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Minggu, 22 Mei 2016

Columbia Gorge Fishing Report October 12th

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Pic: Steelhead Outfitters - Sam Sickles

Fishing Report

This could be a tough week in the region for steelheaders, but last week was on the verge of epic from what we’ve heard. 

Chinook Salmon are definitely declining in quantity and quality as we are seeing post-spawn fish washing down the river.  The bulk of the spawn is still a week or two out, but this week’s “high water” should help push some of them out of the system and get the latecomers into the rivers.  We have a really good chance at breaking the all-time fall Chinook record through Bonneville Dam, and we have already broken the all time Chinook count for the year (Spring, Summer and Fall Chinook combined). 

This also marks the time of year that Chinook start to “bed up” on their spawning gravel, otherwise known as redds.  Please respect the incredibly long and difficult journey that these fish have made and avoid walking through spawning areas or fishing at spawning salmon.  They have made it this far, so let’s allow them to spawn and die in peace so that we can have more salmon in a couple of years.  If you see dark colored salmon in shallow water, they are likely trying to spawn.  A spawning Chinook does not put up much of a fight and you are taking away the last reserves of energy that it has left for its final act.  If you see someone fishing at spawning salmon, please respectfully say something and suggest that they move on to better water.  We don’t need any confrontation, just education.  Thank you so much and fish on!

Coho Salmon are really not showing up as predicted.  The following article is a good explanation of the state of the runs.  I suggest signing up for the Columbia Basin Bulletin newsletter if you are interested in keeping track of the ins and outs of the management of salmon and steelhead in the Columbia Basin.  https://www.cbbulletin.com/435193.aspx  Always a wealth of good information. 

Although numbers are far, far below the pre-season predictions, and I suggested last week that the run was late due to the lack of rain, we should still have far more fish than our current counts show. 

Summer Steelhead are definitely spread throughout the Columbia Basin.  The Grande Ronde, Clearwater, Salmon, Deschutesand Klickitat are all fishing well right now.  As of Sunday, the Klickitat and the Hood are mud, and we haven’t heard about the Deschutes, but it’s a pretty good bet that the White is puking mud into the river.  We are never sure how long it will take to clear up, but you can’t always wait for perfect conditions to go fishing.  Give it a few days and I would be that the D and the Klick will be fishable by mid week.   If you really need to get out before mid-week, head up to the Deschutes above the White Riverconfluence, it is in good shape. 

The Hood Riverhas been very muddy.  I went down on Thursday to cast the OPST Commando Heads on my old Sage XP 8100.  Finally I can spey fish effectively with a single hand rod!  Anyways, there was about three inches of visibility at best.  By Friday, it had cleared to about 6 inches, but by Saturday afternoon, it had dropped back down to zero…  There is very little access on the Hood and there are a lot of Chinook spawning in the accessible areas.  Please refrain from fishing at them.  More than one local angler has spotted filleted salmon carcasses on the river.  Targeting Chinook in the Hood River is prohibited after June 15.

Lost Lake and Laurence Lake are still fishing really well right now.  We do get very few reports from the lakes in the fall because most people are fishing for salmon or steelhead, but it can be wicked awesome this time of year with very little (no) pressure.  Laurence Lake closes on October 31, so get out while you can. 
                                                                                          
Smallmouth Bass fishing has been good… Not one report in the last few weeks, but conditions have been good on the Columbia.  Ryan needs to get back from Chicago so I can break in my new Sage ONE 690-4, aka, the smallie slayer.  I lined it up with a Rio Outbound Short WF6F/I, and it has been sitting in the corner of my tying room getting neglected…  Friends with bass boats are always good friends.


As always, we are happy to talk fishing any time.  Give us a call if you have any specific questions on local rivers, gear, and tactics, or if you just want some encouragement to get out of the office.


"Fly Fish the World with Us"



  

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Jumat, 20 Mei 2016

A thing of beauty is a job forever

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WHEN I LIVED in South Africa I once owned a 30-foot boat that had bulwarks, a caprail, and a rubrail made of beautiful hardwood. I couldn’t help myself, I varnished it. And varnished it. And varnished it.  That hot sub-tropical sun burned through the varnish as if it were melting butter. Every six months I rubbed it all down and put on another two coats of varnish. But, man, it looked beautiful. People walking past in the marina used to come to a sudden halt and stare at it in awe.

Eventually, though, the inevitable happened. I got sick and tired of varnishing. I was also intending to sail that boat to America and I had plenty of other preparations to attend to. I had just about decided to paint all that nice wood a suitable buff color that looked almost like varnish from 20 feet away when I noticed the brightwork on another similar boat a few berths away. It was a lovely shade of honey teak, a transparent matte finish that always looked as if it had just been applied.

I saw the owner on board one day and asked him what kind of varnish he used.

“It’s not varnish, it’s Deks Olje,” he said. “It’s Norwegian magic. You just wipe it on with a rag. Rub it well in, all over, and you’re done. Just let it soak into the wood and dry. You don’t have to bother with fancy brushes and there’s no trouble with wind or dust.”

I couldn’t get to the boat store fast enough. I bought a large can of Deks Olje, which, lacking any knowledge of Norwegian,  I confidently translated as Deck Oil. The instructions claimed it was the “easiest maintenance system afloat,” a protective traditional wood oil, an alkyd-urethane resin. I was thrilled to have discovered it. 

I spent a week removing all the old varnish from my woodwork and sanded it smooth. It was a lot of work. I then applied three coats of Deks Olje with a clean rag. Nothing could have been simpler. Sure enough, it looked magnificent. It wasn’t shiny like the old varnish, but it had a deep, warm luster that enhanced the color and grain of the wood.

We went sailing offshore on day trials shortly afterward, and within two weeks the combined efforts of hot sun and warm salt water had devastated my Deks Olje. It looked terrible. Half of it appeared simply to have been washed away, leaving bare wood already going grey. Much of the rest had turned white, as if it were encrusted with some kind of chemical salt.  Needless to say, I was spitting mad.

I went back to the owner of the boat down the way. “My Deks Olje is a disaster,” I said. “How does yours stay so nice?”

“Oh, my Zulu house servant does it,” he said. “He comes down once a week and just applies a fresh coat. It’s the simplest thing. Takes him half an hour.”

”Once a week?” I said. “You mean, every week?”

“Yes,” he said. “Surely you have a servant?”

We sailed for the USA shortly afterward. I gritted my teeth and let the sun and waves remove the rest of the Deks Olje, which they did with remarkable efficiency. The brightwork weathered to a dignified silver grey and needed no attention at all.

