“As with previously approved developments in the vicinity of the Application Site, detailed invertebrate surveys will be carried out where and when specific proposals are brought forward.”
“Initially surveys should be undertaken to determine the overall nature and value of the invertebrate fauna. There would then be a need to condition detailed surveys in good time to enable a structured and comprehensive plan to be prepared prior to specific developments being undertaken.” (3) From Planning Perspective’s letter to Medway dated21 December 2009 : “… at the detailed reserved matters stage … we will know exactly what the built form of the area will be and the detailed ecological survey work for each phase will have been carried out in advance of any development commencing on site.” (4) From the Officers’ Report and Recommendation to Medway: “During the assessment of the planning application, those consultees with expertise in ecology have identified areas of concern in relation to the information submitted. In response to the concerns, the applicants have worked closely with Natural England to address and overcome the issues raised. During this process, it has been acknowledged by all parties that the best practice would ensure that any additional survey work would be undertaken prior to the granting of any planning permission.”
“On the basis of geographical location and the quality and extent of habitats on the wider Grain site, it was considered likely, after survey of invertebrate potential and examination of past records in 2008, that the wider Grain site would prove of national importance for its invertebrates. The 2009 survey results support this preliminary assessment. The 2009 records alone arguably fall short of providing definitive proof of this status, but even a conservative extrapolation to what remains unrecorded puts the evaluation beyond reasonable doubt. The invertebrate assemblage is considered to be of National Importance”
“We have been in discussion with the applicants who have provided additional areas of mitigation land outside the application site with an assessment of its’ current potential as invertebrate habitat. This provides for up to approximately 65 ha of habitat outside the application site together with the existing proposals for 69 ha of habitat within the application site (excluding brown roofs). It is our opinion that this increased mitigation package should be sufficient to preserve the biodiversity interest of the site and therefore we are minded to withdraw our objection, in principle, if the following are secured by suitably worded conditions and/or S106 agreement: • No development work to take place on site until a full invertebrate survey of the application site and all off-site habitat parcels is completed. Survey methodology to be agreed in writing with Medway Council under advice from Natural England; • No development work to take place until the site Masterplan has been reviewed in the light of the survey results and to include identification of habitats of high invertebrate quality to be maintained on site (minimum 20 ha) and connected to a broader network of habitat in order that their functionality can be expected to be maintained. The Masterplan to be agreed in writing with Medway Council under advice from Natural England and other acknowledged experts e.g. Buglife; • No development work to take place until a revised habitat survey has been undertaken to identify the areas of land within the application site and the mitigation land that can be classified as Biodiversity Action Plan habitats including the category ‘Open Mosaic Habitats on Previously Developed Land’. The results to quantify the area of BAP habitat to be lost to development and the areas of BAP habitat to be created as part of the mitigation plan; • No development work to take place until submission of a long term ecological management plan for the mitigation areas (within and without of the application site) has been submitted to and approved in writing by Medway Council under advice from Natural England and other acknowledged experts. The plan to include the provision for the creation of new habitats as required under the Masterplan. The phasing of the development to take into account the need for new habitat areas to be created in order to accommodate identified species’ interest before existing habitats are destroyed; • The off-site mitigation areas comprise approximately 65 ha. This to include areas A, B, C, D1 and D2 shown on Figure 3 (Revision 3) from the report dated17 February 2010 by RPS entitled An assessment of the impact of the proposed Grain Business Park on the invertebrates and reptile fauna and flora of the Application Site and proposed compensation and enhancement (Second Revision)”, together with the land identified in the attached plan. We will also require conditions to secure the protection of the other protected species identified in our letter dated 3 February. These are set out in Annex One Annex One listed the following protected species: Great crested newts, Water Voles, Badgers and Widespread Reptiles as well as Plant Assemblage. These are not relevant to the present challenge. . … “Natural England has no objection to the proposed development in respect of these protected sites. It is our view that, either alone or in combination with other plans or projects, this proposal would not be likely to have a significant effect on the above sites and the permission may be granted (subject to other planning considerations and the conditions mentioned elsewhere in this letter) under the terms of the Habitat Regulations.”
“An assessment of the compensation habitat was provided which shows that the majority is of low potential value for invertebrates. The entomologist Peter Kirby has provided a report dated17 February 2010 on the potential of the compensation land to mitigate loss of habitat on the application site. While it is acknowledged that the land may require considerable modification, it does allow a lot of flexibility of enhancement. There can be no doubt that the inclusion of the additional land adds significantly to the long term security of many elements of the invertebrate assemblage. The above provides assurance that the impact within the development site can be minimised and that there is sufficient land outside the site to create new habitat of invertebrate interest to compensate for unavoidable habitat loss within the development site. This gives us confidence that the overall Grain site should be able to maintain a wide range of scarce and rare invertebrate species and that its management and future have been secured.”
