBILITY

Participating LEA personnel will be treated as Federal employees for purposes of


the Federal Tort Claims Act, 28 U.S.C. § 1346(b)(l), 2671-2680, and worker's
compensation claims, 5 U.S.C. § 8101 et seq., when performing a function on
behalf of ICE as authorized by this MOA. See 8 U.S.C. § 1357(g)(7); 28 U.S.C. §
2671. In addition, it is the understanding of the parties to this MOA that
participating LEA personnel performing a function on behalf of ICE
authorized by this MOA will be considered acting under color of federal
authority for purposes of determining liability and immunity from suit under
federal or state law. See 8 U.S.C. § 1357(g)(8).

These provisions are replete with express references to the statutory framework

that governs 287(g) agreements. Section 1357(g) allows states or localities to enter into

agreements with the Attorney General to deputize state or local officers to perform

functions of federal immigration officers when they are “determined by the Attorney

General to be qualified to perform” those functions after receiving training and certification

“regarding the enforcement of relevant Federal immigration laws.” § 1357(g)(1)–(2).

When acting under a 287(g) agreement, the deputized officer “shall be subject to the

direction and supervision of the Attorney General.” § 1357(g)(3). Further, any 287(g)

agreement must specify the deputized officer’s powers and duties, the duration of

delegated authority, and the federal agency official who is “required to supervise and

direct the individual[.]” § 1357(g)(5). Finally, the deputized officer is treated as a federal

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employee for purposes of compensation for injury and tort liability, and the officer “shall

be considered to be acting under color of Federal authority for purposes of determining

the liability, and immunity from suit[.]” § 1357(g)(7)–(8).

II. LEGAL STANDARDS

“Under Federal Rule of Civil Procedure 12(b)(3), a party may assert the defense

of improper venue.” Hemispherx Biopharma, Inc. v. MidSouth Capital, Inc., 669 F. Supp.

2d 1353, 1356 (S.D. Fla. 2009). When a defendant does, “the plaintiff bears the burden

of showing that the venue selected is proper.” Id. (citing Delong Equip. Co. v. Wash. Mills

Abrasive Co., 840 F.2d 843, 845 (11th Cir. 1988)); Wai v. Rainbow Holdings, 315 F. Supp.

2d 1261, 1268 (S.D. Fla. 2004) (“On a motion to dismiss based on improper venue, the

plaintiff has the burden of showing that venue in the forum is proper.”). A court “must

accept all allegations of the complaint as true, unless contradicted by the defendants’

evidence, and the court “may examine facts outside of the complaint” when factual

disputes arise. Id. (citations omitted). In reviewing the allegations and evidence, “the court

must draw all reasonable inferences and resolve all factual conflicts in favor of the

plaintiff.” Hemispherx, 669 F. Supp. 2d at 1356; see also Home Ins. Co. v. Thomas Indus.,

Inc., 896 F.2d 1352, 1355 (11th Cir. 1990) (when reviewing a Rule 12(b)(3) motion and

the parties’ “affidavits conflict, the court is inclined to give greater weight to the plaintiff’s

version of the jurisdictional facts and to construe such facts in the light most favorable to

the plaintiff.”). Finally, “venue must be proper as to each defendant and each claim.”

Doe 1 v. Congregation of the Sacred Heart of Jesus and Mary, No. 23-cv-5294, 2024 WL

4276174, at *2 (E.D.N.Y. Sept. 24, 2024); see also Williams v. Apple Inc., No. 23-3901,

2024 WL 2721630, at *2 (D.D.C. May 27, 2024) (“Where a case involves more than one

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cause of action, as is true here, ‘venue must be proper as to each claim[.]’”) (quoting Relf

v. Gasch, 511 F.2d 804, 807 n.12 (D.C. Cir. 1975)).

Even if venue is proper, a court may transfer a case to another district in which

venue lies “in the interest of justice.” 28 U.S.C. § 1404. The court should consider

“convenience of parties and witnesses, the ‘locus of operative facts,’ and other concerns

related to ‘trial efficiency[.]’” Bryant v. Sheriff, Saint Lucie Cnty., Fla., 2024 WL 4458382,

at *8 (11th Cir. Oct. 10, 2024) (quoting Manuel v. Convergys Corp., 430 F.3d 1132, 1135

n.1 (11th Cir. 2005)). Additionally, the court should weigh “various public-interest

considerations,” including “the administrative difficulties flowing from court congestion;

the local interest in having localized controversies decided at home; [and] the interest in

having the trial of a diversity case in a forum that is at home with the law.” Atl. Marine

Constr. Co. v. U.S. Dist. Ct. for the W. Dist. of Tex., 571 U.S. 49, 62 n.6 (2013) (internal

quotations omitted).

Rule 65 of the Federal Rules of Civil Procedure authorizes courts to grant a

preliminary injunction before final judgment in limited circumstances. The purpose of this

injunctive relief is to “preserve the status quo until the district court renders a meaningful

decision on the merits.” Schiavo ex rel. Schindler v. Schiavo, 403 F.3d 1223, 1231 (11th

Cir. 2005) (citation omitted). To merit a preliminary injunction, Plaintiffs must show:

(1) a substantial likelihood of success on the merits; (2) that the preliminary
injunction is necessary to prevent irreparable injury; (3) that the threatened
injury outweighs the harm the preliminary injunction would cause the other
litigant; and (4) that the preliminary injunction would not be averse to the
public interest.

Gissendaner v. Comm’r, Ga. Dep’t of Corr., 779 F.3d 1275, 1280 (11th Cir. 2015) (quoting

Wellons v. Comm’r, Ga. Dep’t of Corr., 754 F.3d 1260, 1263 (11th Cir. 2014)).

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Plaintiffs “bear[] the burden of persuasion to clearly establish all four of these

prerequisites.” Wreal, LLC v. Amazon.com, Inc., 840 F.3d 1244, 1247 (11th Cir. 2016)

(internal quotations omitted).

III. DISCUSSION

Defendants levy several objections to the propriety of the Court’s adjudication of

this matter. First, Defendants argue that 8 U.S.C. 1252(a) and (f) strip the Court of subject-

matter jurisdiction over any aspect of Plaintiffs’ NEPA claim that relates to federal

immigration detention activities. (DE 16 at 12; DE 21 at 5–6). Next, Defendants contest

whether the S.D. Fla. is the proper district for Plaintiffs’ claims against Defendant Guthrie

and the Federal Defendants. The Court will address these threshold issues before

discussing the merits of the Motion for Preliminary Injunction. 10

10 Although Defendants do not contest Plaintiffs’ standing, a “district court [is] not
empowered to reach any merits question” without first establishing its jurisdiction. See
Wiand v. ATC Brokers Ltd., 96 F.4th 1303, 1311 (11th Cir. 2024). So, the Court will briefly
address Plaintiffs’ standing to seek injunctive relief. Plaintiffs may establish standing
through either their own injury in fact or through associational standing by virtue of injuries
posed to or suffered by their members. City of S. Mia. v. Governor, 65 F.4th 631, 637
(11th Cir. 2023). “To establish associational standing, an organization must prove that its
members ‘would otherwise have standing to sue in their own right.’” Jacobson v. Fla.
Sec’y of State, 974 F.3d 1236, 1249 (11th Cir. 2020) (citations omitted). To this end,
Plaintiffs must “make specific allegations establishing that at least one identified member
had suffered or would suffer harm.” Summers v. Earth Island Inst., 555 U.S. 488, 498
(2009). Here, Plaintiffs allege (and have supported through evidence) that their members’
aesthetic, conservational, and recreational interests are adversely impacted by the
detention camp’s operations. From light pollution affecting members’ ability to observe
the night skies, to noise pollution impacting members’ ability to observe and interact with
wildlife, the Court finds that Plaintiffs have sufficiently alleged the injuries to their members
and, therefore, have established associational standing. See Ouachita Watch League v.
Jacobs, 463 F.3d 1163, 1170–73 (11th Cir. 2006) (plaintiff environmental groups “easily”
had associational standing when alleging that an agency “shirked its duties under NEPA
. . ., with the result that already vulnerable species and their habitats are now more
vulnerable,” and the group’s members use the area to recreate and engage with the
environment).

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A. Section 1252 does not strip the Court of subject-matter jurisdiction over this
NEPA claim.

1. Section 1252(a)(2)(B)(ii)

Section 1252(a)(2)(b)(ii) provides that “[n]o court shall have jurisdiction to review .

. . any other decision or action of the Attorney General or the Secretary of Homeland

Security the authority for which is specified under this subsection to be in the discretion

of the Attorney General or the Secretary of Homeland Security[.]” The statute “precludes

[the Court’s] review of discretionary decisions of the [Secretary] in only th[os]e specific

circumstances.” Zafar v. United States Attorney General, 461 F.3d 1357, 1360 (11th Cir.

2006) (emphasis in original); see also Bakran v. Sec’y United States Dep’t of Homeland

Sec., 894 F.3d 557, 562 (3d Cir. 2018) (“The INA’s jurisdiction-stripping language . . .

applies not to all decisions the [Secretary] is entitled to make, but to a narrower category

of decisions where Congress has taken the additional step to specify that the sole

authority for the action is in the [Secretary]’s decision.”) (citations and quotations omitted).

“The statute requires us to look at the particular decision being made and to ascertain

whether that decision is one that Congress has designated to be discretionary.”

Mejia Rodriguez v. United States Dep’t of Homeland Sec., 562 F.3d 1137, 1143 (11th Cir.

2009) (emphasis in original).

As the Eleventh Circuit has clarified, “[t]he phrase ‘specified under this subchapter’

refers to subchapter II of Chapter 12, 8 U.S.C. §§ 1151–1378.” Zafar, 461 F.3d at 1360.

“Thus, to avoid judicial review, the [government] must rely on an explicit, Congressionally-

defined, discretionary statutory power . . . articulated within sections 1151 through 1378[.]”

Belegradek v. Gonzales, 523 F. Supp. 2d 1364, 1367 (N.D. Ga. 2007) (emphasis in

original; citation and quotations omitted).

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Defendants rely on §§ 1226 and 1231, which address the Attorney General’s

authority to detain and remove noncitizens. However, Plaintiffs challenge neither the fact

nor the manner of detention or removal. Rather, Plaintiffs seek injunctive relief compelling

Defendants to comply with NEPA, which ensures “federal agencies . . . adequately assess

the environmental impacts of actions they undertake.” City of Oxford, Ga. v. F.A.A., 428

F.3d 1346, 1352 (11th Cir. 2005). This relief does not implicate, much less interfere with,

any decision “specified . . . to be in the discretion” of the Secretary or the Attorney

General. Because NEPA compliance is not a decision specified to be in the discretion of

the Attorney General or Secretary, § 1252(a)(2)(b)(ii) simply does not apply. Defendants

conflate two very distinct types of relief. An injunction requiring NEPA compliance would,

at most, prevent the use of the facility until a lawful NEPA review is done. This is not the

same thing as the Court dictating where or how the government must house immigration

detainees, which Congress has specified to be within the Secretary’s discretion. Plaintiffs

seek only the former type of relief. 11

Defendants’ cited cases—nearly all of which feature individual plaintiffs

challenging their own detentions or removals—confirm this distinction. Defendants

selectively quote language from these cases to suggest that § 1252(a)(2)(b)(ii) is broader

than it is. Plaintiffs do not dispute that the Attorney General and Secretary possess

authority over detention and removal as those cases recognize. But those decisions arose

in entirely different factual and legal contexts. None address NEPA, none involve the

11 In C.M. v. Noem, the court drew a similar conclusion when analyzing whether another
jurisdiction-stripping provision of the INA, § 1252(g), precluded review of claims by
detainees at the TNT site alleging the manner of their detentions unduly restricted their
access to counsel. 25-cv-23182 (S.D. Fla.), ECF 86 at 31–32; see also infra n.14.

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APA, and none interpret § 1252(a)(2)(B)(ii) in a way that would bar review of Plaintiffs’

claims. See, e.g., Sinclair v. Att’y Gen. of United States, 198 F. App’x 218, 222 (3d Cir.

2006) (reaffirming attorney general’s discretion under § 1231(g)(1) to determine place of

detention); Van Dinh v. Reno, 197 F.3d 427, 433 (10th Cir. 1999) (holding district court

lacked jurisdiction to enjoin attorney general’s discretionary transfer of aliens in a Bivens

class action); Comm. of Cent. Am. Refugees v. Immigr. & Naturalization Serv., 795 F.2d

1434, 1441 (9th Cir. 1986) (confirming that district court could not supervise attorney

general’s day-to-day discretion over detention placement); Jane v. Rodriguez, No. 20-

5922, 2020 WL 10140953, at *2 (D.N.J. May 22, 2020) (recognizing DHS’ discretion to

detain and set detention locations and transfers during COVID-19); Lway Mu v. Whitaker,

18-cv-06924 2019 WL 2373883, at *5 (W.D.N.Y. June 4, 2019) (declining to order DHS

to house petitioner in a specific facility, citing § 1231(g)(1)); Salazar v. Dubois, 17-cv-

2186, 2017 WL 4045304, at *1 (S.D.N.Y. Sept. 11, 2017) (same, absent constitutional

violation); Tercero v. Holder, No. 12-cv-0246, 2012 WL 8667571, at *3 (D.N.M. Oct. 4,

2012) (court lacked jurisdiction under § 1231(g)(1) over attorney general’s decision to

detain aliens in New Mexico pending proceedings in Texas); Kapiamba v. Gonzalez, No.

07-cv-335, 2007 WL 3346747, at *1 (W.D. Mich. Nov. 7, 2000) (finding that attorney

general’s decision to detain petitioner in a particular facility unreviewable under

§ 1231(g)(1)); Geo Grp., Inc. v. Newsom, 50 F.4th 745, 751 (9th Cir. 2022) (neither

discussing § 1252 nor the APA).

At best, Defendants’ cases establish that § 1252(a)(2)(b)(ii) bars judicial review

over individual detention and removal decisions, issues that are not present here. To

expand § 1252(a)(2)(B)(ii) to NEPA-based claims unspecified in the statute would expand

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its reach far beyond what Congress explicitly intended and legislated. Wiersum v. U.S.

Bank, N.A., 785 F.3d 483, 488 (11th Cir. 2015) (“As the Supreme Court has instructed

time again, courts presume Congress says in a statute what it means and means in a

statute what it says there.”) (citations and quotations omitted); Harris v. Garner, 216 F.3d

970, 976 (11th Cir. 2000) (“We will not do to the statutory language what Congress did

not do with it, because the role of the judicial branch is to apply statutory language, not to

rewrite it.”) (citations omitted).

2. Section 1252(f)(1)

Defendants also rely on § 1252(f)(1), which provides that “no court (other than the

Supreme Court) shall have jurisdiction or authority to enjoin or restrain the operation of

the provisions of part IV of this subchapter.” In other words, “[i]t prohibits federal courts

from granting classwide injunctive relief” against certain provisions of the INA, specifically

§§ 1221–1231. Reno v. American-Arab Anti-Discrimination Comm., 525 U.S. 471, 482

(1999); see also Garland v. Aleman Gonzalez, 596 U.S. 543, 550 (2022) (“§ 1252(f)(1)

generally prohibits lower courts from entering injunctions that order federal officials to take

or to refrain from taking actions to enforce, implement, or otherwise carry out the specified

statutory provisions.”). “Those provisions charge the Federal Government with the

implementation and enforcement of the immigration laws governing the inspection,

apprehension, examination, and removal of aliens.” Id. at 549–50.

Here, Plaintiffs’ requested relief does not fall within that bar. They do not seek to

halt, suspend, or alter the “operation” of any INA provision, nor do they challenge the

Defendants’ authority to implement or enforce immigration laws. An order compelling

NEPA compliance does not “enjoin or restrain” immigration operations; it simply requires

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Defendants to follow the environmental procedures that Congress imposed.