Six months later I bought a can of good old-fashioned tung-oil varnish when we got to Fort Lauderdale, Florida, and treated the wood to the old familiar routine. Once again, it looked magnificent and I sold the boat a few weeks later. I didn’t tell the new owner how soon he would have to re-varnish. I figured he was just lucky I hadn’t slapped on another few coats of Deks Olje.

Today’s Thought
 I cannot pretend to be impartial about the colors. I rejoice with the brilliant ones, and am genuinely sorry for the poor browns.
— Winston Churchill, Painting as a Pleasure

Tailpiece
“Your wife tells me she found out you dated an eye doctor in Alaska.”
“No, no, that was no eye doctor. She was an optical Aleutian.”

(Drop by every Monday, Wednesday, Friday for a new Mainly about Boats column.)

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Minggu, 15 Mei 2016

Excuses for not washing dishes

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MODERN BOATS come complete with many of the household appliances landlubbers take for granted these days, including microwave ovens, but only the very biggest and most luxurious boats have dishwashers. That leaves the rest of us to wash the dishes by hand, often in cold salt water.

It’s not a pleasant task, especially when it follows a satisfying meal and a mellowing beer or two, so it’s little wonder that people try all sorts of tricks to avoid taking their turn at washing up.

John Steinbeck knew all about it. In 1940 the famous author sailed in a sardine boat with a small crew to collect marine invertebrates down south of San Diego in the Gulf of California. In his book, The Log from The Sea of Cortez, he tells this delightful little tale:

“We carried no cook and dishwasher; it had been understood that we would all help. But for some time Tex had been secretly mutinous about washing dishes. At the proper times he had things to do in the engine-room. He might have succeeded in this crime if he had ever varied his routine, but gradually a suspicion grew on us that Tex did not like to wash dishes.

“He denied this vigorously. He said he liked very much to wash dishes. He appealed to our reason. How would we like it, he argued, if we were forever in the engine-room, getting our hands dirty? There was danger down there too, he said. Men had been killed by engines. He was not willing to see us take the risk.

“We met his arguments with a silence that made him nervous. He protested then that he had once washed dishes from west Texas to San Diego without stopping, and that he had learned to love it so much that he didn’t want to be selfish about it now.

“A circle of cold eyes surrounded him. He began to sweat. He said that later (he didn’t say how much later) he was going to ask us for the privilege of washing all the dishes, but right now he had a little job to do in the engine room. It was for the safety of the ship, he said. No one answered him. Then he cried, ‘My God, are you going to hang me?’

“At last Sparky spoke up, not unkindly but inexorably. ‘Tex,’ he said, ‘you’re going to wash ’em  or you’re going to sleep with ’em.’

“Tex said, ‘Now just as soon as I do one little job there’s nothing I’d rather do than wash four or five thousand dishes.’

“Each of us picked up a load of dishes, carried them in, and laid them gently on Tex’s  bunk. He got up resignedly then and carried them back and washed them. He didn’t grumble, but he was broken. Some joyous light had gone out of him, and he never did get the catsup out of his blankets.”

Today’s Thought
Let us be grateful to Adam, our benefactor. He cut us out of the “blessing” of idleness and won for us the “curse” of labor.
— Mark Twain, Pudd’nhead Wilson’s Calendar

Tailpiece
A woman who heard a 5-year-old girl swearing like a trooper in a city park  reported her to the park keeper. He went up to the little girl and said:  “I hear there’s someone in the park who’s using very naughty language.”
“Who told you that?” demanded the girl sharply.
“A bird whispered it in my ear,” said the park keeper.
“I’ll be damned,” said the girl. “And to think I’ve been feeding the ungrateful little bastards.”
(Drop by every Monday, Wednesday, Friday for a new Mainly about Boats column.)

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Columbia Gorge Fishing Report December 21st

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Se·ren·i·ty (s??ren?d?/) noun - the state of being calm, peaceful, and untroubled... while fishing.
Fishing Report 


Who wants a Christmas Steelhead?  I know I do.  Just about every river in the region is on the drop following an onslaught of rain and snow.  The Hood River and Sandy River are both fishable as of today and both have fresh winter steelhead in them.  The Clackamas may fish up high in the next few days but its still got too much water in it.  The best opportunity for steelhead will be the North Coast (because they have more fish) and the short term forecast looks.  Swinging flies for winter steelhead is all about seven weight spey rods and skagit lines but I like light sink tips like T8/11 and unweighted flies like Hobo Speys or maribou tubes during these higher flows.  Keep in mind when fishing a swollen run on a swollen river that the fish are not in the middle of the river and we want our flies to swing to the inside without getting hung up.  If you are looking to get your nymph on, and you know where they live, now is a good time - again think the edges and corners, there is no pocket water yet.

Gorge Fly Shop - Circa, some time ago...
2016 is going to bring some new opportunities for trout fishing on the Deschutes.  Starting January 1st the Deschutes will be open for trout fishing from Pelton down to the mouth.  This is a big change and should afford some great winter trout fishing from Warm Springs to Trout Creek.  I, for one, will be partaking when the west side rivers swell too large and I still need to get my fix.  Winter conditions in Central Oregon can change quickly; you’ll want to be flexible in what you’re doing and typically you’re gonna wanna fish when the air temps are equal to or greater than the water temps.  A good nymph setup when nothing’s happening on the surface is a posse bugger with a hairs ear or pheasant tail dropper.  Swinging sculpin patterns can be productive as well, plus it’s fun.  Anglers who don’t have micro speys or trout spey should check out the new single-hand skagit lines because when there are no bugs out these trout can get pretty grabby, think sculpzilla.


Tight lines.
Sam Sickles
Steelhead Outfitters



"Fly Fish the World with Us"

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Jumat, 13 Mei 2016

What’ll the Romans ever do for us

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I had intended to write a piece under this title, reviewing the proposals in the various party manifestos that are relevant to town and country planning, but they are all so vague that it is pointless to waste time on them. There are various proposals for more house-building, including the possibility of ‘garden cities’, plus further encouragement to develop brownfield sites, but on the past performance of all three main parties over the past 20 years one has to treat these proposals with a considerable degree of scepticism, especially as none of the parties seems to have any idea of how they are going to deliver these extra houses in practice, having conspicuously failed to do so in the past.