“Medway Council is not prepared to loose the opportunity of achieving a “once-in-a-lifetime” opportunity in order to obtain significant ecological value.”
“To ensure that the development is implemented in a manner that accords with the assessment of its environmental implications as detailed in the Environmental Statement accompanying the submitted planning application and to ensure the development is in accordance with the strategic objectives of Policy S13 of the Medway Local Plan 2003.”
“… ensure that before planning permission is granted, adequate mitigation measures are put in place. Where a planning decision would result in significant harm to biodiversity and geological interests which cannot be prevented or adequately mitigated against, appropriate compensation measures should be sought. If that significant harm cannot be prevented, adequately mitigated against, or compensated for, then planning permission should be refused.”
“… where such sites have significant biodiversity or geological interest of recognised local importance, local planning authorities, together with developers, should aim to retain this interest or incorporate it into any development of the site.”
“If the bee disappears from the surface of the earth, man would have no more than four years to live. No more bees, no more pollination … no more men!”
“41. A national provision such as Regulation 47(7)(b) of the 2006 Regulations … gives rise to uncertainty. The possibility cannot be ruled out that such a provision empowers national courts to dismiss an action as being out of time even before the expiry of the three-month period if those courts take the view that the application was not made ‘promptly’ within the terms of that provision. 42. As the Advocate General observed in point 69 of her Opinion, a limitation period, the duration of which is placed at the discretion of the competent court, is not predictable in its effects. Consequently, a national provision providing for such a period does not ensure effective transposition of Directive 89/665.”
“… likely to have significant effects on the environment by virtue of nature, size or location”
“1. Description of the development, including in particular- (a) a description of the physical characteristics of the whole development and the land-use requirements during the construction and operational phases; … (a) a description of the physical characteristics of the whole development and the land-use requirements during the construction and operational phases; … 2. An outline of the main alternatives studied by the applicant and an indication of the main reasons for his choice, taking into account the environmental effects. 3. A description of the aspects of the environment likely to be significantly affected by the development, including, in particular, population, fauna, flora, soil, water, air, climatic factors, … landscape and the inter-relationship between the above factors. 4. A description of the likely significant effects of the development on the environment, which should cover the direct effects and any indirect, secondary, cumulative, short, medium and long-term permanent and temporary, positive and negative effects of the development, resulting from (a) the existence of the development; (b) the use of natural resources; (c) the emission of pollutants, the creation of nuisances and the elimination of waste, and the description by the applicant of the forecasting methods used to assess the effects on the environment. 5. A description of the measures envisaged to prevent, reduce and where possible offset any significant adverse effects on the environment. 6. A non-technical summary of the information provided under paragraphs 1 to 5 of this Part. 7. An indication of any difficulties (technical deficiencies or lack of know-how) encountered by the applicant in compiling the required information. Part II 1. A description of the development comprising information on the site, design and size of the development. 2. A description of the measures envisaged in order to avoid, reduce and, if possible, remedy significant adverse effects. 3. The data required to identify and assess the main effects which the development is likely to have on the environment. 4. An outline of the main alternatives studied by the applicant and an indication of the main reasons for his choice, taking into account the environmental effects. 5. A non-technical summary of the information provided under paragraphs 1 to 4 of this part. (3) The results of that assessment must be placed in an ES which must be prepared in the prescribed manner and which should include the prescribed contents. That ES must then be publicised available for consideration and comment by the public which is defined in the Regulations to include various statutory consultees including NE and, in the Directive, “the public affected or likely to be affected by, or having an interest in, the environmental decision-making procedures [and] non-governmental organisations promoting environmental protection”. (4) The planning decision-maker may seek further information from the developer and any consultee may submit comments, information and representations about the ES. All this Environmental Information (“EI”) must be placed before the planning decision-maker. (5) For any development application for which an ES must be prepared, the local authority or other decision-maker “shall not grant planning permission or subsequent consent pursuant to an application to which [the Regulations] applies unless they have first taken the environmental information into consideration and they shall state in their decision that they have done so.”