See generally Fla. Wildlife Fed’n v. United States Army Corps of Eng’rs, 401 F. Supp. 3d

1298, 1309 (S.D. Fla. 2005) (“NEPA establishes important action-forcing procedures to

ensure that the broad national commitment to protecting and promoting environmental

quality is infused into the actions of the federal government.”) (citations and quotations

omitted). Thus, to the extent Defendants argue otherwise based on detention decisions

under § 1226, that reliance is misplaced. Plaintiffs do not challenge any detention

decision, and § 1226 contains no language suggesting that NEPA compliance is shielded

from judicial review. “Congress legislated which sections are covered by § 1252(f)(1). The

Executive Branch does not get to propose additions.” Texas v. U.S. Dep’t of Homeland

Sec., 123 F.4th 186, 210 (5th Cir. 2024).

And if NEPA compliance has a “collateral effect” on immigration operations, that is

insufficient to trigger § 1252(f)(1). Id. at 209 (“[A] court may enjoin the unlawful operation

of a provision that is not specified in § 1252(f)(1) even if that injunction has some

collateral effect on the operation of a covered provision.”) (emphasis in original; citation

omitted); see also United Farm Workers v. Noem, -- F. Supp. 3d -- 2025 WL 1235525, at

*22 (E.D. Cal. Apr. 29, 2025) (“Courts maintain authority to enter injunctions addressing

other provisions of the INA even if there may be collateral effects upon a provision

covered by Section 1252(f)(1) . . . . Thus, even if an injunction could have a collateral

effect on the provisions identified by Defendants, the Court has the jurisdiction and the

authority to issue an injunction.”). Therefore, neither § 1252(a)(2)(B)(ii) nor § 1252(f)(1)

deprive the Court of jurisdiction to require Defendants’ compliance with NEPA.

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B. The Southern District of Florida is the appropriate venue for this suit.

Next, the State and Federal Defendants each argue that venue in the S.D. Fla. is

improper. 12 (DE 50 at 1; DE 60 at 1). Plaintiffs assert that the State waived its venue

challenge. Plaintiffs go on to argue that regardless, venue in the S.D. Fla. is proper as to

the Federal Defendants under § 1391(e)(1)(B) and § 1391(e)(1)(C), (DE 66 at 3), and is

proper as to the State under 28 U.S.C. § 1391(b)(2). (DE 61 at 8). The Court will address

each issue in turn.

1. Waiver

Plaintiffs initially argue that the State waived any venue challenge by litigating this

case on the merits for almost a month—including filing three merits briefs in opposition to

Plaintiffs’ requests for injunctive relief—before raising venue. (DE 16; DE 28; DE 35).

“A party waives [improper venue] by . . . failing to . . . include it in a responsible pleading

or in an amendment allowed by Rule 15(a)(1) as a matter of course.” Fed. R. Civ. P.

12(h)(1)(B)(ii). It may also be waived by other “conduct amounting to waiver as a matter

of law.” Manley v. Engram, 755 F.2d 1463, 1468 (11th Cir. 1985). “Because a motion to

dismiss for lack of venue . . . can be raised so easily, [courts] strictly apply the waiver

rule[.]” Manchester Knitted Fashions, Inc. v. Amalgamated Cotton Garment and Allied

Indus. Fund, 967 F.2d 688, 692 (1st Cir. 1992) (describing Rule 12 as requiring venue to

be raised in a defendant’s “first defensive move” and affirming a finding of waiver when

defendant had requested a hearing on plaintiff’s TRO motion, moved to appear pro hac

vice, and stipulated to expedited discovery and preliminary injunction hearing without

raising venue). An “opposition to a motion for preliminary injunction can be such a ‘first

12 Defendant Miami-Dade County has not challenged venue.

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responsive pleading’ or defensive move.” Bautista-Perez v. Holder, 681 F. Supp. 2d 1083,

1091 (N.D. Cal. 2009) (venue was waived when defendants filed two opposition motions

to plaintiff’s preliminary injunction request, including a declaration on the case’s merits).

Here, the State filed notices of appearance on the same day the Complaint was

filed. (DE 10; DE 11). Then, over the course of almost a month, the State filed three merits

briefs, including a declaration from FDEM Executive Director Guthrie. (DE 16; DE 28;

DE 35). The State also filed a motion for extension of time to respond to the Complaint in

order to align its deadline with the Federal Defendants’, all without mentioning venue.

(DE 39). In short, the State failed to raise venue in any of its first three defensive moves,

despite the opportunity. This is sufficient for a finding of waiver.

The State argues that the above cited cases are distinguishable because in those

cases preliminary injunction hearings were held without mention of waiver. (DE 65 at 4–

5). But none of those courts discuss that fact as relevant to their decisions. The State

then offers a series of inapposite cases where courts rejected waiver in completely

different scenarios to the one presented here. See Lithia Ramsey-T, LLC v. City Line Auto

Sales, LLC, No. 22-03592, 2023 WL 1883355, at *5 (D.N.J. Feb. 9, 2023) (personal

jurisdiction was not waived by complying with the court’s order to show cause and appear

for preliminary injunction hearing a week after complaint filed); Bartlett v. Bartlett, No. 16-

cv-6595, 2017 WL 106043, at *2 (N.D. Ill. Jan. 11, 2017) (filing motion to disqualify

opposing counsel, followed by 12(b)(3) motion before briefing closed on the

disqualification motion, did not waive venue defense); Pickett v. City of Houston,

No. H-08-2734, 2009 WL 1158842, at *2 (S.D. Tex. Apr. 29, 2009) (insufficient service

defense not waived by appearing at TRO hearing the morning after complaint filed and

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then moving to dismiss in its first filing); Johnson v. Masselli, No. 2:07-cv-214, 2008 WL

111057, at *3 (N.D. Ind. 2008) (rejecting waiver argument after defendant appeared at

TRO hearing, briefed the non-merits issue of necessity of a security bond for the TRO,

and then raised venue in their first merits pleadings—their answer and a motion to

dismiss); Friedberg v. Mut. Holdings, Ltd., No. 02-3193, 2005 WL 1213282, at *3 (E.D.

Pa. May 19, 2005) (defendants’ 12(b)(6) motion based on forum selection clause was not

waivable, but even if construed as a 12(b)(3) motion, no waiver when defendants

stipulated to TRO as a part of settlement negotiations and did not litigate on the merits).

In sum, for a month, Defendants disregarded an issue they now describe as

obviously correct, “an important issue,” and a “leading legal argument.” DE 89 at 13–14,

16 (arguing “it would be impossible to say” venue is valid under 1391(e)(1)(C) and any

arguments for venue under 1391(b)(2) are “easily dispatched”). Though Defendants’

waiver of venue is sufficient to foreclose venue as an issue, the Court addresses the

merits of all Defendants’ venue challenges, as both Parties requested.

2. Section 1391(e)(1)(C)

When “a defendant is an officer or employee of the United States or any agency

thereof” a civil action may “be brought in any judicial district in which . . . the plaintiff

resides if no real property is involved in the action.” § 1391(e)(1)(C). For venue purposes,

a plaintiff entity resides “only in the judicial district in which it maintains its principal place

of business[.]” § 1391(c)(2). Friends has its principal place of business in Stuart, FL, within

the S.D. Fla. (DE 61-1). The Federal Defendants do not dispute that this satisfies the first

requirement of § 1391(e)(1)(C). They argue that “Plaintiffs’ suit centers on the temporary

detention center, which is a collection of buildings and pavement on real property[,]” and

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“[t]hus, real property is a center component of this action[.]” (DE 60 at 4). But the Federal

Defendants’ far-reaching interpretation runs counter to decades of authority and the

purpose of § 1391(e), which is “to broaden the venue of civil actions” against federal

defendants. Schlanger v. Seamans, 401 U.S. 487, 490 n.4 (1971). As Judge Constance

Baker Motley sagely wrote:

Gravity being what it is, the vast bulk of human activities take place on the face of
the earth. Consequently, almost any dispute over public or private decisions will in
some way “involve real property,” taken literally. The touchstone for applying §
1391(e)(4) [(the prior, identical version of § 1391(e)(1)(C))] cannot sensibly be
whether real property is marginally affected by the case at issue. Rather, the action
must center directly on the real property, as with actions concerning the right, title
or interest in real property.

Nat. Res. Def. Council, Inc. v. Tenn. Val. Auth., 340 F. Supp. 400, 406 (S.D.N.Y. 1971)

(holding NEPA challenge to federally-owned utility’s practice of buying strip-mined coal

did not involve real property, despite the suit affecting “contracts with third-parties for

production of coal,” because the plaintiffs did “not seek an adjudication of the validity of

defendants’ title, leases, or mineral rights”), rev’d on other grounds, 459 F.2d 255 (2d Cir.

1972); see also Env. Defense Fund, Inc. v. Corps of Eng’rs of U.S. Army, 325 F. Supp.

728, 732 (E.D. Ark. 1971) (NEPA challenge to dam project met prior version of

§ 1391(e)(1)(C) because “[n]othing need[ed] to be done in [t]he action with respect to the

real estate under and adjacent to the [river] or upon which defendants contemplated[]

constructing the dam[, and] [t]he action d[id] not put in issue the title to, or possession of,

such lands, or any interest therein”).

Other courts nationwide have echoed Judge Motley’s statutory interpretation and

held that NEPA suits similar to Plaintiffs’ did not involve real property within the meaning

of § 1391(e)(1)(C). For example, in Earth Island Institute v. Quinn, the court held real

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property was not involved in a NEPA challenge to a federal restoration project to “conduct

salvage harvest of fire-killed trees, remove hazardous trees, and engage in tree planting

in areas affected by” recent fires. Earth Island Inst. v. Quinn, 56 F.Supp.3d 1110, 1112,

1116 (N.D. Cal. 2014). The court began its analysis by pointing out that, “by using the

legal term ‘real property[]’ . . . Congress seems to have indicated that it intended mainly

to cover disputes over legal interests in real property.” Id. at 1115–16. Indeed, the court

found, “[m]ost authority appears to have followed [Judge Motley’s] logic, generally finding

that actions ‘involve real property’ when they involve disputes over real property

interests—and perhaps not even then if the real property dispute is peripheral to the

central cause of action.” Id. at 1116 (first citing Wright & Miller, 14D Fed. Prac. & Proc.

Juris. § 3815 n.33 (4th ed.); and then Animal Legal Def. Fund v. U.S. Dep’t of Agric,

No. 12-cv-4407, 2013 WL 120185, at *2 (N.D. Cal. Jan. 8, 2013)). Even though the case

related to the use of “a specific area of land,” the court concluded this was insufficient to

bring the suit within the category of real property disputes triggering the exception, as it

was more centrally a suit about “personal property interests in timber and regulatory and

environmental policy issues.” Id. at 1116.

Next, in Western Watersheds Project v. Schneider, the court reaffirmed its

interpretation of “§ 1391(e)(1)(C) to mean that ‘real property’ is not ‘involved’ in a lawsuit

challenging an agency’s compliance with NEPA[.]” W. Watersheds Project v. Schneider,

2019 WL 4863483, at *2–3 (D. Id. Oct. 2, 2019) (citing WWP v. Salazar, No. 08-0516,

2009 WL 1299626 (D. Id. May 7, 2009)). Before the court was a challenge to Bureau of

Land Management (“BLM”) land-use plans in several western states, which Plaintiffs say

unlawfully “relax[ed] restrictions on oil and gas development in sage grouse habitat.” Id.

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at *1. Though plaintiff’s suit implicated third-party property rights as an ancillary matter,

plaintiffs were not disputing any party’s “right, title or interest in real property.” Id. at *3.

Instead, the court held, like the court in Earth Island v. Quinn, that plaintiffs were merely

“challeng[ing] an agency’s compliance with statutory mandates.” Id.

Here, Plaintiffs’ suit likewise centers on non-compliance with “statutory

mandates”—namely the Federal Defendants’ approval, construction, funding, and use of

the detention camp without conducting environmental analyses required by NEPA—not

who possesses any given property right to the TNT site. Therefore, even though the suit

involves real property in a colloquial sense, it does not fit within the meaning of

§ 1391(e)(1)(C).

Resisting this conclusion, Defendants point to a single case in which a court held

a suit under NEPA involved real property within § 1391(e)(1)(C). (DE 65 at 6 (citing Ctr.

for Biological Diversity v. U.S. Bureau of Land Mgmt., No. 08-05646, 2009 WL 1025606,

(N.D. Cal. Apr. 14, 2009)); DE 89 at 10, 51 (same)). But that single authority relied on

another case in which “the plaintiff alleged that [BLM] improperly rejected [its] oil and gas

lease applications.” Ctr. for Biological Diversity, 2009 WL 1025606, at *2 (citing Ferguson

v. Lieurance, 565 F. Supp. 1013, 1015 (D. Nev. 1983)). In that distinguishable context—

where “the obvious and undeniable purpose” of plaintiff’s action was to “acquire the real

property interest he seeks”—the Ferguson court reasoned that the action did involve real

property. Id. (quoting Ferguson, 565 F. Supp. at 1015). The Center for Biological Diversity

court may have been swayed by the sheer “range of real property issues” at play in the

challenged plan before it, “including access to public and private lands, rights of way and

easements across these lands, land withdrawals, and land exchanges and acquisitions.”

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Id. at *1. Consequently, several courts have since found the Center for Biological Diversity

court’s decision is confined to its facts and inapplicable in the NEPA context. See Earth

Island Inst. v. Nash, No. 19-cv-05792, 2019 WL 11023709, at *5 (N.D. Cal. Oct. 7, 2019)

(finding Center for Biological Diversity “is distinguishable” from the case at hand, where

“[p]laintiffs’ lawsuit certainly involves public land, [but] the claims focus on compliance

with NEPA and other environmental statutes”); W. Watersheds, 2019 WL 4863483, at *2

(finding Earth Island v. Quinn “more persuasive” than Center for Biological Diversity). This

Court does as well. 13

Therefore, the Court finds that this suit does not involve real property within the

meaning of § 1391(e)(1)(C), and the S.D. Fla. is a proper venue for this suit with regard

to the Federal Defendants under that subsection. The Court will now address whether

this district is a proper venue for the State and Federal Defendants as a locus of the

substantial part of the events or omissions giving rise to their claims. 14

13 Finally, Defendants argue that even accepting the stricter interpretation of the phrase,
this action does involve real property, because Count IV challenges Miami-Dade’s
acquiescence to the State’s use of the TNT site for the project. (DE 89 at 11, 49–52; DE
65 at 6 (“[E]ven under Plaintiffs’ test, real property interests are involved: Plaintiffs allege
Defendants wrongfully commandeered Miami-Dade’s property[.]”)). But again, Plaintiffs
are not seeking to vindicate any property right of Miami-Dade’s or their own—they object
to the site’s use as a detention camp in violation of certain procedural mandates. See (DE
1 ¶ 93 (claiming “[Miami-Dade’s] agreement or acquiescence in allowing the TNT [s]ite
for use as a mas[s] detention center is in violation of the County code and permitting
regimes”)).
14 Defendants filed a Notice of Supplemental Authority (DE 128) citing an order in C.M. v.
Noem, 25-cv-23182 (S.D. Fla.), ECF 86. The undersigned is aware that an esteemed
colleague recently issued this order in a separate litigation involving detainees housed at
the TNT facility. In that case, Plaintiffs raised First and Fifth Amendment constitutional
challenges to their conditions of confinement at the facility. As Defendants point out, the
order recognizes the “distinct procedural posture” of this case in its discussion of venue,
C.M., 25-cv-23182, ECF 86 at 33 n.14, although it should be noted that the Federal
Defendants claim that venue was improper pursuant to § 1391(e) was resoundingly
rejected in the C.M. order. Id. at 35–38. In any event, because, as acknowledged in that
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3. Sections 1391(b)(2) and (e)(1)(B)

“A civil action may [also] be brought in [any] judicial district in which a substantial

part of the events or omissions giving rise to the claim occurred, or a substantial part of

property that is the subject of the action is situated[.]” § 1391(b)(2); see also

§ 1391(e)(1)(B) (providing transactional venue for federal defendants on the same basis).