Proposals relating specifically to planning reform are rather thin on the ground, and we may be in for a rather quieter time in that regard compared with the stream of significant changes made by the coalition government in recent years. But if the civil servants in De-CLoG are not going to be kept busy with preparing new legislation, they may turn their minds to a consolidation of the primary planning legislation. This was last consolidated in 1990, and so we are perhaps overdue for a further consolidating Act. I won’t personally welcome this, as it would mean that we would have to re-learn all the section numbers with which we have become so familiar over the past 25 years, but I would have to agree that it would make administrative sense.

The final factor which dissuaded me from writing a review of the election manifesto proposals is the extreme uncertainty as to the outcome of the election. I have a strong feeling that all the party manifestos will be just so much waste paper on May 8, and quite a few of the bright ideas put forward by various parties will have to be jettisoned in the course of the intense negotiations that are likely to follow an inconclusive election result.

Incidentally, it has become increasingly obvious that journalists commenting on the likely scenario after 7 May are pretty clueless as the constitutional law and practice that will govern the course of events in the aftermath of the election. The first thing to bear in mind is that all the members of the present coalition government are still in post, and this will remain the position on the morning of 8 May (even if some of those ministers no longer have parliamentary seats). I dare say ministers are not spending much time at their desks right now, being too busy campaigning around the country, but they will still be receiving their red boxes, and the business of government is still being carried on.

There is no rule or constitutional convention that requires a Prime Minister to ‘concede defeat’ and resign after losing an election. If the outcome of the election does not give any single party a Commons majority, it is in fact more sensible for the PM (and the rest of his government) to remain in post until it becomes clear whether a new administration can be formed, led by one party or another. Each of the two main party leaders (Cameron and Miliband) will no doubt urgently explore the possibilities in talks with other parties, and if Cameron, as the incumbent PM, thinks he can carry on, then he is free to meet the new House of Commons and to put forward his programme, and see whether the Commons will support him or not.

One thing that has become clear is that in these circumstances, when it is likely to remain very unclear as to which party could in fact form a viable government, the Queen has no intention of becoming embroiled in what is likely to be a messy political situation. HM is therefore unlikely to open the new parliament in person – it can be done by a commission, in the same way as Royal Assent to Bills and the Prorogation of Parliament. There would be no Queen’s Speech, and Cameron (if he decides to adopt this course of action) would simply have to set out his programme in the Commons. Sooner or later, he would be obliged to table a motion of confidence, and if the government loses that vote, the provisions of the Fixed Parliaments Act will kick in.

On the other hand, it may become clear on 8 May that the game is up for the Tories, and that Cameron stands no chance of commanding any sort of Commons majority, no matter what way the cards are cut. In that case (while Cameron remains in post at least as a caretaker) it will be up to Miliband to see if he can come to some arrangement with other parties (however informal it may be) which would allow a Labour or Labour-led government to function with the support of a majority of MPs in the Commons. If or when he signals that he has reached a position where he believes this is possible, Cameron would then resign, and Miliband would be invited by HM to form a government. I don’t propose to speculate as to how that government might be composed and, in particular, whether any members of one or more other parties might or might not be invited to join it. In any event, the viability of this government would probably have to be tested, sooner or later, by a confidence vote in the Commons, and if it is lost then (as I mentioned earlier) the provisions of the Fixed Parliaments Act would come into play.

There has been some wild talk in recent days about the ‘legitimacy’ of a government formed by a party which does not have the largest number of MPs in the Commons, but this is complete nonsense. It has always been the position that any party leader who appears to be in a position to command a Commons majority (whatever its make-up) may be called upon to form a government. Loose talk about whether a government does or does not have a ‘mandate’ is also just hot air. All that matters is that the government, whatever its political composition, and whatever the composition of its various supporters in the Commons, is able to carry on the government of the country with the support of the House. Teresa May’s assertion that such a scenario would be the worst constitutional crisis since the Abdication has been greeted with the derision that it deserved.

To be coldly objective, it seems extremely unlikely that David Cameron will be able to cobble together a Commons majority after May 7, whereas it appears that there could quite possibly be a comfortable Centre-Left majority for a government led by Ed Miliband, always provided that some of the perhaps rather rash statements made by him, by Nick Clegg and by the Scottish Nationalists as to whether or not they would be prepared to reach some sort of understanding with various other parties can be put aside, and that they can find a way of co-operating with each other to carry on the government of the country.

© MARTIN H GOODALL

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The heater that iced up

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THEY SAY THAT IF you have a heater on your boat, you can extend your sailing season by six weeks or so at each end. I have never been swayed by that argument. Having spent most of my life in the sub-tropics, I have no love of sailing in the cold. Or the cold-and-rain, as happens around here. So I reckon there’s no need for a heater on a boat in this region.
There was one on a little Cape Dory 25D I once owned. We found her on an island in the San Juans, and sailed her home one bitter-cold day in February, when there was ice on deck. We had an overnight stop in a marina in Anacortes, where we ran into an old sailing friend. He offered us an electric heater because he said a cold night was forecast, but we scoffed and turned him away. “We have a nice Force 10 heater installed,” we said.
After a meal ashore, we came back to the boat and lit the heater. It had started life as a kerosene model, but the previous owner had converted it to gas. A small can of propane screwed onto the bottom.
We soon noticed something strange. It didn’t seem to be producing a lot of heat, and what heat it did produce rose to the top of the cabin and stayed there. What was even stranger was the fact that the can of propane was collecting a coat of ice. If we stood up in the cabin, the air was luke-warm from the belly-button up, and freezing cold from the belly-button down. As the layer of ice on the can grew thicker, we shut the heater off, fearing that it was actually producing more cold than heat on average. Our bunks were below belly-button level, so we spent a very cold night aboard, having brought only light-weight sleeping bags with us.
One of the first jobs I did on that boat was to convert the Force 10 back to kerosene heat.
It was a fairly easy job once I’d bought the right tools for flaring the copper tubing and so on. The new burner put out a lot more heat and never tried to make ice, but the hot air still hung around above belly-button level until we bought a 12-volt fan and mounted it where a reading lamp used to be. That stirred the air up nicely, distributing warmth all over the cabin from head to toe.
But we rarely used that heater because the fan used electricity, and I was scared we might flatten the battery overnight and not be able to start the diesel engine on a cold morning.
I have learned over the years that very little is simple on a boat, and the less you have to go wrong the better off you are.
So we never had a heater on any other boat since. And our belly buttons have been very grateful.
Today’s Thought
What is true, simple and sincere is most congenial to man’s nature.
— Cicero, De Officiis
Tailpiece
“Who gave you that black eye?”
“My wife.”
"I thought she was out of town.”
“So did I.”