“… the specified information contained in an environmental statement is provided for the purpose of assessing the likely impact upon the environment of the development proposed to be carried out. It is, therefore, not surprising that the first item of specified information in para. 2 is: ‘ … a description of the development proposed, comprising information about the site and design and size or scale of the development.’ Without such a description, the likely impact of the proposed development upon the environment could not begin to be assessed, and the underlying purpose of providing the information in the environmental statement would be frustrated. One is not seeking certainty as to the environmental effects of the project, which would be unattainable, one is merely seeking the specified information which will enable the likely significant effects to be assessed. … Whilst a bare outline application is permissible on a purposive approach to reg. 3 of the Applications Regulations, an environmental statement based upon such a application could not begin to comply with the requirements of Sched. 3 to the Assessment Regulations, … An outline application with only one or two matters reserved for later approval might enable the environmental statement to provide a sufficient description of the development proposed to be carried out … subject to the proviso that the description in the outline application of the development proposed to be carried out must be such as to enable the environmental statement to comply with the requirements of para. 2(3) of Sched. 3. … I realise that compliance with the requirements of Sched. 3 presents particular problems for projects such as a business park, which are demand-led and which may be expected to evolve over many years. … For such schemes the outline application procedure is particularly valuable. … Notwithstanding the difficulties of describing the design, size or scale of such a project, the Members of the E.C. concluded that if it was likely to have significant effects on the environment, development consent should not be granted until a prior assessment of those effects had been carried out. In so far as such an assessment requires a greater degree of particularity in the description of the development that is proposed to be carried out, greater particularity must be provided. Thus, applications for such projects have been placed in a legal straightjacket. The reason for this is explained in Directive 97/11: the environmental assessment procedure is a “fundamental instrument” of the E.C.’s environmental policy. Article 5.1 of the Directive envisages that Member States may wish to make procedural arrangements for environmental information to be provided on a staged basis. That has not been done in the Assessment Regulations. … It is no answer to say that some of the specified information will be provided in due course at the reserved matters stage. This, no doubt, reflects the role of an outline planning permission under the 1950 Act. Once outline planning permission has been granted, the principle of development is established. Even if significant adverse impacts are identified at the reserved matters stage, and it is then realised that mitigation measures will be inadequate, the local planning authority is powerless to prevent the development from proceeding. Mr Straker [counsel for the local authority] laid emphasis upon the fact that the local planning authority felt that, in imposing conditions it had ensured that adequate power would be available to it at the reserved matters stage. That, in my view, is no answer. At the reserved matters stage there are not the same statutory requirements for publicity and consultation. The environmental statement does not stand alone. Representations made by consultees are an important part of the environmental information which must be considered by the local planning authority before granting planning permission. Moreover, it is clear from the comprehensive list of likely significant effects in para. 2(c) of Schedule C, and the reference to mitigation measures in para. 2(d), that it is intended that in accordance with the objectives of the directive, the information contained in the environmental statement should be both comprehensive and systematic so that a decision to grant planning permission is taken in “full knowledge” of the projects likely significant effects on the environment. … a decision to defer a description of a likely significant adverse effect and any measures to avoid, reduce or remedy it, to a later stage would not be in accordance with the terms of Sched. 3, would conflict with the public’s right to make an input into the environmental information and would, therefore, conflict with the underlying purpose of the directive. This is, in effect, what happened in the present case. There may well be scope for argument in some cases, as to the extent to which details of mitigation measures may be left for subsequent approval. I do not suggest that an environmental statement must contain every detail, provided the mitigation measures are described. In the present case, because there is no description of the development proposed to be carried out, nor any description of its design, size or scale, it is not possible to describe the proposed mitigation measures. The conditions in the outline planning permission effectively require that descriptions shall be given in due course when the design, scale and size of the development to be constructed is known. Condition 1.3 does not answer the problem. It ties the mitigation measures to the environmental statement (unless otherwise agreed), but those measures were a response to the environmental impacts of development in accordance with the illustrative masterplan. Recognising, as I do, the utility of the outline application procedure for projects such as this, I would not wish to rule out the adoption of a masterplan approach, providing the masterplan was tied, for example by the imposition of condition to the description of the development permitted. If illustrative floor space or hectarage are given, it may be appropriate for an environmental assessment to assess the impact of a range of possible figures before describing the likely significant effects. Conditions may then be imposed to ensure that any permitted development keeps within those ranges.”
“51 According to the first recital in the preamble to the directive, the competent authority is to take account of the environmental effects of the project in question at the earliest possible stage in the decision-making process. 52. Accordingly, where national law provides that the consent procedure is to be carried out in several stages, one involving a principal decision and the other involving an implementing decision which cannot extend beyond the parameters set by the principal decision, the effects which the project may have on the environment must be identified and assessed at the time of the procedure relating to the principal decision. It is only if those effects are not identifiable until the time of the procedure relating to the implementing decision that the assessment should be carried out in the course of that procedure.”