Venue is not confined to one district but may be proper “in two or more districts.” Jenkins

Brick Co. v. Bremer, 321 F.3d 1366, 1371 (11th Cir. 2003). “Only the events that directly

give rise to a claim are relevant[,]” and “of the places where the events have taken place,

only those locations hosting a ‘substantial part’ of the events are to be considered.” Id.

However, the Court “is not required to weigh the events that occurred in” a plaintiff’s

chosen district “against those that took place in” other districts and “choose which venue

is more proper; rather, even though ‘a substantial part of the events or omissions giving

rise to’ the claim” may have occurred in another district, “so long as the same can be said

as to” a plaintiff’s chosen district, “venue is proper” there. Goodwyn, Mills & Canood, Inc.

v. Black Swamp, Inc., 956 F. Supp. 2d 1323, 1326 (M.D. Ala. 2012); see also Morgan v.

N. MS Medical Ctr., Inc., 403 F. Supp. 2d 1115, 1123 (S.D. Ala. 2005) (“[A] plaintiff does

not have to select the venue with the most substantial nexus to the dispute, as long as

she chooses a venue where a substantial part of the events giving rise to the claim

occurred.”). 15 Further, ‘“[s]ubstantiality’ for venue purposes is more a qualitative than a

order, the legal and procedural postures of the two cases are entirely distinct, the
determination as to venue in C.M. does not control or subvert the analysis here.
15 Therefore, it is irrelevant to the §1391(b)(2) analysis that the Middle District of Florida,
where the majority of the detention camp is located, would also have been a proper venue
for Plaintiffs’ suit.

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quantitative inquiry, determined by assessing the overall nature of the plaintiff’s claims

and the nature of the specific events or omissions in the forum, and not by simply adding

up the number of contacts.” Russo v. Raimondo, No. 24-0186, 2024 WL 4571431, *5

(S.D. Ala. Oct. 24, 2024) (quoting Daniel v. Am. Bd. of Emergency Med., 428 F.3d 408,

432–33 (2d Cir. 2005)).

Plaintiffs argue that there are substantial events and omissions which occurred in

this district, making venue here a proper choice. Specifically, they point to: (1) TNT’s

partial location in 16 and ownership by Miami-Dade, (DE 61 at 9–10 (citing DE 12-3; DE

12-4; DE 12-5)); (2) the State and Federal Defendants’ failure to conduct environmental

assessments and provide opportunity for notice and comment regarding the

environmental impacts of the project, which would have taken place, in large part, in

Miami-Dade, (id. at 10–11); and (3) the current and feared impacts of the project on

Miami-Dade, its residents, threatened and endangered species within the county, and

Tribal sites and activities within Miami-Dade. (Id. at 13–15).

Defendants argue that a substantial part of the events or omissions here could not

have taken place in the S.D. Fla. because “all the detention facilities, all the buildings,

and all the paving at issue” are located in Collier County, in the Middle District of Florida

(“M.D. Fla.”), and “all relevant decision[-]making was made or is being made by officials

in Washington, DC; in Tallahassee, Florida; or onsite at the camp [.]” (DE 50 at 3–4); see

16Through dueling GIS maps and expert affidavits, the Parties aggressively dispute what
percentage of the property is within Miami-Dade, 2% or 28%. (DE 79; DE 80; DE 86). It
does appear that around 2% of the jetport is in Miami-Dade, while 28% of the total
developed and as yet undeveloped land is within Miami-Dade. The real disagreement is
over which areas within the property are relevant to Plaintiffs’ claims and to what degree.
But, as will be explained, the answer to that question impacts venue little, so the Court
will not wade into this contestation.

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also (DE 60 at 1). Defendants reject the notion that Miami-Dade’s ownership of the

property has any relevance to the analysis, because, since “FDEM took control of the

[s]ite . . . [Miami-Dade’s] activities . . . ‘do not have a close nexus with the cause of action.’”

(DE 50 at 4–5 (quoting Jenkins Brick, 321 F.3d at 1373)). Finally, Defendants insist that

only Defendants’ actions, not Plaintiff’s injuries, should be taken into account. (DE 65 at

9–11).

Much of the dispute stems from the Parties’ disagreement over how Jenkins

Brick—the Eleventh Circuit’s most detailed discussion of transactional venue—should be

understood. The decision in Jenkins Brick arose from a dispute involving a breach of a

non-compete agreement between an Alabama-based company and a Georgia-based

employee. 321 F.3d at 1368. The contract had been executed in Georgia, was intended

to be performed in Savannah, Georgia to protect the Alabama-based company’s

emerging Georgia activities, and was breached when the Georgie employee was hired

by a competitor in Savannah. Id. at 1372. Arguing that venue was nonetheless proper in

Alabama, the plaintiff-employee noted that sales and training meetings had been held in

Alabama, his salary and benefits came from Alabama, and the executed non-compete

agreement had been sent by the plaintiff back to Alabama. Id. at 1372–73. The Eleventh

Circuit discounted these connections to Alabama, finding “they did not have a close nexus

with the cause of action for breach of contract.” Id. at 1373. Because “all of the events

‘giving rise to’” the claims occurred in Georgia, the court held Alabama was an improper

forum. Id.

In its analysis, the Eleventh Circuit cited an Eighth Circuit case, Woodke v. Dahm,

70 F.3d 983 (8th Cir. 1995), in which a plaintiff who sold and designed semi-trailers

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claimed the defendant was passing off trailers under an identical trademark. Id. at 1371.

The plaintiff filed the case “in the state of his residency, Iowa, even though he had no

evidence of wrongdoing in that state.” Id. (citing Woodke 70 F.3d at 985). To support

venue in Iowa, the plaintiff argued Iowa is “the location of the ultimate effect of the passing

off.” Woodke, 70 F.3d at 985. He also proffered the fact that the trailers were

manufactured in Iowa, before having the trademarks altered elsewhere. Id. Assessing the

venue claim, the Woodke court found the initial manufacturing of the trailers was too

causally remote from “the kinds of events that give rise to a claim” to be factored into the

analysis. Id. Without any other relevant connections to Iowa, the court “reject[ed the

plaintiff’s] argument that venue lies in [Iowa] simply because that was where he was

residing when the passing off occurred.” Id. As the Woodke court explained,

While the present venue statute was certainly intended to expand the number of
venues available to a plaintiff, we are reluctant to impute to Congress an intent to
abandon altogether the protection of defendants as a relevant consideration in
venue matters. We think it far more likely that . . . Congress meant to require courts
to focus on relevant activities of the defendant, not the plaintiff.

Id.

Two guiding principles emerge from a more than cursory review of these cases

and their reasoning. First, while the Court must “focus” the inquiry on the acts and

omissions of the Defendant, these cases do not stand for the drastic proposition that the

Court must “ignore the place of injury altogether. They simply hold that the place of . . .

injury is not alone sufficient to create venue.” Am. Action Network, Inc. v. Cater Am., LLC,

No. 12-cv-1972, 2014 WL 12675253, at *2 (D.D.C. Feb. 12, 2014) (discussing Jenkins

Brick and Woodke, among other cases). Indeed, courts within the Eleventh Circuit have

regularly factored the location of injury into their analyses since Jenkins Brick was

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decided. See e.g., Exist Inc. v. Starr Indem. & Liab. Co., No. 23-cv-61511, 2023 WL

11969904 at *1, *3 (S.D. Fla. Nov. 2, 2023) (venue for suit challenging New York-based

insurer’s denial of claim was proper in Florida because “one of the losses giving rise to”

the claim occurred there); AutoNation, Inc. v. Hall, No. 19-cv-60291, 2019 WL 3712008,

at *8 (S.D. Fla. May 29, 2019) (stating that courts have “held that substantial events

occurred within a venue when harm or injury was suffered in that venue” (quoting Mobile

Diagnostic Imaging, Inc. v. Gormezano, No. 12-cv-60888, 2012 WL 3244664, at *2 (S.D.

Fla. Aug. 9, 2012))); United States v. Sec’y, Fla. Dep’t of Corr., No. 12-cv-22958, 2012

WL 6626818, at *2 (Dec. 19, 2012) (in suit challenging a Florida policy—decided in

Tallahassee—to deny kosher meals to prisoners, venue was proper in the Southern

District of Florida because “several prisoners in [the district] ha[d] been denied kosher

meals[, and] [t]hus, harm ha[d] occurred” there). 17

Second, for acts or omissions to “give rise to a claim,” they must “have a close

nexus to the wrong,” but they need not be wrongful acts (or omissions) themselves.

Jenkins Brick, 321 F.3d at 1373. In Jenkins Brick, the court found relevant the location

where the non-compete agreement was executed and intended to be performed. Id. As

long as the events are not too causally remote from the wrongful acts, these events are

17 The Jenkins Brick court acknowledged that harm may be relevant, when discussing
Congress’s rationale for amending the venue statute. The court noted that “[t]he old
language was problematic because it was oftentimes difficult to pinpoint the single district
in which a ‘claim arose.’” Jenkins Brick, 321 F.3d at 1371. The court gave the example of
“a toxic tort case in which the defendant’s factories in Colorado and Missouri pollute a
river, causing injury to Arkansas and Louisiana citizens who ingest the water.” Id. Under
the old statute allowing venue in only one district, a court would have been forced to “pick
a district in an arbitrary fashion,” since any of the locations provide a reasonable forum.
Id. The court’s identification of Arkansas and Louisiana—districts where the harm
occurred in the hypothetical—as examples of possible venues, indicates the court’s
understanding that harm is not wholly irrelevant to the analysis.

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relevant as “part of the ‘historical predicate’ of the claim.” MacDermid Printing Sols., LLC

v. Clear Stamp, Inc., 2013 WL 3176887, at *5 (N.D. Ind. June 21, 2013). For example, in

North MS Medical Center, the court held venue for an Emergency Medical Treatment and

Active Labor Act (“EMTALA”) claim was appropriate in Alabama, even though the

decedent was injured, hospitalized, treated, and eventually prematurely discharged in

Mississippi. 403 F. Supp. 2d at 1123. The court found that the hospital’s transportation of

the decedent in an ambulance back to his home in Alabama, where he later died of

untreated injuries, bore a “close nexus to the wrong,” even though “the alleged EMTALA

violation may have been satisfied the moment that [the defendant] wheeled [the decedent]

out the front door of the [h]ospital[.]” Id. In part, this was because the Alabama

occurrences would be part of “the proof at trial.” Id.

Turning back to this case, Plaintiffs’ Complaint alleges that Defendants’

construction and operation of the TNT site as an immigration detention camp violates

various federal, state, and county laws. The NEPA claim asserts that because the project

creates major environmental impacts and is subject to significant federal control,

Defendants were required to conduct certain environmental reviews beforehand and did

not. These claims implicate a broad range of Defendants’ conduct, and the scope of

relevant acts and omissions is equally broad, and includes: Defendants’ efforts to take

control of the TNT site and failure to obtain critical information from the site’s owner;

aspects of Defendants’ decision-making process regarding the facilities’ construction and

operations; and, critically, any of Defendants’ detainee transportation, detention, and

deportation activities related to the project. A substantial portion of these events took

place and are taking place in Miami-Dade, within the S.D. Fla.

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First, because Miami-Dade owns the TNT site, Director Guthrie began the project’s

execution by sending a notice of intent to purchase the TNT site and associated lands to

Miami-Dade Mayor Daniella Levine Cava. (DE 12-3). Defendant Miami-Dade, through

Mayor Levine Cava, responded by alerting Director Guthrie to Miami-Dade’s concerns

that Defendants must “understand the scope and scale of the proposed use of the site

and what will be developed, as the impacts [on] the Everglades ecosystem could be

devastating.” (DE 12-4 at 1). The State did not heed Miami-Dade’s warnings or ask for

any additional information from Miami-Dade to educate itself on scope, scale, and

impacts. This interaction was an initial act—or failure to act—in the joint, multi-step

decision-making process by Defendants, which is a necessary predicate to NEPA

compliance, and which gave rise to Plaintiffs’ NEPA claim. See Russo, 2024 WL

4571431, at *2–4 (in APA claim challenging a final rule promulgated by a federal agency,

an antecedent meeting and vote by a regional council to send a proposed rule to the

agency for approval “qualifies as an event that directly g[a]ve[] rise to the plaintiff’s claims”

even though it was not the actionable event). The State then responded to Miami-Dade’s

letter, notifying the County of the State’s intent to commandeer the property for use as a

detention camp. (DE 12-5).

Next, Defendants’ use of the site includes actions currently taking place in the S.D.

Fla. Most importantly, ICE’s Miami field office is responsible for coordinating and

supervising immigration enforcement functions conducted by deputized state law

enforcement agency officials. (DE 21-1 ¶ 5, 8 (declaration from ICE Interim Assistant

Director of Field Operations Thomas Giles confirming that the detention camp operates

under Florida agencies’ 287(g) agreements with ICE); DE 118-1 ¶ 9 (declaration from ICE

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Miami field office director stating that he oversees the relevant 287(g) agreements)). In a

different case raising constitutional challenges to detainee treatment on the TNT site, the

Federal Defendants filed a declaration by another ICE Miami field office official, Juan

Lopez Vega, in which he attested that his responsibilities “include overseeing

[Enforcement and Removal Operations], and detention facility operations within the Miami

[Area of Responsibility], including those at the South Florida Soft Sided Facility South

(SFSSFS). . . . which is also known as Alligator Alcatraz.” C.M. v. Noem, 25-cv-23182

(S.D. Fla.), ECF 50-1 ¶¶ 3–4. 18 Given that the sole use of the site is to detain those in

federal immigration custody, all activities on the site are supervised and directed by the

Miami ICE field office. See supra Section I.B. (quoting language from 287(g) agreements

stating, “[i]mmigration enforcement activities conducted by participating LEA personnel

will be supervised and directed by ICE.”). Additionally, the Federal Defendants bring

detainees from other Miami-Dade detention facilities to the TNT site. (DE 114 at 312–14).

In fact, in another case involving the detention camp, Federal Defendants recently filed a

notice that “the Executive Office for Immigration Review (EOIR) has designated Krome

North Service Processing Center (Krome) as the immigration court with administrative

responsibility over the Alligator Alcatraz detention facility.” C.M. v. Noem, 25-cv-23182

(S.D. Fla.), ECF 83. These core actions are alone sufficient to make venue proper in the

S.D. Fla. See Managed Care Sols., Inc. v. Cmty Health Sys., Inc., No. 10-cv-60170, 2011

WL 6024572 at *3–4 (S.D. Fla. Dec. 2, 2011) (in a breach of contract case, venue was

18See Cash Inn of Dade, 938 F.2d at 1243 (“A district court may take judicial notice of
public records within its files relating to the particular case before it or other related cases);
Lockett, 2021 WL 4815898, at *1, *12 n.9 (“The Court may take judicial notice of public
records, such as court filings on public dockets.”) (citing Universal Express, Inc., 177 F.
App’x at 53)).

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proper in the district where the parties performed the contract, even though the

defendant’s operations were not based there and that may not be “the venue with the

most substantial nexus to the dispute”) (internal quotations omitted).

However, Defendants’ allegedly wrongful omissions in this case also have close

ties to this district. When conducting a NEPA-triggering project in the Everglades area,

the federal government is required to coordinate with the Tribe, who has occupancy rights

in BCNP, conducts preservation and restoration activities in the area, and historically has

aided federal agencies with their environmental reviews. See (Tribe Ex. 21 at IV-7; Tribe

Ex. 22 at 209, 213, 216; Tribe Ex. 23 at 193; DE 129 at 73, 113 (testifying about the

Tribe’s occupancy rights in BCNP and the Everglades National Park)). Over the past

decade, the Army Corps of Engineers has faithfully followed these protocols during the

planning and execution of WERP. When notices of NEPA projects go to the Tribe, they

are sent to the Tribe’s administration building, located in Miami-Dade County. The Tribe’s

environmental divisions work out of that building in coordination with federal agencies to

create environmental impact statements (“EIS”). The same holds true for ICE’s

consultation of other relevant environmental groups. See (Pl. Ex. 154 (describing ICE’s

consultation with the Everglades National Park regarding its proposed expansion of the

ICE Krome SPC detention facility)). In this case, proof of the facts that no EIS was created

and the Tribe was never consulted comes from the testimony of Tribal members and

employees, whose employment is based in Miami-Dade. (DE 129 at 33–34, 45 (testifying

to Defendants’ failure to contact the Tribe before moving forward with the project, in

contrast to agencies’ usual protocol of consultation)). See Morgan, 403 F. Supp. 2d at

1123 (recognizing that the source of the proof at trial is an indicator of the location of

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substantial events and omissions giving rise to a claim).