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Kamis, 12 Mei 2016

Enforcement appeals – an important judgment

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I remember my colleague Ben Garbett discussing the case of Ahmed v. SSCLG with me when judgment was given in the High Court last July. We agreed that this was an important decision, contrary to the view of one commentator at the time, who lightly dismissed the case as one which raised “a novel (albeit narrow) point of law”, although they did acknowledge that the case made it clear that enforcement action is intended to be remedial rather than punitive, and that obvious alternatives which would overcome planning objections at less cost and disruption to the developer should be considered.

I intended to blog on the case, but pressures on my time prevented this, and the case was in any event destined to go on to the Court of Appeal. The CA has now handed down a judgment - [2014] EWCA Civ 566 - which upholds the first instance decision, and so it really is high time that we looked at this case.

The situation that occurred is one which I have encountered on a number of occasions, and is not uncommon. To put it simply, planning permission is granted for a particular development (or the GPDO permits development within certain limits). The development is then built, but although it is not wholly at variance with the planning permission, it exceeds what was authorised or permitted. It is well-settled law that, if this is a material departure from the consented scheme (or the permitted development under the GPDO) then the entire development is unlawful, and the proper allegation in an enforcement notice is the erection of the development (in its entirety) without planning permission.

What is controversial (and I unsuccessfully took this point in the High Court more than 20 years ago, when we failed to persuade a deputy judge to grant leave under section 289) is the extent of the remedial action which should properly be required by the enforcement notice, which all too often requires the demolition and removal of the entire development. The point will inevitably be raised in an appeal against the enforcement notice under section 174, under either or both of Ground (f) and/or Ground (a). The argument is that the breach of planning control could be adequately remedied by requiring no more than is necessary to bring the development within the scope of the planning permission (or within the scope of the permitted development under the relevant part of the GPDO).

In Mr Ahmed’s case, planning permission had been granted on appeal for the erection of a three-storey building, which would have had a ‘butterfly’ roof, to provide six flats. The building as erected was not, however, in accordance with the approved plans: It had four storeys, providing space for a seventh flat and with a different roof arrangement. In addition, the rear and side elevations of the property as built did not correspond to those shown on the approved plans. The consequence of the departure from the approved plans was that the building was in breach of planning control (and also that its erection did not constitute lawful commencement of the development permitted by the planning permission, so that the permission had lapsed five years from the date on which it was issued – although I confess that I have some doubts as to the correctness of this last assertion).

The LPA refused retrospective planning permission for the development as built, and served an enforcement notice requiring the permanent and complete removal of the whole of the unauthorised building, the restoration of the relevant parts of the previous building to their position before the unauthorised development was carried out, and the removal of all waste, materials, equipment and debris.

In his appeal against the enforcement notice, Mr Ahmed relied on Ground (f) (namely that the steps required to be taken exceeded what was necessary to remedy any injury to amenity that may have been caused by the breach of planning control). He argued that the scheme that had originally been authorised by the planning permission would still have been acceptable in planning terms at the time the enforcement notice was issued.

He contended that in light of the fact that the approved scheme was achievable by modification of the development, the council’s requirement that the whole of the development be removed was unnecessary and punitive and amounted to over-enforcement, and that all that was required to make the development acceptable in planning terms was for it to be modified to comply with the design of the approved scheme. He asserted in conclusion that the steps required in the enforcement notice clearly exceeded the steps required to remedy any breach of amenity.

Under Ground (a) Mr Ahmed also argued that the development as built was acceptable in planning terms and that planning permission ought to be granted. Starting from the proposition that the scheme that had been authorised by planning permission was still acceptable in planning terms, he focused on the elements of the development that differed from the approved scheme. It is clear, therefore, that under this ground of his appeal Mr Ahmed was seeking approval for the development as built, rather than for the consented scheme, by reference to a comparison exercise between the two schemes.

The inspector dismissed the Ground (a) appeal in respect of the development as built. In relation to the Ground (f) appeal, he acknowledged that an alteration to the building which resulted in it complying with the application that was previously granted might be sufficient to remedy the injury to amenity, but he did not believe that the powers available to him under s.176(1) of the Act would allow him to take this step, as it would turn a notice which was intended to rectify a breach of planning control into something else. It would be for the council to consider a fresh application for this, or for an alternative scheme. The inspector seems to have been influenced by the fact that the former planning permission had by now lapsed, and so there was no longer any ‘fall-back’ position that could be implemented.

The inspector agreed with the LPA that the purpose of the notice was to rectify the breach of planning control, rather than to remedy the injury to amenity. In these circumstances, where there was no extant planning permission which could be implemented, the breach of control could only be rectified by the removal of the building as a whole and restoration of the relevant parts of the building to their position before the unauthorised development was carried out. He concluded that there were no lesser steps available to the appellant that would allow this to be achieved.

The question for the court was whether the inspector erred in law by failing to consider an “obvious alternative” in accordance with the principles discussed in Tapecrown Ltd v FSS [2006] EWCA Civ 1744, [2007] 2 P&CR 7 and Moore v SSCLG [2013] JPL 192. The “obvious alternative” relied on would have been the grant of planning permission for the scheme previously authorised, departure from which had resulted in the breach of planning control which was the subject of the enforcement notice.

At first instance, the deputy judge, held that Moore is clear authority for the proposition that where an appellant has advanced a properly articulated fall-back* submission under grounds (a) to (e) in section 174(2), it may also be considered under Ground (f). He could see no reason in logic or principle why the reverse should not also be true. In the present case the Appellant had made his fall-back* position clear under Ground (f). The Inspector concluded that the Appellant’s fall-back* position might have remedied the injury to amenity. The Inspector however concluded that it could not be an obvious alternative for the purpose of the present notice, which had been issued for the sole purpose of remedying the breach of planning control, because the prior consent had already lapsed by the time of his decision. [* The use of the term “fall-back position” here does not seem to have been intended to refer to what planners and planning lawyers usually mean by the term, but rather to an arguably available alternative, which is not quite the same thing.]

In the deputy judge’s view, the Inspector overlooked an obvious alternative that could have remedied the breach of planning control that was the object of the notice – namely the possibility of varying the notice, as requested by the appellant under Ground (f), and at the same time granting retrospective planning consent under section 177, which provides a power to grant consent in respect of part of the matters that were the subject of the enforcement notice (namely that part of the building which could remain standing in accordance with the prior consent, had it not lapsed).