Next, though not a dispositive consideration on its own, the locus of possible

environmental harms within this district is relevant, particularly where Plaintiffs must show

that the project “significantly affect[s] the quality of the human environment” in order to

prevail on their NEPA claim. S. Fla. Water Mgmt. Dist., 28 F.3d 1563, 1572 (11th Cir.

1994) (quoting § 4332(a)(C)). To begin with, increased runoff from the 800,000 square

feet of new paving and any wastewater from the site is likely to flow southeast, where just

a few miles from the site in Miami-Dade, eighty percent of Tribal members reside, Tribal

schools are located, and the Tribe’s administration building sits. (DE 113 at 24, 79; DE

129 at 16, 34, 45; Tribe Ex. 6 (tribal villages map)). This increased runoff creates risks of

carcinogens entering the Tribe’s water supply and of sediment and nutrients impacting

the plant and wildlife in the areas within Miami-Dade that the Tribe uses for hunting,

fishing, and gathering certain plants. (DE 113 at 79; DE 129 at 107–08, 118–19). This

change to the quantity and consistency of runoff also risks disrupting the $20 billion

WERP, which involves culverts and other infrastructure to manage the flow of water into

sensitive wetlands conservation areas in Miami-Dade and Broward Counties. (Pl. Ex. 34;

DE 129 at 22–30).

Other harms in Miami-Dade include light pollution from the camp’s intense

industrial lighting, which obstructs views of the night sky in Miami-Dade. See (DE 24-4

(depicting the light emanating from the site from 15 miles away in Miami-Dade); DE 114

at 309 (“it looks like we have a sports stadium in our backyard now”); Tribe Ex. 9 at 8–35

(measuring and documenting the increased sky brightness due to the project)). This light

pollution impacts the endangered bonneted bat’s critical habitat zone, which is located

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partially in Miami-Dade. (DE 129 at 132, 138–41). Further, since Defendants have altered

the site’s use, Tribal members have also been unable to access the main trails leading

into the BCNP lands within Miami-Dade for hunting and cultural and ceremonial activities,

as those trailheads are directly adjacent to the site. (Id. at 122–27, 133, 164, 175). These

harms and others giving rise to Plaintiffs’ NEPA claim, are relevant to the request for

injunctive relief, and support venue in this district.

Defendants argue that Friends of Earth v. Haaland, counsels against this result.

(DE 65 at 8 (discussing Friends of Earth v. Haaland, 2022 WL 185196, at *2-4 (D.D.C.

Jan. 20, 2022))). As that court noted, “[i]n cases brought under the APA, courts generally

focus on where the decision[-]making process occurred to determine where claims

arose.” Friends of Earth, 2022 WL 185196, at *3. But in that case, as in most NEPA cases,

the court was reviewing a single discrete agency decision—a Record of Decision made

in Washington, D.C. rescinding agency approval for new oil and natural gas leases in the

Gulf of Mexico—and its relationship to the Western District of Louisiana. Id. at *1. Also in

that case, as in most NEPA cases, the court was tasked with reviewing a significant record

of meetings, studies, and EIS’s to decide whether the decision-making process was

sufficient under NEPA. Id. at *3–4 (discussing the locations of the agency’s public

comment process, issuances of multiple EISs and a Record of Decision, and of dozens

of studies). Under those circumstances, because nearly all of the acts comprising the

NEPA process took place outside of the district in question, the court in Friends of Earth

concluded venue there was improper. Id. at *4.

But this case is not the usual NEPA case. Here, Plaintiffs do not challenge a new

rule or Record of Decision, which may be traceable to discrete moments of decision-

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making, but a project comprised of many “systematic and connected agency decisions[.]”

40 C.F.R. § 1508.18(3) (describing the adoption of programs as a category of major

federal action). Here, there is no record of a NEPA process taking place in other districts

because Defendants did not engage with a single step of the environmental review

process in any district. Consequently, the Court’s review under NEPA necessarily focuses

on where studies should have been done and where interested parties should have been

consulted but were not. 19

Defendants say the Court’s inquiry should be confined to Defendants’ decisions

about project construction, which they say took place in either Washington D.C.,

Tallahassee, Florida, or Collier County. This may be true (though the only supporting

evidence Defendants have provided is one conclusory statement from a FDEM employee

saying “[a]ll substantial decision-making about the detention facility has occurred at either

State offices in Tallahassee, Florida, or on-site in Collier County, Florida”). (DE 50-1 ¶ 4

(declaration of Ian Gadea-Guidicelli)). Yet other decisions relating to the setup of the

camp and its ongoing operations likely took place and continue to take place at the Miami

field office, which coordinates ICE’s oversight of the project’s immigration functions and

19 Defendants’ reliance on Rodriguez-Diaz v. Donald is similarly misplaced. (DE 65 at 6,


8, 9, 11 (citing Rodriguez-Diaz v. Donald, No. 14-cv-23055, 2015 WL 11217234 (S.D.
Fla. Apr. 1, 2015)). In that copyright infringement case, this Court applied in a
straightforward manner the rule from Jenkins Brick that the focus of a Court’s inquiry
under § 1391(b)(2) should be on a defendant’s actions with a close nexus to the wrong.
Rodriguez-Diaz, 2015 WL 11217234, at *2. And because the defendant DJ had
performed and sold records in the S.D. Fla. while using an allegedly infringing nickname,
venue was proper even though those actions comprised a small share of the DJ’s overall
sales and performances. Id. *1–2. Similarly, here, the Court has identified numerous
actions and omissions by Defendants with a close nexus to the alleged NEPA violation,
making venue proper even while many other aspects of the claim took place in other
districts.

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the facilities’ compliance with ICE standards. See infra pp. 35–36.

Finally, it is noteworthy that the Friends of Earth court did credit the location of the

impact of the agency’s decision as relevant, but said “impacts alone cannot create proper

venue. . . .[,] [p]articularly . . . where the impacts of any decision will be felt nationwide.”

Id. at 5. In this case, impacts are localized to Miami-Dade (and some other counties), and

these impacts are but one of the many relevant ties to the district. Therefore, the Court

finds that Plaintiffs’ claims against the State and Federal Defendants are properly in this

district.

4. Discretionary transfer under section 1404(a)

Federal Defendants alternatively ask the Court to transfer the case to the M.D.

Fla., where the majority of the TNT site is located. (DE 60 at 6). They rightly argue that

venue is also appropriate there under § 1391(e)(1). (Id. at 6–7). But Federal Defendants

are wrong in their assertions that the only important factor to weigh is “the local interest

in having localized controversies decided at home,” (id. at 7 n.4), and that this factor cuts

in favor of venue in M.D. Fla. (Id. at 8).

“[A] plaintiff’s choice of forum should be honored so long as venue is proper there,

unless substantial countervailing considerations militate to the contrary.” Bartronics, Inc.

v. Power-One, Inc., 510 F. Supp. 2d 634, 637 (S.D. Ala. 2007) (citing Robinson v.

Giarmarco & Bill, P.C., 74 F.3d 253, 260 (11th Cir. 1996) (“The plaintiff’s choice of forum

should not be disturbed unless it is clearly outweighed by other considerations.”)); see

also Managed Care Sols., 2011 WL 6024572 at *4 (“In the Eleventh Circuit, the plaintiff’s

choice of forum should not be disturbed unless it is clearly outweighed by other

considerations.”) (citation omitted). When considering transferring a case, the court

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should consider “convenience of parties and witnesses, the ‘locus of operative facts,’ and

other concerns related to ‘trial efficiency[.]’” Bryant, 2024 WL 4458382, at *8 (quoting

Convergys Corp., 430 F.3d at 1135 n.1). Additionally, the court should weigh “various

public-interest considerations,” including “the administrative difficulties flowing from court

congestion [and] the local interest in having localized controversies decided at home[.]”

Atl. Marine Constr. Co., 571 U.S. at 62 n.6 (2013) (internal quotations omitted).

Federal Defendants argue that NEPA cases “are resolved on an [a]dministrative

[r]ecord and therefore” convenience of parties and witnesses and other trial efficiency

considerations “do not play a significant role for purposes of the venue analysis.” (DE 60

at 7 n.4). That may be true in a typical NEPA case, where the Parties agree that a given

agency action was subject to NEPA, and the agency conducted some environmental

analysis under NEPA, so there is an administrative record for the Court’s review. But

again, this is not a typical NEPA case. Here, the Parties dispute whether the project is

even a federal action, and no Defendant conducted any environmental analysis prior to

building and operating the project; the merits of the NEPA claim will require fact-finding

as there is no administrative record to rely upon. Additionally, Plaintiffs request permanent

injunctive relief. As the case progress, Plaintiffs will need to marshal testimony from

witnesses and other discovery related to irreparable harm and equities, making

convenience of witnesses and access to evidence relevant considerations. And both of

these considerations—convenience and access—weigh in favor of keeping the case in

the S.D. Fla. For one, the S.D. Fla. provides the closest federal courthouse to the TNT

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site by 50 miles. 20 Moreover, eighty percent of Tribal members live in Miami-Dade and

their environmental resources division and tribal headquarters are based here. (DE 129

at 16, 34, 45; Tribe Ex. 6). Much of the evidence of environmental harms would also be

derived from Miami-Dade. Further, Miami-Dade County owns the TNT site; property

records, past site plans, ecological studies, and surveys are presumably located in

Miami-Dade.

Next, Defendants posit, without any support, that “the resolution of this case . . .

will have the greatest impact on the people and local governments of the Middle District[.]”

(DE 60 at 8). But this is far from clear. Miami-Dade and other adjacent counties in the

S.D. Fla. have similar, if not more compelling interests in the resolution of this case. Again,

it cannot be overstated that Miami-Dade owns the site and certainly has a strong interest

in how it is used. Some Miami-Dade residents live relatively close to the site and use the

surrounding areas for recreation. Tribal members have perhaps the most compelling

interest of any one demographic in how these claims are decided, and they are almost

entirely local to Miami-Dade. This is not to say that residents in Collier County may not

also have a stake in the proceedings, but this factor does not clearly cut in favor of venue

in the M.D. Fla.

Given that the S.D. Fla. is undoubtedly the more convenient forum and public-

20 According to a google maps search, the closest M.D. Fla. courthouse is 103 miles from
TNT, while the closest S.D. Fla. courthouse is 54 miles away. Driving Directions from the
Ft. Myers Division U.S. Courthouse & Federal Building to the TNT site and from the Wilkie
D. Ferguson Jr. U.S. Courthouse to the TNT site, Google Maps, http://maps.google.com.
See Borozny v. Inn, No. 19-cv-112-J-39PDB, 2019 WL 13272267, at *2 n.2 (M.D. Fla.
Feb 25, 2019) (“Courts routinely rely on and take judicial notice of Google Maps.” (citing
Perimeter v. Fedex Freight, Inc., No. 14-cv-104, 2016 WL 878496, at *2 (M.D. Ga. Mar.
7, 2016)).

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interest considerations are in equipoise, the Court will not disturb Plaintiffs’ choice of

venue in the S.D. Fla. Having established that the case will remain in this district, the

Court will proceed to analyze the merits of Plaintiffs’ request for a preliminary injunction.

C. Plaintiffs have met the criteria for issuance of a preliminary injunction.

As stated above, to succeed on a motion for preliminary injunction Plaintiffs must

show: “(1) a substantial likelihood of success on the merits; (2) that the preliminary

injunction is necessary to prevent irreparable injury; (3) that the threatened injury

outweighs the harm the preliminary injunction would cause the other litigant; and (4) that

the preliminary injunction would not be averse to the public interest.” Gissendaner, 779

F.3d at 1280 (citation omitted); see also Winter v. Nat. Res. Def. Council, Inc., 555 U.S.

7, 20 (2008) (“A plaintiff seeking a preliminary injunction [in a NEPA case] must establish

that he is likely to succeed on the merits, that he is likely to suffer irreparable harm in the

absence of preliminary relief, that the balance of equities tips in his favor, and that an

injunction is in the public interest.”) (citations omitted). The Court addresses each

requirement in turn.

1. Likelihood of success on the merits

Plaintiffs base their request for preliminary injunctive relief solely on their NEPA

claim, 21 encompassed within Counts I and II. 22 See supra n.4. NEPA does not contain a

21 Though the APA provides the cause of action for the relevant claim, for ease and
consistency, the Court will refer to the claim as a “NEPA claim,” since it hinges on whether
Defendants complied with NEPA.
22Plaintiffs originally requested injunctive relief against Miami-Dade but withdrew that
request. (DE 31 at 3 n.2). Therefore, the Court will not address Miami-Dade’s response.
(DE 12).

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“private right of action.” Ctr. for a Sustainable Coast v. U.S. Army Corps of Eng’rs, 100

F.4th 1349, 1355 n.2 (11th Cir. 2024). Instead, a plaintiff must sue under the APA

provision, “5 U.S.C. § 706(2)(A), which provides a cause of action to challenge final

agency action as (among other things) arbitrary and capricious.” Id. (citing Lexmark Int’l

Inc. v. Static Control Components, Inc., 572 U.S. 118, 1130 (2014) (explaining that the

APA “permits suit for violations of numerous statutes of varying character that do not

themselves include causes of action”)); Lowman v. Fed. Aviation Admin., 83 F.4th 1345,

1356 n.12 (11th Cir. 2023) (“NEPA challenges are brought under the [APA]”); see also

§ 706(2)(A) (requiring a “reviewing court [to] . . . hold unlawful and set aside agency

action, findings, and conclusions found to be . . . arbitrary, capricious, an abuse of

discretion, or otherwise not in accordance with law”).

NEPA was passed in recognition of “the profound impact of [hu]man[] activity on

the interrelations of all components of the natural environment[.]” 42 U.S.C. § 4331(a). It

is meant, among other goals, to “fulfill the responsibilities of each generation as trustee

of the environment[,]” and “preserve important historic, cultural, and natural aspects of

our national heritage[.]” § 4331(b)(1),(4). To those ends, NEPA requires that any “major

Federal action significantly affecting the quality of the human environment” be preceded

by and EIS, which studies foreseeable environmental impacts of the project, feasible

alternatives, and other factors impacting the balance between NEPA’s objectives and the

benefits of the project. § 4332(C). 23 The EIS process must be done in consultation with

23 The agency may prepare a less intensive “environmental assessment [(“EA”)]” for
“proposed agency action that does not have a reasonably foreseeable significant effect
on the quality of the human environment, or if the significance of such effect is unknown[.]”
§ 4336(b)(2). But even when an EA is appropriate, the decision to prepare an EA along
with the reasons for making this decision, must be articulated and published. Id. (providing
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any Federal agency with expertise relevant to any environmental impact involved in the

project, must seek comments from relevant State and local agencies, and must release

all these views and comments to the public. Id.

Tying together the statutory language, the NEPA claim requires Plaintiffs to show

that the construction and/or use of the detention camp involves (1) a final agency action,

and (2) a major Federal action, (3) without Defendants conducting a compliant EIS. See

Sierra Club v. Van Antwerp, 526 F.3d 1353, 1360 (11th Cir. 2008) (describing a court’s

“review of agency decisions” under APA and NEPA as “determin[ing] whether the action

to be taken constitutes a ‘major Federal action’—that is, an action ‘significantly affecting

the quality of the human environment’”— and reviewing for the presence and sufficiency

of an EIS under the APA’s arbitrary and capricious standard); see also Seven Cnty.

Infrastructure Coal. v. Eagle Cnty., 145 S. Ct. 1497, 1511 (2025) (describing a NEPA

claim as “argu[ing] that an agency action was arbitrary and capricious due to a deficiency

in an EIS”).