The Appellant was, at the time, deemed also to have made a planning application under Ground (a). For the purposes of that application, and treating the Appellant’s submissions as a whole in accordance with the approach in Moore, it was in his lordship’s judgment incumbent on the Inspector at least to consider whether to exercise his power to vary the notice and grant consent in accordance with the proposal made under Ground (f). Having concluded that he lacked the power to vary the order under section 176 standing alone, recourse to section 177(1) and section 174(2)(a) was the obvious alternative course which could have overcome the planning difficulties, at less cost and disruption than total demolition. In failing to address his mind to this possibility, the Inspector had erred in law.

On appeal to the Court of Appeal, Richards LJ drew attention to the judgment of Carnwath LJ (as he then was) in Tapecrown, when he observed that the inspector has wide powers to decide whether there is any solution, short of a complete remedy of the breach, which is acceptable in planning terms and amenity terms. If there is, he should be prepared to modify the requirements of the notice and grant permission subject to conditions. However, it is not for the inspector to seek out solutions; it is up to the appellant to deal with this in their submissions in support of the appeal. Subject to this point, however, the inspector should bear in mind that the enforcement procedure is intended to be remedial rather than punitive. If on his consideration of the submissions and in the light of the site view, it appears to him that there is an obvious alternative which would overcome the planning difficulties, at less cost and disruption than total removal, he should feel free to consider it. In such circumstances fairness may require him to give notice to the parties to enable them to comment on it.

In giving judgment in Moore Sullivan LJ had said, applying Tapecrown, that the mere fact that in Moore this issue was raised under Ground (b) rather than Ground (f) was not fatal to this ground of appeal. If there was an ‘obvious alternative’ which would overcome the planning difficulties, at less cost and disruption than total cessation, the inspector should have considered it. (The court in Moore held on the particular facts of that case that there was no “obvious alternative” on the material before the inspector.)

On the basis of these authorities and, in particular, Moore, the Court of Appeal upheld the deputy judge’s finding that the inspector erred in law by overlooking an obvious alternative by way of granting planning permission for the previously consented scheme and varying the enforcement notice accordingly. It was clear that the inspector did not consider the possibility of that alternative.

The court did accept, however, that the power under section 177(1) to grant planning permission in respect of the matters stated in the enforcement notice as constituting a breach of planning control is linked to an appeal under Ground (a), rather than under Ground (f). But Mr Ahmed’s appeal did include express reliance on Ground (a) and he would have been deemed in any event to have made an application for planning permission by virtue of section 177(5). Although his Ground (a) appeal sought planning permission only in respect of the development as built, which constituted the whole of the matters stated in the notice as constituting a breach of planning control, the power under section 177(1) was to grant planning permission “in relation to the whole or any part of those matters”.

In principle, therefore, planning permission could have been granted for the previously consented scheme if the differences between it and the development as built (i.e. the differences identified in the notice as “unauthorised additions, alterations and variations to the approved scheme”) were such that a development in accordance with the previously consented scheme could be regarded as a “part” of the development as built. This was a matter of planning judgment for the inspector. It was a judgment he did not make because of his failure to give any consideration to the possibility of granting planning permission for the previously consented scheme.

The court was not in a position to decide what conclusion the inspector would have reached if he had considered that possibility. In particular, they could not exclude the possibility that he might reasonably have concluded that the previously consented scheme was to be regarded as “part” of the development as built, on which basis he would have had power under section 177(1) to grant planning permission in relation to it.

The final question to be considered was whether the inspector erred in law in failing to consider the possibility. In the court’s judgment, he did fall into error, in the manner found by the deputy judge. The inspector’s reasoning under Ground (f) was to the effect that he did not have the power to produce a result whereby Mr Ahmed was required to fall back on the previously consented scheme rather than removing the building as a whole. But as explained above, that power potentially existed through the route of granting planning permission for the previously consented scheme under Ground (a). That was a route that the inspector failed to consider. Mr Ahmed had not raised it under Ground (a) but Mr Ahmed’s submissions under Ground (f), albeit put forward in terms of remedying the injury to amenity rather than remedying the breach of planning control, should have alerted the inspector to the possibility as an obvious alternative.

It would have been a matter for the inspector to assess whether the previously consented scheme would overcome the planning difficulties at less cost and disruption than total removal. He made no such assessment because he did not apply his mind to the question. Similarly, it would have been for the inspector to decide whether there had been any material change to the planning considerations that had led to the approval of the previously consented scheme on the conditions then imposed, though the enforcement notice itself did not suggest any such change but relied on the differences between that scheme and the development as built; and it would have been for the inspector to decide whether a variation of the enforcement notice consequent upon the grant of permission for the previously consented scheme would cause any “injustice” to the LPA within section 176(1), though none had been suggested. The fact that there would have been no fresh consultation on the previously consented scheme did not seem to Richards LJ to be a fatal objection in the circumstances.

There are some further points that were discussed in this case that might merit further discussion in the future, and it is clear, both from this judgment and from some of the earlier authorities cited in the course of this case, that there may be circumstances in which it may not be open to an inspector to reduce the requirements of an enforcement notice in the manner sought in this case. However, Ahmed is clear confirmation of the principle that where both Grounds (a) and (f) are relied upon by the appellant, and provided that submissions in support of the case for variation of the requirements of the notice, coupled with a request for appropriate permission under Ground (a) or under section 177, are put forward by the appellant, the inspector must give consideration to this possibility.

© MARTIN H GOODALL

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Scientific Anglers Wavelength Titan Prepare for Launch

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When you hear the word "Titan" do you think about fly lines? Or Saturns largest moon Titan, Or the Titan Missile that was in use for more than 45 years that included early manned space flights known as project Gemini, Or the Greek Mythology were the Titans are giant deities of incredible strength who ruled the legendary Golden Age. The common denominator of the word Titan is clearly defined by size, strength and power. Can a fly line really be compared to such greatness!

Wavelength Titan

Wavelength replaces the Textured series. A short history...first came Sharkskin than Textured. Textured was a softened up version of Sharkskin. In 2014 Sharkskin was refined into Sharkwave. For 2016 Textured gets refined into Wavelength. Within the Wavelength Series you will find MPX, Titan, Trout, Nymph/indicator, Grand Slam and Tarpon. For the purpose of this article I am just going to focus on the Wavelength Titan and Sonar Titan sinking lines.