Defendants do not dispute that the camp and its operations have a sufficient

impact on the quality of the human environment to be considered “major,” justifying the

need for an EIS. Indeed, the Court reviewed plans and photos showing that operation of

the camp, to date, has involved paving approximately 800,000 square feet of land,

installation of industrial lighting impacting the night sky at least 20 to 30 miles away, and

enough residential infrastructure to house thousands of detainees and on-site staff. (Pl.

Exs. 22, 90–92 (Dr. McVoy report of new asphalting and TNT site plans); Tribe Ex. 9

that an EA “shall be a concise public document prepared by a Federal agency to set forth
the basis of such agency’s finding of no significant impact or determination that an
environmental impact statement is necessary”).

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(lighting report)). The camp employs as many as 1,000 staff members, many of whom

reside on site, and can house multiple thousands of detainees at any given time. (DE 113

at 28, 33–34). Additionally, the project involves the daily movement of human waste,

sewage, jet fuel, and significant vehicular traffic. (DE 38-5 (TDF Waste Management

Plan)). In fact, several environmental experts opined that they expect the project will have

considerable environmental impacts and would have required review by relevant federal

agencies, such as the U.S. Fish and Wildlife Service. (DE 113 at 49 (Dr. McVoy opining

that he would have expected an EIS to be done before the facility’s construction based

on his experience with NEPA); DE 114 at 240 (testimony from Kautz that he “would have

expected consultation with the U.S. Fish and Wildlife Service for impacts, potential

impacts on the Florida panther, as well as other listed species in the area.”); DE 129 at

130, 141 (testimony from Dr. Bozas that he expects there to be “effects on wildlife in the

area” based “on the current level of human activity at the TNT [s]ite” and that the project’s

increased lighting would have required review by Fish and Wildlife Service due to its

impact on the bonneted bat’s critical habitat zone)); see also Hanly v. Mitchell, 460 F.2d

640, 647 (2d Cir. 1972) (rejecting GSA’s claim that a 450-person jail, even though not

constructed in one of the country’s most protected environments, would have “no adverse

effects on the environment” and requiring it to undergo a proper NEPA evaluation).

Next, Defendants do not purport to have produced an EIS or conducted any

environmental assessment prior to constructing or commencing operations of the camp.

The fact of this failure to act is supported by testimony from Friends staff and Tribe

employees who are routinely notified of new projects in the area, so they can consult and

collaborate during the NEPA process. These witnesses unanimously attest to the fact that

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they were never notified of the project until news of the site became public. (Tribe Ex. 4

¶¶ 3–4 (declaration of Jason Daniel) (“I am responsible for receiving, and responding to

consultation requests submitted by federal and state agencies with respect to proposed

undertakings on or affecting historic properties or lands . . . which are culturally significant

to the Miccosukee people. . . . [T]o the best of my knowledge, I have not received a

request from any governmental agency . . . with respect to the project or undertaking

located at TNT [s]ite.”); DE 129 at 169 (Dr. Bozas stating that he “had no notice of the

facility” even though “it is generally part of the protocol when there is large State or

Federal programs that the Tribe is consulted with”); DE 129 at 33–34 (Tribal Water

Resources Director testifying that no governmental entity contacted her before

construction of the camp)). Avoiding a discussion of environmental impacts and notice,

the Defendants instead say that there has been no final federal agency action. The Court

takes up these two issues next.

a. Final Agency Action

Courts employ a two-part test to determine whether an agency action is “final” (and

therefore reviewable) under the APA. “First, the action must mark the consummation of

the agency’s decision[-]making process—it must not be of a merely tentative or

interlocutory nature. And second, the action must be one by which rights or obligations

have been determined, or from which legal consequences will flow.” Bennett v. Spear,

520 U.S. 154, 178 (1997) (internal quotations omitted). To be a final agency action, the

challenged action must be one that represents “the agency's definitive position, affects

the parties' legal rights or obligations, and immediately impacts the regulated parties' daily

operations.” RB Jai Alai, LLC v. Sec'y of Fla. Dep't of Transp., 47 F. Supp. 3d 1353, 1365

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(M.D. Fla. 2014); see also Nat’l Parks Conservation Ass’n v. Norton, 324 F.3d 1229, 1237

(11th Cir. 2003) (“The finality requirement is concerned with whether the initial

decisionmaker has arrived at a definitive position on the issue that inflicts an actual,

concrete injury.” (quoting Darby v. Cisneros, 509 U.S. 137, 144 (1993))); Franklin v.

Massachusetts, 505 U.S. 788, 797 (1992) (“The core question” in the finality

determination is whether the result of the agency’s decision[-]making process “will directly

affect the parties”); Am. Airlines, Inc. v. Herman, 176 F.3d 283, 288 (5th Cir. 1999)

(characterizing a non-final decision “as one that does not itself adversely affect [a plaintiff]

but only affects his rights adversely on the contingency of future administrative action”).

A decision with an impact that is “sufficiently direct and immediate” or with a “direct effect

on day-to-day business” qualifies as a final agency action. Franklin, 505 U.S. at 797

(alterations accepted and internal quotations omitted). The question before the Court is

whether the decision-making process, with respect to the detention camp, has advanced

to the point where it has had a sufficiently direct and immediate impact on the parties’

rights and therefore qualifies as a reviewable final agency action. As discussed below,

the Court concludes that it has.

As a threshold matter, the construction of the camp does not represent a

preliminary, procedural, or intermediate agency action or ruling. Although it apparently

lacks basic forethought in many ways, the facility has undergone substantial construction

and is currently operational. Indeed, as Plaintiffs allege, the State and Federal Defendants

coordinated to “construct a mass migrant detention and deportation center” and have

completed “the installation of housing units, construction of sanitation and food services

systems, industrial high-intensity lighting infrastructure, [and] diesel power generators.”

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(DE 1 at 17).

Prior to such construction, however, the Defendants were required, under NEPA,

to issue an EIS or conduct an EA. The Defendants chose not to do so. Under the APA,

the “failure to act” qualifies as an “agency action.” 5 U.S.C. § 551(13). The Defendants’

decision to refrain from issuing an EIS or conducting an EA, and then building a detention

camp, represents a determinative position on the matter and has adversely affected

Plaintiffs’ recreational, conservational, and aesthetic interests. Accordingly, the

Defendants’ decision to not issue an EIS or conduct an EA and then construct a detention

camp qualifies as a final agency action. See Hall v. Norton, 266 F.3d 969 (9th Cir. 2001)

(explaining that a “decision not to prepare an EIS is a final agency action”); Hill v. Boy,

144 F.3d 1446, 1450 (11th Cir. 1998) (“We review an agency’s decision not to prepare

an EIS under an ‘arbitrary and capricious’ standard of review.”); Catron Cnty. Bd. of

Comm'rs, New Mexico v. U.S. Fish & Wildlife Serv., 75 F.3d 1429, 1434 (10th Cir. 1996)

(alleged failure to comply with NEPA constitutes “final agency action”); Citizens for Clean

Energy v. U.S. Dep’t of the Interior, 384 F. Supp. 3d 1264, 1280–81 (D. Mont. 2019)

(“Federal Defendants further initiated a final agency action in their decision not to begin

the NEPA process.”); Dine Citizens Against Ruining Our Env’t v. Klein, 676 F. Supp. 2d

1198, 1214 (D. Colo. 2009) (explaining that an agency’s failure to prepare an

environmental assessment or “failure to otherwise comply with NEPA constitutes final

agency action”); San Juan Citizens’ Alliance v. Babbitt, 228 F.Supp.2d 1224, 1229

(D. Colo. 2002) (“A failure to prepare an EIS is a final agency action within the meaning

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of the APA.”). 24

The decision to construct and operate the detention camp, despite Defendants’

characterization of the camp as “temporary,” cannot be considered “merely tentative or

interlocutory” because the EIS or EA must precede any “major Federal actions

significantly affecting the quality of the human environment.” § 4332(C). Under the

statutory language, the Defendants cannot put the cart before the horse—they cannot

construct a facility and, then only in response to litigation such as the instant case, decide

to fulfill their legal obligations.

Next, the decision not to issue an EIS or conduct an EA has directly impacted the

rights of the Parties in this matter. As part of the EIS process, members of the public are

afforded opportunities to comment on the proposed environmental action. During the

Preliminary Injunction Hearing, Friends members and Tribe employees emphatically

stated that they would have provided such comments. Instead, they lost the right to do so

when Defendants refused to comply with their statutory obligations. See (DE 114 at

24 Under wholly disparate circumstances, some courts have stated that an “agency’s
decision not to prepare an EIS pursuant to the NEPA does not constitute a final agency
action.” Karst, 403 F. Supp. 2d at 81 n.3 (citing Pub. Citizen v. Office of U.S. Trade
Representatives, 970 F.2d 916, 918 (D.C. Cir. 1992)); see also Coalition for Underground
Expansion v. Mineta, 333 F.3d 193, 196 n.6 (D.C. Cir. 2003) (when challenged Metrolink
project had not yet been built or federally funded, Federal Transit Administration’s
decision not to conduct an environmental review did not “itself” constitute a final agency
action). These cases stand for the unremarkable proposition that an EIS alone is not a
final agency action where no “NEPA-triggering” major federal action has already occurred
and where administrative processes are ongoing. Citizens for Clean Energy, 384 F. Supp.
3d at 1280–81; see Public Citizen, 970 F.2d at 918 (Trade Representative’s failure to
conduct an EIS prior to engaging in trade negotiations was “not itself a final agency action”
in the absence of some “specific proposal for legislation or other action at least arguably
triggering the agency’s obligation to prepare an impact statement”) (internal quotation
omitted). By contrast, here, the detention camp’s construction and existence are
undisputed. In this context, the decision not to issue an EIS or conduct an EA is a final
agency action.

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55–56, 74). Besides this lost engagement opportunity, Plaintiffs’ relationship to the

Preserve—recreationally, or as conservationists—was also compromised by Defendants’

failure to issue an EIS or conduct an EA. For example, Plaintiffs’ expert, Randy Kautz

testified that the Florida panther has lost 2,000 acres of habitat as a result of the facility’s

construction and use of intense lights disturbing the habitats of these nocturnal creatures.

See (DE 114 at 232). Moreover, several witnesses testified about how the facility’s light

pollution has adversely affected their ability to observe the night sky. 25 (Id. at 34).

Accordingly, because the decision to construct the detention camp without issuing an EIS

or conducting an EA is a definitive position which has caused actual, concrete injury to

the Plaintiffs’ recreational and conservational interests, the Court finds that the action was

a final agency action.

No Defendant has endeavored to explain their decision to abstain from issuing an

EIS or conducting an EA. Instead, the Federal Defendants contend that “[n]either ICE nor

FEMA has implemented, directed, or controlled the construction work at the temporary

detention center.” (DE 21 at 3). This contention runs contrary to significant evidence

Plaintiffs have adduced that the facility’s construction was requested and fully funded by

the federal government. See infra Section III.C.1.b. Instead of addressing the failure to

issue an EIS or conduct an EA as a final agency action, Defendants attempt to reframe

the issue as one involving the detention camp’s ultimate funding. Defendants point to the

fact that the detention camp’s construction costs have been initially shouldered by Florida

25 Big Cypress National Preserve is recognized as an International Dark Sky Park and
offers visitors a unique opportunity to observe the Milky Way with their naked eyes. Big
Cypress International Dark Sky Place, FLORIDA NAT’L PARKS ASS’N,
https://perma.cc/6CWV-KBC6; see also (DE 114 at 34).

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to be submitted to the federal government for reimbursement. Accordingly, Defendants

argue that the “reimbursement decision . . . has not yet been made . . . [and] there cannot

be final agency action.” (DE 16 at 11). However, the Court does not, and is not, compelled

to focus on the funding decision, since the lack of an EIS and EA qualifies as final agency

action given Federal Defendants’ intimate involvement in, and control over, the detention

facility. See Sw. Williamson Cnty. Cmty. Ass’n, Inc. v. Slater, 243 F.3d 270, 279 (6th Cir.

2001) (“major federal actions need not be federally funded to invoke NEPA

requirements”).

b. Major Federal Action

Section 4336e(10) of NEPA defines “major federal action” as an action that “is

subject to substantial Federal control and responsibility.” It excludes non-federal action

“with no or minimal Federal funding” and “no or minimal Federal involvement where a

Federal agency cannot control the outcome of the project[.]” 42 U.S.C. § 4336e(10)(B)(i).

NEPA implementing regulations promulgated by the Council on Environment Quality

reiterate this definition in the affirmative, defining “Major Federal action [as] actions with

effects that may be major and which are potentially subject to Federal control and

responsibility.” 40 C.F.R. §1508.18. According to that regulation, federal actions “include

new and continuing activities, including projects and programs entirely or partly financed,

assisted, conducted, regulated, or approved by federal agencies[.]” § 1508.18(a).

Though “federal courts have not agreed on the amount of federal involvement

necessary to trigger the applicability of NEPA,” the Eleventh Circuit has had occasion to

analyze the issue. S. Fla. Water Mgmt. Dist., 28 F.3d at 1572. In that case, the Eleventh

Circuit analyzed whether the Federal government negotiating and administering a

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settlement agreement with Florida agencies responsible for insuring water quality in the

Everglades constituted major federal action. Id. at 1568, 1572 (“We must determine

whether . . . sufficient federal involvement exists in what is proposed in the Settlement

Agreement to constitute major federal action affecting the environment under NEPA.”).

The focus of the court’s analysis was “on the federal agencies’ control and responsibility

over material aspects of the specific project.” Id. at 1572. As the court explained, “[t]he

touchstone of major federal activity constitutes a federal agency’s authority to influence

nonfederal activity. ‘The federal agency must possess actual power to control the

nonfederal activity.’” Id. (quoting Sierra Club v. Hodel, 848 F.2d 1068, 1089 (10th Cir.

1988)); see also Goos v. I.C.C., 911 F.2d 1283, 1294 (8th Cir. 1990) (“In deciding whether

a federal agency exercises legal control, we must therefore consider whether some

federal action is a legal condition precedent to accomplishment of an entire nonfederal

project.”) (internal quotations omitted).

The Eleventh Circuit rejected the notion that the federal government’s power to

influence state action through “advocacy and negotiation” in litigation or “invok[ing]

dispute resolution mechanisms” in resulting settlements is “synonymous with a federal

agency’s authority to exercise control over a nonfederal project.” Id. at 1572–73. Instead,

what matters is whether the “state agencies retain their state law authority to make the

decisions concerning the project,” or, in other words, whether project or program in

question is implemented “pursuant to existing authority under Florida law[.]” Id. at 1573.

Defendants argue that the decision in S. Fla. Water Mgmt. Dist. advises against

finding major federal action here because the Federal Defendants have not yet

reimbursed the State for construction costs of the project and “Plaintiffs offer no evidence

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that the federal government is controlling the State’s construction on State land.” (DE 16

at 8). The Court will discuss the Defendants’ untenable claims regarding funding shortly.

See infra pp. 62–64. But more critically, Defendants ignore the reality that all immigration

enforcement activities associated with the camp—key drivers of the project’s

environmental impact—are entirely under federal control and pursuant to federal law. 26

Given that the camp acts exclusively as “an immigration detention facility,” (DE 105

at 18), any state officials working on site with detainees are doing so as deputized federal

immigration officers pursuant to 287(g) agreements. See (Pl. Ex. 144 at 5 (official post of

FDHSMV announcing 287(g) agreement and deputized FHP troopers “ICE Task Force

Officers”)). Those officers “are not authorized to perform immigration officer functions

except when working under the supervision and direction of ICE personnel.” Supra

Section I.B. Under the agreements, the actions of those officials “will be reviewed by the

ICE supervisory officers on an ongoing basis to ensure compliance with the requirements

of the immigration laws and procedures.” Id. This alone provides the requisite “federal

authority” over the project required under S. Fla. Water Mgmt. Dist.