Wavelength Titan
Titan
Titan came out a few years back after all the hype of the Sharkskin/Textured lines had come and gone. I said it as soon as I fished with the Titan that this was probably the best ever of the textured lines that I have ever fished (and Ive fished them all) but unfortunately no one will be willing to try it after so many mixed reviews regarding Sharkskin. I liked the Textured Titan and continued to use it despite the hazing I took for fishing with a textured line. After a couple years it gradually grew a steady following. In that period I found several other dedicated users with similar opinions about the line. S/A noticed and decided to lock in this taper and expand on it. Look today and you will find this specific "Titan" taper in the Wavelength, Mastery and Sonar Series of lines. I think that says something for it. Its here to stay. What makes this particular taper successful is while in general it is a bumped up shooting head type of line that provides easy turnover of large flies it also incorporates enough rear taper to make it far more friendly and versatile than other shooting head lines. More versatile in the way of easier mending, more flexible pickup / cast positions, better shoot-ability with its textured surface and just more friendly fish-ability.

Conquered with Titan
In general most shooting lines are very straight forward, you strip in to the head, make your cast, strip back in to head and repeat. This is great when all youre doing is bombing distance cast. But the problem with this is what happens when you get that surface strike and go to set the hook...Swing and a miss! You want to get that fly back on the target as quick as possible but your standard shooting head line has you scrambling to strip back to the head to make another cast. Your traditional shooting head line is in the thin running line section and cannot transfer the energy properly to get the fly back to where the strike occurred. You struck out! Titan gives you that little added benefit of getting your fly back and getting the hit with a little bit of added rear taper that allows for a more flexible pick up point. Titan also requires less energy to lift off the water due to its reduced friction from the textured surface allowing you to utilize that energy into the backcast for increased rod load enabling an easier long forward re-cast back to the specific target. I have witnessed and done this time and time again and the benefit is clearly evident especially when you are target specific fishing.

The best uses I have found for this line is predator fishing such as bass, pike and musky. It can be a good carp line if your bugs are on the big or weighted side such as in the picture above. That is a great lakes carp caught with a weighted craw pattern. Titan was perfect for that catch. It can also be a great trout streamer line both from a boat or wading. Easily handles nymph/indi fishing from a boat too. Im sure you could find other uses as well. Tell us what you use it for in our comments.

In my words Titan is a modern powerful big fly, easy turnover taper that excels at shooting distance and yet retains some handling properties of a bumped up general purpose fly line.


Specific Textured Characteristics - The Good, Bad and Myth!
Titan is a textured line and while texturing has some great characteristics it has also has some bad rap mostly originating from the original Sharkskin Series of lines. Let me address the good, bad and mostly myth about these lines.

Tamed with Titan!
They will cut your hands! While the original sharkskin was very roughly textured the Wavelength lines are no were near as sharply textured as sharkskin was. Is the textured surface noticeable, sure! My take on this is you are going to be handling and stripping line all day than you really need to wear some stripping gloves no matter what line you fish with whether it smooth or textured. If you cant stand gloves than get some Stripping Guards by Buff. The payoff of gloves or stripping guards with any fly line is better strips and no line burns.

Noisy in the guides! Again nothing compared to the original sharkskin lines. Do they make a little noise, yes! Is it a problem, No! Its actually a benefit that I will explain next.

Less friction! Textured lines strip easier, haul easier and lift off the water easier. I would question anybody who wants to make an argument about this! I very much appreciate less friction after long days of repeated target casting.

Higher floating! Not only is this a great feature in itself but also contributes to easier lift from the water.

Shoots farther! I want to mention that not only it this noticeable with a new line right out of a package but textured lines continue to shoot great day after day and year after year. My original Textured Titan line is 5 plus years old with countless hours of use and still shoots and performs great!

Heat resistant! Im dont know if this has anything to do with the textured surface but I noticed this past summer in mid day high temps when a couple of my OTHER lines where reaching melting point and NOT behaving well while wilting in the mid day heat but my Titan continued on shooting with no trouble at all. Likewise I have fished it right down to freezing temps and still handles good.

The sinking Sonar Titans have arrived!

New for 2016 for Scientific Anglers is Sonar Series. Sonar Series indicates any premium S/A lines that sink!
Three Titan options here that I want to spend some time on. First understand that all Sonar Titan lines have a textured surface. This alone clearly separates them from the other Sonar Series lines which have a smooth surface. Personally I think the next 3 lines I describe have a significant place in the future of sinking lines due to the popular taper design and the benefit of the textured surface.


Sonar Titan Clear Tip
Think powerful clear streamer tip!
Sonar Titan Clear Tip is a weight bumped, powerful taper for easy turnover of big flies, three color for easy length determination, textured for easy pick up and long distance shooting ability and formulated to suit most temperate environments.

Sonar Titan Intermediate
Many Streamer Anglers are discovering the benefit of going all in with full intermediate lines. Getting the running line under the surface improves your connection to the fly and allows for truer swimming action of streamers.

Sonar Titan Int/Sink 3/Sink 5
Triple Density Sinking fly line! I am already hearing major buzz following this line. Its starts with an intermediate running line section that seamlessly transforms into a type 3 sinking mid section that flows into a type 5 sinking Titan tapered head section of line. Triple Density, full sinking, powerful Titan taper, braided core, made for temperate environments and textured for reduced friction allowing for easier pickups and longer cast. Streamer anglers even if youre not a textured line fan you might ought pay attention to this one. We could easily be looking at a game changer!
Triple Density

From the very first Sharkskin I realized that there was some benefits to textured lines. It just took a few years to bring out those qualities. I continue to use and test new lines all the time and in the past couple of years I find myself comparing lines to the Titan. That says a lot. Titan is not a line for every purpose or everyone but mark my words, "Textured lines like Titan are here to stay!"


BassProGreg



Greg Darling 
Gorge Fly Shop Internet Sales Manager | Product Specialist


"Fly Fish the World with Us"


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Rabu, 11 Mei 2016

Residential conversion of agricultural buildings ecological considerations

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Neil Pearce at Wychavon DC has raised with me a point arising from the conversion of agricultural buildings to residential use under Class MB in Part 3 of the Second Schedule to the GPDO. This relates to the appropriateness of a requirement that certain ecological surveys should be carried out. There are actually two points –

(1) Can the need to protect bats or other protected species be a material consideration in the determination of a prior approval application under Class MB?

(2) Can pre-commencement conditions relating to ecological surveys and protection measures be attached to a notice of prior approval under Class MB?

Paragraph MB.2 provides that the change of use under Class MB(a) is permitted subject to the condition that before beginning the development, the developer shall apply to the local planning authority for a determination as to whether the prior approval of the authority will be required as to—

(a) transport and highways impacts of the development,
(b) noise impacts of the development,
(c) contamination risks on the site,
(d) flooding risks on the site, or
(e) whether the location or siting of the building makes it otherwise impractical or undesirable for the building to change from agricultural use to a use falling within Class C3 (dwellinghouses),

and it goes on to say that the provisions of paragraph N of Part 3 shall apply in relation to any such application.

As I pointed out in earlier blog posts relating to the changes to the GPDO made in 2013 and 2014, paragraph N provides that the local planning authority must, when determining a prior approval application have regard to the National Planning Policy Framework as if the application were a planning application.

The consensus of opinion seems to be that, notwithstanding paragraph N, the LPA is in fact constrained in its consideration of the prior approval application to the criteria listed in the relevant class in Part 3 (in this case, paragraph MB2). I believe that several appeal decisions have now been issued that confirm this approach.

In the case of Class MB, however, the criteria that the LPA must take into account are rather more wide-ranging than they are under certain other classes. In particular, these criteria include consideration as to whether the location or siting of the building makes it impractical for any other reason (besides the others that are listed) or undesirable for the building to change from agricultural use to residential use. This seems to me potentially to introduce all sorts of other factors that might arguably militate against the residential conversion of the building. Among these, I suggest, could be ecological considerations, including the presence of protected species, such as bats.

I am told that Wychavon has a lot of bats (Stop sniggering at the back there!) and some enthusiastic ecologists. The argument is that, whilst not expressly referred to as one of the prior approval issues for an LPA to consider, ecology (and in particular the conservation of protected species) remains a key factor in the conversion of rural buildings. The ecologists very reasonably point out that the De-CLoG response to consultation on this issue stated that “All changes under permitted development are required to meet necessary habitats and environmental legislation and regulations.”. Furthermore, Section 40 of the Natural Environment and Rural Communities Act 2006 requires all public bodies to have regard to biodiversity conservation when carrying out their functions. In the exercise of its functions, an LPA is also required to have regard to the requirements of The Conservation of Habitats and Species Regulations 2010. I am bound to say that this does seem to me to be an entirely reasonable approach, and I really can’t fault the ecologists’ view on this issue.

The ecologists also point out, again quite rightly, that Paragraph N of Part 3 provides that “the local planning authority may require the developer to submit such information as the authority may reasonably require in order to determine the application, which may include —

(a)assessments of impacts or risks;
(b)statements setting out how impacts or risks are to be mitigated; or
(c)details of proposed operational development;
”.

The ecologists believe that the implications for protected species should be considered as “impacts or risks”. Again, I really can’t disagree with that. They also take the point which I referred to earlier that prior approval applications are required to be determined with regard to the requirements of the NPPF. This requires decisions to be taken with regard to protected species. The ecologists therefore feel that the council should require a prior approval application to be accompanied by an appropriate assessment of the potential impact upon protected species and a mitigation strategy, if there are protected species at risk of harm from the development.

This would certainly be done if the LPA was dealing with an application for planning permission, and I am inclined to the view that a similar approach would be appropriate in the case of prior approval applications under Class MB. One might argue that this makes a nonsense of the principle of “permitted development”, but I think this is inherent in the whole prior approval concept that the government has devised. I have previously described it as “planning permission-lite”. It would be a serious mistake for anyone to run away with the idea that the government ever intended a free-for-all for residential developments in the countryside . Some people may find this disappointing, but that’s the way it is.

I mentioned earlier the issue of pre-commencement conditions. The 2014 amendment to Part 3 made it clear that LPAs have the right to impose conditions on prior approvals in the same way, and subject to the same rules and considerations, as in the case of planning permissions. It follows that pre-commencement conditions may be appropriate in some cases, and such conditions might include protection measures for fauna and flora, among other things.

I don’t think Neil was expecting me to come down on the side of the ecologists, but as a lawyer I just have to interpret the law as it stands, irrespective of my personal views as to whether it is ‘right’ or not in a political sense.

NOTE: This is one of the many topics that are discussed in the author’s new book - “A PRACTICAL GUIDE TO PERMITTED CHANGES OF USE” published by Bath Publishing in October 2015. You can order your copy by clicking on the link on the left-hand sidebar of this page.

© MARTIN H GOODALL

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Selasa, 10 Mei 2016

Interpreting the National Planning Policy Framework

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There has been quite a lot of interest in the case of Redhill Aerodrome v. SSCLG since judgment was given in the High Court in July ([2014] EWHC 2476 (Admin)). That judgment has now been overturned by the Court of Appeal in a decision delivered on 9 October, with reasons handed down on 24 October - [2014] EWCA Civ 1386.

Most commentators have concentrated on the court’s interpretation of Green Belt policy, as set out in the NPPF compared with the former PPG2, but the implications of the Court of Appeal’s judgment would appear to go rather wider than this and may be applicable to the interpretation of the NPPF generally, as compared with the way in which ministerial policy on a number of topics was explained in the various policy guidance that was cancelled when the NPPF was published.

The dispute between the parties centred on these two paragraphs :

“87. As with previous Green Belt policy, inappropriate development is, by definition, harmful to the Green Belt and should not be approved except in very special circumstances.

88. When considering any planning application, local planning authorities should ensure that substantial weight is given to any harm to the Green Belt. ‘Very special circumstances’ will not exist unless the potential harm to the Green Belt by reason of inappropriateness, and
any other harm, is clearly outweighed by other considerations.” [emphasis added by the Court]

The question which arose for determination by the court was whether this formulation of Green Belt policy, which differs in its wording from the corresponding ministerial advice formerly set out in PPG2, represents a deliberate change of approach on the part of the government, or whether it is no more than a slightly different way of expressing the same policy without thereby intending any change of policy.

The dispute here focused on the meaning and interpretation of the phrase “any other harm”. The meaning of these words in paragraph 3.2 of PPG2 was considered by Frances Patterson QC (sitting as a Deputy High Court Judge – she has more recently been appointed to the bench) in R (River Club) v SSCLG [2009] EWHC 2674 (Admin), [2010] JPL 584. The claimant in that case had submitted that the “other harm” referred to in the third sentence of paragraph 3.2 meant harm to the purposes or objectives of the Green Belt, so that as a matter of law “any other harm” was confined to Green Belt harm. This submission was rejected. There was a requirement to consider the development as a whole to evaluate the harm that flowed from its being inappropriate (by definition) in the Green Belt, together with any other harm that the development may cause, in order to enable a clear identification of harm against which the benefits of the development can be weighed and on that basis to conclude whether very special circumstances exist (as required by ministerial policy) so as to warrant the grant of planning permission.