26 To the extent Defendants seek to disaggregate the camp’s initial authorization and
construction from its ongoing operations and argue that the project is not federal if the
initial aspects of the project were state-run, NEPA’s pragmatic paradigm does not allow
for evasion of responsibility by parsing agency actions in this artificially atomistic way.
See e.g., Okeelanta Corp. v. U.S. Army Corps of Eng’rs, 132 F.4th 1320, (11th Cir. 2025)
(“An agency cannot evade its responsibilities under [NEPA] by artificially dividing a major
federal action into smaller components”) (internal quotations omitted); Chilkat v. Indian
Vill. of Klukwan v. Bureau of Land Mgmt., 825 F. App’x 425,429 (9th Cir. 2020)
(considering whether the exploration for and construction of a mine were “connected
actions” under NEPA and explaining that “[t]he critical question is whether each of two
projects would have taken place with or without the other”) (internal quotations omitted);
40 C.F.R. § 1508.18(3) (including “programs, such as a group of concerted actions to
implement a specific policy or plan” and “systematic and connected agency decisions”
among the types of major federal actions); § 1508.25 (defining “connected actions” and
requiring an EIS to discuss all connected actions).

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Additional facts support this conclusion. The camp operates using “ICE detention

standards.” (DE 21-1 ¶ 5); see also supra Section I.B. (documenting the requirement in

the operative 287(g) agreements that “the policies and procedures to be utilized by the

participating [state] personnel in exercising [immigration functions] shall be DHS and ICE

policies and procedures, including the ICE Use of Force Policy”); C.M. v. Noem,

25-cv-23182 (S.D. Fla.), ECF 57 at 272 (facility’s visitation policy stating it adheres to

ICE/ERO policy and operates in “in coordinate with ICE/ERO’s public affairs objectives).

In all of its 287(g) agreements with Florida agencies, ICE is also “responsible for the

installation and maintenance of the Information Technology (IT) infrastructure” and

requires that any agency with access to its systems follow its “Sensitive System Policy

and Rules of Behavior.” C.M. v. Noem, 25-cv-23182 (S.D. Fla.), ECF 53-1 at 5, 19, 50,

66, 81, 96, 111, 126. Consequently, the IT systems at the camp were installed by ICE

and are under federal control.

Further, ICE directs arresting law enforcement officers whether to take people into

custody on suspicion of immigration violations, (DE 129 at 187, 213); ICE “makes

decisions regarding transfer into [the facility] based on the posture of aliens’ immigration

proceedings,” C.M. v. Noem, 25-cv-23182 (S.D. Fla.), ECF 50-1 ¶ 6 (declaration of Juan

Lopez Vega); ICE “maintains custody” of the detainees, (Pl. Ex. 43 at 4 (SERT South

Florida Detention Facility Continuity of Operations Plan)); and it is federal officials who

physically transport detainees on and off site and conduct deportations using federally-

owned aircraft. See (DE 114 at 97 (testimony of Representative Eskamani that she

observed ICE vehicles dropping off detainees and that Director Guthrie confirmed this

was the standard protocol); id. at 312–14 (testimony of Jessica Namath that she observed

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ICE-contracted and Customs and Border Protection vehicles transporting between ICE

Krome SPC detention facility and the TNT site); DE 129 at 203, 214–15 (testimony of

Director Kerner that either federal agencies or contractors, not state agencies, transport

detainees to and from the TNT site, and federal agencies are conducting the deportations

using federally-owned airplanes); Pl. Ex. 59 (video of Customs and Border Protection

vans leaving the site); DE 24-2 (photo of DHS transport bus exiting the TNT site)).

That the deputized officers’ regular salaries are paid, required uniforms are bought,

and standard work hours are controlled by their state agency supervisors is not germane

to questions involving the TNT facility, because their status there as deputized officers

and their activities at the camp are controlled by ICE. See e.g., (DE 129 at 225–27

(testimony of Director Kerner); DE 118-1 ¶ 13 (describing the ways in which state agency

supervisors retain control for non-immigration aspects of deputized officers’ employment);

DE 118-1 ¶ 12 (“DHS provides credentials and guidance to local law enforcement

partners, and signs warrants for service as needed. DHS is required to provide direction

and supervision to local law enforcement officers when taking immigration enforcement

actions”)); C.M. v. Noem, 25-cv-23182 (S.D. Fla.), ECF 53-1 at 32–33 (“ICE officers will

provide direction and supervision for participating LEA personnel only as to the

immigration enforcement functions . . . . The LEA retains supervision of all other aspects

of the employment and performance of duties of participating LEA personnel.”); id. at 33

(providing that deputized officers “performing immigration-related duties pursuant to [the

287(g) agreement] will be assigned to various units, teams, or task forces designated by

ICE”); id. at 34 (requiring that all candidates to become deputized immigration officers

“must be approved by ICE”); id. at 35 (“The ICE supervisory officer . . . will evaluate the

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activities of all personnel certified under [a 287(g)].”).

Nationwide, Courts have recognized the legal and practical reality that ‘“ICE is in

complete control of detainees’ admission and release,’ while the [287(g) agreement]

‘places the [deputized state agents] in the role of a mere functionary.’” Masingene

v. Martin, 424 F. Supp. 3d 1298, 1302–03 (S.D. Fla. 2020) (quoting Calderon v. Sessions,

330 F. Supp. 3d 944, 952 (S.N.D.Y. 2018) (holding that the proper respondent to plaintiff’s

habeas petition is the Director of the Miami Field Office for ICE, who is responsible for

supervising federal immigrant detainees at a county detention center); see also Roman

v. Ashcroft, 340 F.3d 314, 320 (6th Cir. 2003); Khody v. Adduci, 697 F. Supp. 3d 774,

776 (E.D. Mich. 2010); Abner v. Sec’y of Dep’t of Homeland Sec., No. 06CV308, 2006

WL 1699607 at *3–4 (D. Conn. June 19, 2006); Zabadi v. Chertoff, No. 05-01796, 2005

WL 1514122, at *3 (N.D. Cal. June 17, 2005).

Defendants next claim that “the ultimate decision of who to detain at the” camp

“belongs to Florida,” and this precludes the project from being a federal action. (DE 21-1

¶ 6); DE 105 at 18 (positing that the State can “turn down anyone they want”)). For one,

to be a major federal action, a project need not be under complete control by federal

authorities in all respects, but merely “subject to substantial Federal control and

responsibility.” 42 U.S.C. § 4336e(10(B)(i). In fact, NEPA’s statutory language

contemplates projects that are led in large part by state entities but still trigger NEPA.

§ 4332 (G)(i) (allowing an EIS for certain “major Federal action[s]” to be prepared by a

state agency official if “the State agency or official has statewide jurisdiction and has the

responsibility for such action[.]”). Second, it is ICE that decides whether and where an

apprehended person will be detained for not having legal status. (DE 129 at 187). And if

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Florida began unilaterally rejecting large swaths of detainees, ICE is contractually

authorized to terminate the 287(g) agreement, which would lead to the shuttering of the

facility. See e.g., (DE 24-3 at 8–9 (287(g) agreement with FHP detailing the process for

ICE to terminate the agreement)). Even if Florida has some authority to reject a

prospective detainee, the fact that the federal government is responsible for selecting the

pool of prospective detainees and transporting them to the camp gives the federal

government significant control over who is housed there.

Defendants make a few additional arguments in their ill-considered attempt to

avoid the implications of the project’s federal activities, but each fails. First, Defendants

say the detention activities are not reviewable under the APA, § 702(a)(2), because DHS

secretary has discretion over detainees’ detention locations under 8 U.S.C. § 1231(g)(1).

(DE 16 at 12). But “[t]he question for §701(a)(2) purposes is whether there is ‘no law to

apply’ for the exercise of discretion being challenged.” Mass. Coal. for Immgr. Reform

v. U.S. Dep’t of Homeland Sec., 698 F. Supp. 3d 10, 37 (D.D.C. 2023). It “does not matter

whether the Government has discretion [over detention locations] or not. That question is

not before the Court” in a NEPA claim. Id. “What is before the Court is the decision not to

comply with NEPA” . . . . [a]nd on that, the Government has no discretion.” Id. (citing

Calvert Cliffs’ Coordinating Comm. v. U.S. Atomic Energy Comm’n, 449 F.2d 1109, 1114

(D.C. Cir. 1971)).

Next, Defendants argue the operations of the site fall into a NEPA exemption for

“bringing judicial or administrative civil or criminal enforcement actions[.]”

§ 4336e(10)(B)(v); see also (DE 105 at 21). The construction and operation of an

immigration detention facility is plainly not an enforcement action. Compare Mass. Coal.

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for Immgr. Reform v. U.S. Dep’t of Homeland Sec., 698 F. Supp. 3d 10, 20 (D.D.C. 2023)

(DHS’s “return to Mexico” immigration policy did not meet the NEPA “enforcement

action[]” exemption because it “goes well beyond the decision whether to enforce the law

in individual cases”), with Sierra Club v. Penfold, 857 F.2d 1037, 1313 (9th Cir. 1988)

(describing the agency’s right to “issue notices of noncompliance” and then “commence

enforcement proceedings” as coming within the enforcement action exemption), Civil

Action, Black’s Law Dictionary (10th ed. 2014) (a legal action “brought to enforce, redress,

or protect a private or civil right”). In recognition of this, in 2024 DHS performed a NEPA

evaluation before ICE’s expansion of the Krome detention facility. See (Pl. Ex. 154).

Finally, Defendants argue that “even if Florida is exercising federal power when it

decides where to detain, the APA turns on whether a federal agency is making the

decision not whether federal power is being exercised.” (DE 130 at 108). But Defendants’

premise fails. The evidence and legal framework governing deputized state law

enforcement agents’ immigration activities make clear that they are not only exercising

federal authority; their conduct is controlled by ICE. Consequently, the cases Defendants

cite have no bearing on the issue. Neither applies NEPA’s major federal action standard

nor discusses the state-federal relationship in immigration enforcement. See Lebron v.

Nat’l R.R. Passenger Corp., 513 U.S. 374, 397, 399 (1995) (holding Amtrak was “part of

the Government for purposes of the First Amendment”); Ritter v. Cecil Cnty. Off. of Hous.

and Comm. Dev., 33 F.3d 323, 327–28 (4th Cir. 1994) (interpretation of HUD regulation

by local housing board is reviewed under something like Skidmore deference, not the

APA’s arbitrary and capricious standard). Defendants attempt to seize on dicta, in which

Justice Scalia mentioned that an entity’s status as a federal agency can be defined by

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statute “for purposes of . . . whether it is subject to statutes that impose obligations or

confer powers upon Government entities, such as the [APA][.]“ Id. at 392. The closest

analog to this situation is § 1357(g)(7)–(8), where Congress specified that deputized

officers are “acting under color of Federal authority” when performing immigration

functions under a 278(g) agreement. But it is worth noting Justice Scalia’s pronouncement

in Lebron that “[i]t surely cannot be that government, state or federal, is able to evade the

most solemn obligations imposed in the Constitution by simply resorting to the corporate

form.” Lebron, 513 U.S. at 397.

The Federal Defendants’ control over operations at the camp should suffice to end

the analysis. However, evidence that the project was built at the Federal Defendants’

request and that federal funding has been committed to the State for the entire cost of

the project both support the conclusion that the Federal Defendants were “so intimately

involved in the discussion and planning” of the project that they “cannot now claim to have

no responsibility under NEPA[.]” Fund for Animals v. Clark, 27 F. Supp. 2d 8, 13 (D.D.C.

1998).

FDEM has acknowledged in its own written materials about the camp that it was

built after “DHS and [FEMA] request[ed] the State of Florida to supplement [its

immigration enforcement] capacity with a temporary detention facility.” (Pl. Ex. 43 at 4).

According to Representative Eskamani, Director Guthrie confirmed to her directly while

leading a tour of the camp that the project was the result of DHS’s written request.

(DE 114 at 96). These statements align with those of other high level public officials. ICE

Field Officer Director Garrett Rippa described the project as “state, local, and federal

partners working in unison, working as one” and promised that ICE “will continue to utilize

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th[e] facility.” (Pl. Ex. 61 at 0:25–1:01). DHS Secretary Noem explained that the project

was conceived when her general counsel “called up Florida’s Attorney General and

Governor” and requested they partner with DHS to build the detention center. (Pl. Ex. 63

at 0:05–0:32). Governor DeSantis said the same: the project was “requested by the

federal government.”27 Defendants argue that “a local plan does not become a major

federal action subject to NEPA regulations merely upon its approval by a federal agency.”

Rattlesnake, 509 F.3d at 1102. But Defendants fail to recognize that the situation in

Rattlesnake—“[t]he development and improvement of sewage treatment by a

municipality[—]is intrinsically a local matter under the responsibility of local government.”

Id. Here, it is beyond peradventure that the detention of undocumented persons and

decision as to their ongoing status is a uniquely federal question under the authority,

control, and supervision of the federal government.

Additionally, the Federal Defendants acknowledge that DHS “announced $600

million in federal funding for the Detention Support Grant Program” and the “only eligible

applicant . . . is the Florida Division of Emergency Management.” (DE 21-2 at 2)

(declaration of David Richardson) (emphasis added). Governor DeSantis confirmed that

the federal government will “fully fund” the facility. 28 And Secretary Noem posted on social

media that “Alligator Alcatraz will be funded largely by FEMA’s Shelter and Services

27 Fox 35 Orlando, ‘Alligator Alcatraz’: Florida Gov. DeSantis speaks on immigration


project, YOUTUBE (June 25, 2025), https://www.youtube.com/watch?v=gJfG7L9reHU.
See Santa Clara v. Trump, 250 F. Supp. 3d 497, 520 nn.4, 6–7 (N.D. Cal. 2017) (taking
notice of government officials’ statements during press conferences and interviews);
McLoughlin v. People’s United Bank, Inc., 586 F. Supp. 2d 70, 73 (D. Conn. 2008) (“The
Court may take judicial notice of the press releases of government agencies.”).
28 See supra n.27.

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Program.” (Pl. Ex. 144 ¶ 5). Furthermore, Assistant United States Attorneys made

representations in court that “[t]he Everglade[s] detention facility is being funded from a

continuing resolution for [fiscal year] 2025” of the Shelter and Services Program. See City

of Chicago v. DHS, 25-cv-05463 (N.D. Ill.), ECF 35 at 1–2.

Despite these clear and unequivocal public assertions of federal funding,

Defendants would have this Court find that a “reimbursement decision . . . has not yet

been made.” To reach this conclusion, however, would require the Court to disregard

these unambiguous statements from government representatives. Instead, taking all of

this context into consideration, it is apparent that the reimbursement funding decision has

in fact been made.

In Scottsdale Mall v. State of Indiana, the court had no difficulty in concluding the

highway project at issue was a major federal action when “the record indicate[d] federal

participation in the programming, location, design, preliminary engineering, and right of

way acquisition stages.” Scottsdale Mall v. Indiana, 549 F.2d 484, 489 (7th Cir. 1977). In

that case, the state claimed it would “refund” monies to the federal government that had

been committed to a segment of the project. Id. at 487. This, the state argued, gave it the

“prerogative to avoid compliance with NEPA.” Id. at 488. The court rejected this argument,

noting that “[s]uch accounting transfer of federal funds from one state project to another

under the guise of ‘refund’ have been viewed with disfavor[.]” Id. at 487 n.5. The court

found that where a state takes “substantial steps” to program a project for federal

assistance, it cannot “withdraw the program from federal funding consideration with a

resulting avoidance of complying with federal environmental statutes.” Id. at 488.

Similarly, the Defendants’ legal legerdemain regarding funding does not convince the

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Court. As the Tribe’s counsel argued: “If this is allowed, effectively, the [f]ederal

[g]overnment is laundering federal control or federal approval through a grant program

with only one applicant who’s eligible to receive the money. And if that’s allowed, then

[NEPA] is effectively useless[.]” (DE 130 at 131).

In light of the conclusion that the funding decision has been made, the Defendants’

cases are unpersuasive. In S. Fla. Water Mgmt. Dist., for example, the Eleventh Circuit

stated, “[t]he possibility that federal funding will be provided in the future is not sufficient

to federalize a state project, even when such funding is likely.” 28 F.3d at 1573. Thus,

Defendants argued at the Preliminary Injunction Hearing that the possibility of federal

funding for the detention camp precludes any finding of a reviewable, final federal agency

action. As the Court explained supra, however, the instant matter goes well beyond a

possibility. Unlike S. Fla. Water Mgmt. Dist., this case does not involve hypothetical

proposals that may never materialize. Instead, the evidence demonstrates that the

detention camp was constructed at the request of the federal government, with its

cooperation and counsel, and with specifically earmarked funds to reimburse any state

expenditures. The instant matter is not a situation where the State is applying to a general

program from which it may or may not receive reimbursement since, as the “only eligible

applicant,” the only “competition” they face in receiving the award is the State’s decision

on when it will be conferred. 29

29Defendants point the Court to cases involving grant programs that were generally open
to applicants and instances where the grantors had not made final decisions as to the
grants. See, e.g., Karst Envtl. Educ. & Prot., Inc. v. EPA, 403 F. Supp. 2d 74, 81 (D.D.C.
2005) (concluding that there was no final agency action where HUD had yet to consider
and approve a grant application for disbursal of appropriated funds because “the federal
money is but an expectancy that has not yet materialized”) (citation and internal quotation
marks omitted); Rattlesnake Coal. v. EPA, 509 F.3d 1095, 1103 (9th Cir. 2007)
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Defendants essentially tell the Court that the project is purely state action because

its employees (presumably) wear uniforms bearing state agency logos, and because the

federal government seems to have held back on sending its reimbursement until some

unidentified impediment (perhaps, this litigation) has abated. Meanwhile, the project was

requested by the federal government; built with a promise of full federal funding;

constructed in compliance with ICE standards; staffed by deputized ICE Task Force

Officers acting under color of federal authority and at the direction and supervision of ICE

officials; and exists for the sole purpose of detaining and deporting those subject to federal

immigration enforcement. Detainees are brought onto the site by federal agents and

deported from the site by federal agents on federally owned aircraft. In concluding the

camp is a major federal action, the Court will “adhere to the time-tested adage: if it walks

like a duck, quacks like a duck, and looks like a duck, then it’s a duck.” Van Antwerp, 526

F.3d at 1359.

Defendants make a final argument that, even if the Court finds Defendants have

violated NEPA, Plaintiffs should not receive the injunction they request because the Court

may “call for a remand without vacatur.” (DE 16 at 13–14). “[V]acatur is the ordinary APA

(explaining that “[t]he congressional appropriation to the EPA of funds for a particular
project does not constitute a final agency action by the EPA until the EPA has reviewed
a grant application and decided to disburse the funds.”) The Court finds that these cases
are factually inapposite. Karst, for instance, involved the award of a federal grant to a
state agency for the purpose of developing an industrial complex. In Karst, HUD
representatives explained that “it had taken some action with respect to the grant
application, but that it ha[d] not yet ‘obligated’ the money.” Karst, 403 F. Supp.2d at 81.
Accordingly, the federal funding was “but an expectancy that [had] not yet materialized.”
Id. Unlike the instant case, however, that grant program did not appear to be designed
specifically for the grantee but was a general program from which the grantee sought
disbursement. In the instant case, there is not just an “expectancy” of federal funding—
elected officials stated in unambiguous terms that the reimbursement would happen.

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remedy,” but the Court has discretion to remand an agency action without vacatur, leaving

the agency’s action in place while it completes a satisfactory NEPA evaluation. Black

Warrior Riverkeeper, Inc. v. U.S. Army Corps of Eng’rs, 781 F.3d 1271, 1290 (11th Cir.

2015) (alterations accepted) (quoting Antwerp, 526 F.3d at 1369). The considerations

courts weigh in this decision make clear why a vacatur without remand is inappropriate

here. Those are “the seriousness of the [agency] order’s deficiencies (and thus the extent

of doubt whether the agency chose correctly) and the disruptive consequences of an

interim change that may itself be changed.” Id.

Here, there weren’t “deficiencies” in the agency’s process. There was no process.

The Defendants consulted with no stakeholders or experts and did no evaluation of the

environmental risks and alternatives from which the Court may glean the likelihood that

the agency would choose the same course if it had done a NEPA-compliant evaluation.

It will come as no surprise that every case Defendants cite where the court remanded

without vacatur involved a meaningful evaluative process by the agency before their final

action. See e.g., Port Isabel v. Fed. Energy Regul. Comm’n, 130 F.4th 1034, 1037

(D.C. Cir. 2025) (“The Commission has already issued extensive final environmental

impact statements reflecting more than three years of review and public comment.”); Ctr.

for Biological Diversity v. U.S. Bureau of Land Mgmt., 141 F.4th 976, 1012, 1015 (9th Cir.

2025) (“BLM conducted a biological assessment of several listed species” and “only failed

to explain whether or why its adopted alternative complied with the full field development

standard at the ROD stage”); Cal. Cmtys. Against Toxics v. E.P.A., 688 F.3d 989,

993–94 (9th Cir. 2012) (EPA conducted a rulemaking process but had “flaws in its

reasoning”). Further, given Defendants’ commitments to protecting the Everglades,

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backed by tens of billions of dollars in funding for preservation and restoration projects

near the TNT site, the Court assumes a thorough review of environmental impacts and

alternatives could yield meaningful insights.

2. Irreparable injury

Even when Plaintiffs show they likely suffered the procedural harm of a NEPA

violation, they must also “demonstrate that irreparable injury is likely in the absence of an

injunction.” Winter, 555 U.S. at 22 (emphasis omitted). “An injury is irreparable only if it

cannot be undone through monetary remedies.” Ferrero v. Assoc. Materials Inc., 923 F.2d

1441, 1449 (11th Cir. 1991) (internal quotation omitted). And “[o]ngoing harm to the

environment[,]” including “when a project may significantly degrade some human

environmental factor,” “constitutes irreparable harm warranting an injunction.” Env. Prot.

Inf. Ctr. v. Carlson, 968 F.3d 985, 991 (9th Cir. 2020) (internal quotation omitted); see

also Amoco Prod. Co. v. Vill. of Gambell, 480 U.S. 531, 545 (1987) (“Environmental injury,

by its nature, can seldom be adequately remedied by money damages and is often

permanent or at least of long duration, i.e., irreparable.”).

Plaintiffs identify a myriad of risks from the project to the wetlands and endangered

species whose habitats include the area around the site. Plaintiffs also proved that runoff

and wastewater discharge from the camp risks polluting the water supply in the

Miccosukee Reserved Area—where eighty percent of Tribe members reside—just a few

miles downstream from the TNT site, and beyond. Finally, Plaintiffs show ongoing harms

to organizational and Tribal members’ enjoyment of the preserved areas due to the

project’s industrial lighting, noise, traffic, and security perimeter.

First, the creation of 800,000 square feet of new impervious surface will increase

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runoff into the surrounding, interconnected wetlands, which threatens the “extremely

sensitive . . .[,] low nutrient” hydrology of the Everglades. (DE 113 at 46–47). Dr. McVoy

testified that the Everglades and BCNP are peculiar and particularly sensitive in at least

two ways: first they are interconnected wetlands that require “sheet flow,” meaning water

flows with little obstruction across large areas, impacting the entire ecosystem; 30 and

second, they are “naturally very low nutrient level, and when you introduce nutrients,

particularly . . . phosphorous, nitrogen, potassium, it disturbs the ecosystem drastically.”

(Id.). According to Dr. McVoy, the legal requirement for water introduced into the wetlands

is quite low and that requirement is the result of “a lot of science that clearly demonstrated

the link that anything higher than that disturbs the system.” (Id. at 47). With the newly

paved surface, “anything that falls in th[ose] 20 acres will go directly into the wetlands.”

(Id. at 49). The possible contaminants in any runoff come “from a number of different

sources” on the site. (DE 129 at 41). It could come from the paved material itself, from

petroleum products on-site to fuel generators, from the vehicles and from thousands of

detainees and staff doing laundry, cooking, cleaning, using restrooms. (Id. at 41–42).

Beyond contaminants entering the water, “increased sediment . . . in the wetlands

oftentimes leads to increased turbidity . . . [and] decrease[d] dissolved oxygen,” which

can kill aquatic animals. (DE 129 at 42, 136); see also (DE 5-2 ¶ 18 (declaring that the

endangered Everglade snail kite relies on the “preserve’s aquatic ecosystem for survival”

and would be harmed by the project’s wastewater and runoff)).

Defendants argue that they have mitigated these risks by installing silt fencing.

30Plaintiffs introduced aerial footage of the natural wetlands surrounding the TNT site,
which followed the unbreaking sheen of contiguous water below the thin layer of swamp
vegetation, until the natural landscape was interrupted by TNT site. (Pl. Ex. 145).

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But multiple Plaintiffs’ experts provided unrebutted testimony that that silt fencing “is not

suitable in the long-term to be able to reduce any storm water runoff that could potentially

affect neighboring areas.” (DE 113 at 108). Especially in a large storm event, those

“temporary structures . . . could be easily . . . toppled and allow for sediment and storm

water to pass through.” (Id. at 118). Given Defendants’ complete lack of other stormwater

management features, silt fencing is not “an appropriate substitute for a soil geologist

designed storm water management system.” (Id.). Defendants also quibble with geologist

Dillon Reio’s calculation that the 800,000 square feet of new pavement would increase

runoff by almost “10 million gallons over a 72-hour, 100-year storm event[,]” attacking his

assumptions regarding how permeable the now-paved area had originally been, given

that some of that area was compacted when the jetport was originally built. (Id. at 80,

95–104). But even if Defendants are correct that the true increase in peak discharge could

be some unknown lesser amount, there is sufficient likelihood that the increased runoff

will harm the surrounding wetlands given the ecosystem’s interconnectedness and

sensitivity to warrant preliminary injunctive relief. Plaintiffs are not required to prove harms

of a particular probability or quantity, as “[p]art of the harm NEPA attempts to prevent in

requiring an EIS is that, without one, there may be little if any information about

prospective environmental harms and potential mitigating measures.” Winter, 555 U.S. at

23; see also Fla. Wildlife Fed’n v. U.S. Army Corps of Eng’rs, 404 F. Supp. 2d 1352, 1362

(S.D. Fla. 2005) (“A fundamental purpose of NEPA is to ensure that important effects will

not be overlooked or underestimated only to be discovered after resources have been

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committed or the die otherwise cast.”) (internal quotations omitted). 31 To make matters

worse, it appears Defendants have imminent plans to expand this paving significantly, as

they have already contracted to purchase 1.8 million square feet of asphalt. (Pl. Ex. 126

at 1 (purchase order for 200,000 square yards of asphalt)). 32

These risks impact the wetlands ecosystem, but they also present direct risks to

communities who depend on water from the Everglades for their water supply, including

the Tribe. As the Court has discussed, the overwhelming majority of Tribal life is enjoyed

and experienced just a few miles southeast of the TNT site. Based on the general

direction of water flow in the area around the project, water from TNT site is likely to flow

into the Tribe’s water supply, risking contaminating the water of Tribal residences,

schools, the Tribe’s government building, and businesses. Water also “flows from the

jetport into Monroe County” and “Dade County” due to the connective features of the L28

Canal that were built under WERP. (DE 129 at 24–25).

Next, the project creates irreparable harm in the form of habitat loss and increased

mortality to endangered species in the area. For example, Dr. Bozas testified that the

31 Defendants repeat this same argument with regard to nearly every harm Plaintiffs
identify. Defendants cross-examined Plaintiffs’ witnesses on the fact that few had data
showing baselines from before the site was constructed or data showing developments
since the project came online. Of course, because Defendants did not consult with
Plaintiffs or any other research group before constructing the project in eight days, there
was no opportunity to collect baseline data. And since Defendants have refused access
to nearly everyone seeking to visit the site, Plaintiffs’ experts have been unable to take
any samples or collect other data useful for empirical study. Further, the harms Plaintiffs
fear take time to accrue; and time and access for study is precisely what NEPA
procedures are meant to afford. See Fund for Animals v. Rice, 85 F.3d 535, 546 (11th
Cir. 1996) (“NEPA ‘works’ by requiring that the environmental consequences of an action
be studied before the proposed action is taken.”).
32 This and other evidence of Defendants’ expansion plans undermines Defendants’
argument that “Plaintiffs point to harm that is too late to prevent[.]” (DE 16 at 16).

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endangered eastern black rail has been detected in the area around the site and that the

TNT site is within the bonneted bat’s critical habitat zone. 33 (DE 129 at 142). Both of these

species are nocturnal, and the increased lighting from the project “will push” those

animals “out of the area. They do not use illuminated habitats.” (Id. at 132). Moreover, the

increased noise from additional construction and ongoing human activity on the site also

disrupts the bats’ “ability to [echolocate] prey.” (Id.)

Additionally, the lighting from the site immediately reduces the panther habitat by

2,000 acres, as studies suggest panthers are unlikely to come within 500 meters of a

large artificial light source. (DE 114 at 232). Defendants dismiss this habitat loss as merely

a minuscule share of the total few 3.11 million acres of significant panther habitat. (Id. at

262). But 2,000 acres is “hardly a de minimus injury” from one project to those hoping to

see panthers in the area and to preserve and maintain panthers’ habitats. Alliance for the

Wild Rockeies v. Cottrell, 632 F.3d 1127, 1135 (9th Cir. 2011) (loss of 1,652 acres of

forest caused sufficient irreparable harm to plaintiffs’ ability to enjoy the area undisturbed

to warrant injunction, despite representing only 6% of the relevant area); see (DE 114 at

158–60 (Amber Crooks testimony about her efforts to track panthers in the area); id. at

229–34 (Kautz testifying that a 2,000-acre loss may well reduce the panther population

due to, among other impacts, inter-species aggression)). Further, vehicular strikes are

the number one cause of panther mortality, and stretches of the highway close to the TNT

site are known “hot spots” for panther strikes. (DE 114 at 161, 194; DE 38-6 at 24–25

(showing that 20 to 35 Florida panthers die per year from roadkills and documenting the

33Critical habit zones are a “formal designation that the U.S. Fish and Wildlife makes for
some listed species.” (DE 114 at 243).

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mortality records near the site)). 34

The ongoing light pollution from the project also harms Plaintiff members’

enjoyment of the night sky—for which BCNP has received certification as an International

Dark Sky Park. See supra n.25; (DE 113 at 20–21 (describing what is required to maintain

a dark sky designation); DE 114 at 34 (discussing the impact the site will have on area’s

dark sky designation); id. at 303 (describing the “pitch black darkness with beautiful [views

of the] Milky Way and sky where you can see all of the stars”)). As the Court has

discussed, Plaintiffs provide empirical data proving that the project meaningfully

increases the brightness for miles around the site. See e.g., (Tribe Ex. 9 at 8–35). This

data factors in the prior existence of a few small, lit buildings on the jetport site.

Finally, the Tribe provided testimony that Tribal members have lost access to the

off-road trails leading into the BCNP lands for hunting and other activities due to the

camp’s operations. (DE 129 at 122–27, 133 164, 175). Furthermore, Tribal members had

previously harvested plants from the areas directly adjacent to the TNT site for ceremonial

and medicinal purposes, but the camp’s new human activity erodes the cultural

34 Defendants also maintain that telemetry data acquired by tracking a sample of


panthers’ movements over time, suggest that panthers have not been seen within a few
miles of the site for many years. (Pl. Ex. 25 at 19, 26). In Defendants’ view, this proves
that no panther-related harm will be caused by the project, as the area was not in use by
the panther population even before the project’s construction. Defendants distort the
significance of this data. Only some unknown fraction of the panther population was
affixed with tracking collars, as researchers’ goal was “not to monitor every place within
the range of panthers that panthers occur.” (DE 114 at 279). Collection of data from the
radio collars also ceased in 2014 due to budget cuts. (Id. at 275). And several of Plaintiffs’
witnesses had either seen panthers in the area or knew others who had. See e.g., (DE
129 at 143 (testifying to having captured recent panther presence in the area of the site
on trail cameras)). The fact that the data shows that panthers were detected within a four-
mile radius of the TNT site 1,164 times in the few decades between 1982 and 2014 proves
that the area was a functioning panther habitat despite airport activity at the TNT site. (Pl.
Ex. 25 at 19).

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significance of the plant life. (Id. at 120, 134, 155–56); see also Oglala Sioux Tribe v.

Nuclear Regul. Comm’n, 896 F.3d 520, 524, 536 (D.C. Cir. 2018) (reversing agency

finding of no irreparable harm where tribe challenged uranium mining project that risked

destruction of cultural, historical, and religious sites in the project area); Hualapai Indian

Tribe v. Haaland, 755 F. Supp. 3d 1165, 1197 (D. Az. 2024) (holding that plaintiff Indian

tribe met the irreparable harm requirement “because it has shown that damage to . . . a

culturally significant site for the [t]ribe[] is likely”). 35

Defendants’ rejoinder to all this is that the TNT site was already in use as a training

airport, and Plaintiffs have not proven that the detention camp creates harms above and

beyond those already wrought by the site’s prior use. Specifically, Defendants point to

flight logs showing that over the seven months starting in January 2025, there were about

28,000 “flight operations” from the site, or 137 per day. (DE 116-1 ¶ 11). In other words,

over that period there were approximately 14,000 takeoffs and landings each. (Id. at 34).

35 The Hualapai case is particularly instructive. The Hualapai tribe filed for a preliminary
injunction to enjoin drilling for lithium on property adjacent to a sacred hot spring,
“Ha’Kamwe’.” Hualapai, 755 F. Supp. 3d at 1173. The tribe alleged that BLM failed to
consider any reasonable alternative before approving the project; prematurely terminated
its consultation process with the tribe; and failed to take a hard look at impacts in its EA
by not analyzing geologic faults that could pollute the aquifers feeding Ha’Kamwe’. Id. at
1186. The court decided an injunction was appropriate, finding that under NEPA
“[c]onsideration of reasonable alternatives is necessary to ensure that the agency has
before it and takes into account all possible approaches to, and potential environmental
impacts of, a particular project.” Id. at 1192 (internal quotation omitted). As the court
explained, the defendants had failed to consider alternatives, such as approving fewer
drilling sites located farther away from Ha’Kamwe’. Id. at 1193. Finally, the court found
the tribe was likely to suffer irreparable harm if the drilling project went forward “through
its impact to Ha’Kamwe’s character.” Id. at 1198–99 (citing Winter, 555 U.S. at 22). The
decision in Hualapai supports the entry of a preliminary injunction in this case where no
reasonable alternatives were considered, no environmental assessment of any kind was
conducted and no consideration of any type of impact was undertaken. In sum, not only
did Defendants fail to take a “hard look” as required by NEPA, they failed to take any look.

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Almost 80% of these were by single engine aircraft. (Id.) Defendants say these aircrafts

surely would have been sufficiently noisy to scare off animals and impede any recreation

in the nearby areas. (DE 16 at 5–6). Plaintiffs present their own flight data from

2020-2024, documenting around 11,600 flights total, or about 6 per day (not double-

counting takeoffs and landings). (Pl. Ex. 33).

The Court need not parse which Party’s interpretation of the flight data presents a

more accurate picture of the site’s prior activity, because even Defendants’ version of the

data does not support the notion that the airport use caused similar harms as those posed

by the detention camp. For one, several witnesses testified under oath that they worked

or recreated in that area for years leading up to the camp’s construction and noticed little

or no noise from the airport. E.g., (DE 114 at 176–77; DE 129 at 32, 87, 130). Defendants

discount these individual experiences as less accurate than flight data, but this

misconstrues the import of these eyewitnesses’ testimony. An irreparable harm inquiry is

focused on how an event, in this case noise, impacts the effected individuals. Beyond

this, many harms separate from noise undisputably were created or are exacerbated by

the detention camp. The light pollution is far worse now than before the camp’s

construction. (Tribe Ex. 9). The addition of 800,000 square feet of asphalt paving (with

another 1 million planned) increases harmful water runoff relative to the areas previously

paved. (Pl. Exs. 22, 90–92, 126 at 1). The frenetic human activity, including vehicular

traffic and wastewater from thousands of people daily, was essentially absent prior to the

detention camp’s construction. See (DE 113 at 27 (Dr. McVoy recounting a statement by

the TNT site’s Incident Commander Dr. Frank E. Lumm that prior to the detention center

the airport had “four employees, most of whom were involved in mowing the grass”)). In

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short, Plaintiffs have provided substantial evidence to prove that irreparable harm from

the detention camp is ongoing and likely to worsen absent injunctive relief. The Court will

next consider the balance between these harms and the Government’s interest in

continuing detention operations at this site before conducting the required NEPA analysis.

3. Balance of equities and public interest

For similar reasons, the balance of equities and the public interest favor granting

a preliminary injunction. “These two factors merge when, as here, the government is the

opposing party.” Farmworker Ass’n of Fla. v. Moody, 734 F. Supp. 3d 1311, 1342 (S.D.

Fla. 2024) (internal quotations omitted). The Court has discussed the ongoing and

possible future irreparable harms caused by Defendants’ NEPA violation. When

irreparable environmental harms are sufficiently likely, “the balance of harms will usually

favor the issuance of an injunction to protect the environment.” Vill. of Gambell, 480 U.S.

at 545. The Court acknowledges Defendants’ unchallenged position that the

government’s interest in immigration enforcement is significant. Immigration is at the

forefront of national and state politics: as the swell of people seeking refuge and

opportunities in our nation steadily increases, the government is under a corresponding

pressure to respond and regulate.

The Federal Defendants argue that “the significant national interest in combatting

unlawful immigration favors allowing Florida to continue the development and use of [the

detention camp].” (DE 21 at 7). To this end, the Federal Defendants rely on Thomas Giles’

declaration that the detention camp’s function in detaining aliens “operationally benefits

ICE and furthers its immigration enforcement mission.” Id. Giles goes on to state that the

detention camp serves to “decompress other detention facilities used to house aliens

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throughout the United States.” (DE 21-1 at 5).

This position, however, flounders when confronted with the weight of evidence as

to the irreparable harm posed by Defendants’ flouting NEPA protocols. Plaintiffs have

provided extensive evidence supporting their claims of significant ongoing and likely

future environmental harms from the project. See supra Section III.C.2. By contrast, while

the Defendants repeatedly espouse the importance of immigration enforcement, they

offered little to no evidence why this detention camp, in this particular location, is uniquely

suited and critical to that mission. Director Kerner did state that his troopers “have

encountered and apprehended people that have active warrants for murder in other

countries” and offered his belief that some of those individuals might be detained at the

detention camp. (DE 129 at 202). Director Kerner could not, however, offer any statistics

or reports specifying how many individuals actually housed at the facility had such a

criminal background. (Id. at 206). He could not directly testify that even one of the

detainees had a criminal record, much less a record of violent crimes necessitating their

seclusion from society in the Everglades. (Id. at 206, 219).

Director Kerner further asserted that the detention camp is necessary because

other immigration facilities are at capacity. (Id. at 205). This need, however, again fails to

explicate the decision to place the detention camp in the Everglades. 36 Counsel for the

36 Any detention capacity issue also appears will be mitigated by the State’s recent
announcement of a second temporary immigration detention facility with “the same
services as Alligator Alcatraz” also with costs to be “reimbursed by federal partners.”
Press Release, Executive Office of the Governor, Governor Ron Desantis Announces
Expansion of Florida’s Capacity to Detain and Deport Illegal Aliens (Aug. 14, 2025),
https://perma.cc/3HXE-73VY. See Santa Clara, 250 F. Supp. 3d at 520 nn.4, 6–7 (taking
notice of government officials’ statements during press conferences and interviews);
McLoughlin, 586 F. Supp. 2d at 73 (“The Court may take judicial notice of the press
releases of government agencies.”); Coastal Wellness Ctrs., Inc. v. Progressive Am. Ins.
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Federal Defendants opined that the detention camp housed “all sorts of people from all

walks of life” and claimed that the camp’s remoteness is “relevant to the national security

and public safety interest at play here.” (DE 130 at 68, 77-78). When pressed by this

Court, however, the Federal Defendants conceded that they actually had no opinion on

the efficacy of the detention camp’s location, saying that the location “is a question for

Florida to decide.” (Id. at 69). The Federal Defendants further conceded that there was

no issue with the operation of other ICE detention facilities in populated areas like

Jacksonville and Boca Raton. (Id. at 78). Thus, at least for the Federal Defendants, the

remoteness of the detention camp seems to be an inconsequential consideration.

The State Defendants also insisted that the detention camp’s remoteness was an

important consideration. The State presented testimony from Director Kerner that the

detention camp’s site was “ideal” because “first and foremost,” it is “far removed.”

(DE 129 at 225). Director Kerner also pointed to the site’s “very long runway[,] which is a

very critical piece of the deportation process.” (Id.) But aside from their use of adjectives,

neither the State nor Director Kerner could explain why such a place needs to be in the

Everglades. What is apparent, however, is that in their haste to construct the detention

camp, the State did not consider alternative locations. Indeed, Director Kerner testified

that the current detention camp is the “only site that [he] looked at.” (Id. at 223).

Allowing the detention camp to continue expanding its infrastructure and

operations poses an even more formidable challenge than maintaining the status quo

because “it is difficult to change that course” if the Court eventually decides that NEPA

Co., 309 F. Supp. 3d 1216, 1220 n.4 (S.D. Fla. 2018). (“The Court may take judicial notice
of government publications and website materials.”).

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assessments are required. Sierra Club v. Marsh, 872 F.2d 497, 500, 505 (1st Cir. 1989)

(vacating district court’s denial of preliminary injunction related to NEPA claim and

remanding). Defendants brush aside this concern by pointing to Justice Kavanaugh’s

remark in Seven County that “NEPA has transformed from a modest procedural

requirement into a blunt and haphazard tool employed by project opponents.” 145 S. Ct.

at 1513. But while the Seven County case cited by counsel for the State is instructive, it

is not for the phrases parsed by counsel. While the Court did discuss how NEPA

requisites could sometimes be an impediment to critical projects, the comment was made

in the context of that particular case: a 3,600-page EIS generated over a year-long period

with the input of six public meetings and more than 1,900 public comments. Id. at 1508.

This is hardly a meaningful guide in a matter where there was no consultation with the

public and no reports of any page length regarding a project that was erected in eight

days. Instead, this case exemplifies why NEPA’s modest mandate that an “agency [take]

a ‘hard look’ at the environmental consequences of [a] proposed action” before saddling

communities and future generations with unknown environmental risks is still an important

procedural check. Sierra Club v. U.S. Army Corps of Eng’rs, 295 F.3d 1209, 1216

(11th Cir. 2002); Robertson v. Methow Valley Citizens Council, 490 U.S. 332, 349 (1989)

(“Simply by focusing the agency’s attention on the environmental consequences of a

proposed project, NEPA ensures that important effects will not be overlooked or

underestimated only to be discovered after resources have been committed or the die

otherwise cast.”). In light of the foregoing, the Court finds that the equities weigh in favor

of granting a preliminary injunction.

Nonetheless, the Court recognizes the unique and unprecedented situation

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presented by this case. The Court fully understands the interests of the Defendants and

the importance of a well-ordered transition while Defendants modify the facility to perform

the necessary environmental assessments. The construction of the facility may have

taken only eight days, but the capacity of the Defendants to remedy the NEPA violations

outlined will involve a longer period of time. The Court has endeavored to provide that

temporal accommodation in its Order.

IV. CONCLUSION

In 1947, President Harry Truman dedicated Everglades National Park observing:

Not often in these demanding days are we able to lay aside the problems of the
time, and turn to a project whose great value lies in the enrichment of the human
spirit. Today we make the achievement of another great conservation victory. We
have permanently safeguarded an irreplaceable primitive area. We have
assembled to dedicate to the use of all people for all time, the Everglades National
Park. 37

Twenty years later, a proposal for construction of the world’s largest jetport—at the

site discussed in this case—was abandoned, and the Big Cypress National Preserve was

created to protect this area. 38 Since that time, every Florida governor, every Florida

senator, and countless local and national political figures, including presidents, have

publicly pledged their unequivocal support for the restoration, conservation, and

protection of the Everglades. This Order does nothing more than uphold the basic

requirements of legislation designed to fulfill those promises.

37Harry S. Truman, Address on Conservation at the Dedication of Everglades National


Park (Dec. 6, 1947), https://perma.cc/C392-4LE4.
38 Worlds Largest Jetport, Big Cypress, NAT’L PARK SERV. (last visited Aug. 21, 2025),
https://perma.cc/6BHR-X25W.

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For the reasons set forth above, it is ORDERED AND ADJUDGED as follows:

1. For the purposes of Defendants becoming compliant with their obligations under

NEPA, the Court GRANTS IN PART AND DENIES IN PART Plaintiffs’ Motion for

a Preliminary Injunction (DE 5), as follows:

2. The Court ENTERS a Preliminary Injunction prohibiting the State and Federal

Defendants 39 and their officers, agents, employees, attorneys, and any person

who is in active concert or participation with them from (1) installing any additional

industrial-style lighting (described by witnesses as “Sunbelt” lighting); or doing any

paving, filling, excavating, or fencing; or doing any other site expansion, including

placing or erecting any additional buildings, tents, dormitories, or other residential

or administrative facilities on the TNT site; and (2) bringing any additional persons

onto the TNT site who were not already being detained at the site at the time of

this Order going into effect. The Preliminary Injunction does not prohibit

modification or repairs to existing facilities, which are solely for the purpose of

increasing safety or mitigating environmental or other risks at the site.

3. The Preliminary Injunction shall include among those “who are in active concert or

participation with” the State or Federal Defendants or their officers, agents,

employees, or attorneys, and thus prohibited from conducting the activities

specified above, any contractors, subcontractors, or any other individuals or

39Though state agencies are not subject to the APA, when “state and federal [actions]
are sufficiently interrelated,” the Court may enjoin state entities from acting in violation of
NEPA. Citizens for Smart Growth v. Sec’y of Dep’t of Transp., 669 F.3d 1203, 1210 (11th
Cir. 2012) (citation omitted) (exercising jurisdiction over the Florida Department of
Transportation Secretary in a NEPA case because the project in question featured FDOT
“working in tandem with federal agencies”).

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entities authorized to conduct work on the TNT site or provide detainee

transportation or detention services. See Fed. R. Civ. P. 65(d)(2)(C) (including

“other persons who are in active concert or participation with” the parties or the

parties’ officers, agents, servants, employees, and attorneys among those bound

by any injunction).

4. No later than sixty (60) days from the date of this order, and once the population

attrition allows for safe implementation of this Order, 40 the Defendants shall

remove 1) the temporary fencing installed by Defendants to allow Tribe members

access to the site consistent with the access they enjoyed before the erection of

the detention camp; 2) the Sunbelt lighting fixtures and any additional lighting

installed for the use of the property as a detention facility; and 3) all generators,

gas, sewage, and other waste and waste receptacles that were installed to support

this project.

5. Finally, Plaintiffs shall post a bond of $100. See BellSouth Telecomm., Inc. v.

MCImetro Access Transmission Servs., LLC, 425 F.3d 964, 971 (11th Cir. 2005)

(internal citations omitted) (“the amount of security required by the rule is a matter

within the discretion of the trial court”).

40 Based on Defendants’ representation that the site is currently being used as a


transportation spoke to other facilities, the Court is relying on programmatic attrition of the
camp’s population within the next sixty days. See C.M. v. Noem, 25-cv-23182 (S.D. Fla.),
ECF 50-1 ¶¶ 10 (stating that the detention facility on the TNT site “provides short-term
housing while longer term housing or removal arrangements are secured for aliens”). This
attrition will allow Defendants time to remove the newly installed fencing, lighting, and
other fixtures and utilities apparatus in a safe, humane, and responsible manner. The
housing and detention dormitory facilities may remain and be maintained to prevent
deterioration or damage.

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DONE AND ORDERED in Chambers in Miami, Florida, on this 21st day of August,

2025.

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