The Deputy Judge noted that there were no qualifying words within paragraph 3.2 of PPG2 in relation to the phrase “and any other harm”. Inappropriate development, by definition, causes harm to the purposes of the green belt and may cause harm to the objectives of the green belt also. “Any other harm”, she held, must therefore refer to some other harm than that which is caused through the development being inappropriate. It could refer to harm in the Green Belt context, therefore, but need not necessarily do so. Accordingly, she held that “any other harm” in paragraph 3.2 was to be given its plain and ordinary meaning – it referred to harm which is identified and which is additional to harm caused through the development being inappropriate. Consequently, she rejected the argument that the phrase was constrained so as to apply to harm to the Green Belt only.

The Redhill Aerodrome case came before the same judge (now Patterson J). She accepted the claimant’s submission that the policy matrix is now different, in that all of planning policy is contained within the NPPF which is to be read and interpreted as a whole. For each of the individual considerations a threshold is set which, when it is reached or exceeded, warrants refusal. It is for the decision maker to determine whether the individual impact attains the threshold that warrants refusal as set out in the NPPF. That is a matter of planning judgement and will clearly vary on a case by case basis.

Here, she continued, the individual non-Green Belt harms did not reach the individual threshold for refusal as defined by the NPPF. Was it right then to take them into account either individually or as part of the cumulative Green Belt harm assessments? On an individual basis, given the clear guidance given in the NPPF, her ladyship had no difficulty in concluding that, in this case, it was not right to take the identified non-Green Belt harms into account. The revised policy framework, she found, is considerably more directive to decision makers than the previous advice in the PPGs and PPSs. There has, in that regard, she said, been a considerable policy shift. Where an individual material consideration is harmful but the degree of harm has not reached the level prescribed in the NPPF as to warrant refusal, in her judgment it would be wrong to include that consideration as “any other harm”.

The learned judge went on to consider whether individual considerations can be considered together as part of a cumulative consideration of harm even though individually the evaluation of harm is set at a lower level than prescribed for refusal in the NPPF. In her judgement, she said, it would not be right to do so. That is because the Framework is precisely as it says - a framework for clear decision making. It is a re-writing of planning policy to enable that objective to be delivered. It has no words that permit of a residual cumulative approach in the Green Belt when each of the harms identified against a proposal is at a lesser level than would be required for refusal on an individual basis. Without such wording, to permit a combination of cumulative adverse impacts at a lesser level than prescribed for individual impacts to go into the evaluation of harm of a Green Belt proposal seemed to her to be the antithesis of the current policy. It would re-introduce a possibility of cumulative harm which the NPPF does not provide for. It is clear, she felt, that the NPPF does contemplate findings of residual cumulative harm in certain circumstances, as is evident in paragraph 32, where it deals with the residual cumulative impact of transport considerations. However, such phraseology does not appear in the Green Belt part of the NPPF.

Pausing there, I have to say that I have considerable sympathy for Patterson J’s view on this point. I have pointed out on several occasions in this blog that the language used in the NPPF seems in various places to differ sufficiently from the wording of the former policy advice which it has replaced that it could justifiably be concluded that (whether or not it was actually intended to do so) it has brought about identifiable changes of ministerial policy. Several cases that have come before the courts since the NPPF was published seem to support this view, such as Europa Oil and Gas Limited v. SSCLG [2013] EWHC 2643 (Admin) and Fordent Holdings Ltd v SSCLG [2013] EWHC 2844 (Admin) (reported here on Friday, 1 November 2013 - Inappropriate development in the Green Belt), and also R (Embleton PC) v. Northumberland CC [2013] EWHC 3631 (Admin), to which I drew attention on Tuesday, 21 October 2014. (See Agricultural dwellings - the operational need test ).

Notwithstanding the apparent changes of policy which have (perhaps inadvertently) been effected by the NPPF, Sullivan LJ, in giving the leading judgment in the Court of Appeal, pointed out that excluding non-Green Belt harm from “any other harm” in the second sentence of paragraph 88 of the NPPF would make it less difficult for applicants and appellants to obtain planning permission for inappropriate development in the Green Belt, because the task of establishing “very special circumstances”, while never easy, would be made less difficult. All of the considerations in favour of granting permission would now be weighed against only some, rather than all, of the planning harm that would be caused by an inappropriate development.

Most significantly, he added that if it had been the Government’s intention to make such a significant change to Green Belt policy in the NPPF, one would have expected that there would have been a clear statement to that effect. There has been no such statement. In his lordship’s judgment, all of the indications are to the contrary. He cited three examples:

(1) While there have been some detailed changes to Green Belt policy in the NPPF, protecting the Green Belt remains one of the Core planning principles, the fundamental aim of Green Belt Policy to prevent urban sprawl by keeping land open, the essential characteristics of Green Belts, and the five purposes that they serve, all remain unchanged. By contrast with paragraph 86 of the NPPF, which does change the policy approach to the inclusion of villages within the Green Belt, paragraph 87 emphasises the continuation of previous Green Belt policy (in PPG2) in respect of inappropriate development: “As with previous Green Belt policy.”

(2) The Impact Assessment in respect of the NPPF published by DCLG in July 2012 said that “The government strongly supports the Green Belt and does not intend to change the central policy that inappropriate development in the Green Belt should not be allowed.” Under the sub-heading “Policy Changes”, the Impact Assessment said that “Core Green Belt protection will remain in place.” It then identified four proposed “minor changes to the detail of current policy” which would resolve technical issues, but not harm the key purpose of the Green Belt, “as in all cases the test to preserve the openness and purposes of including land in the Green Belt will be maintained.” On the face of it, paragraphs 87 and 88 of the NPPF would appear to constitute the “central policy” which the Government did not intend to change.

(3) That there was no intention to change this aspect of Green Belt policy is confirmed by the Inspector’s statement in the Redhill Aerodrome appeal decision that the River Club approach to “any other harm” in the balancing exercise is reflected in decisions by the Secretary of State since the publication of the NPPF. The court was not referred to any decision in which a different approach has been taken to “any other harm” since the publication of the NPPF.

On the other hand, Sullivan LJ accepted that the NPPF means what it says, and not what the Secretary of State would like it to mean. Nonetheless, he said, if the NPPF has effected this change in Green Belt policy it is clear that it has done so unintentionally. The claimant (the respondent in the Court of Appeal) did not submit that there was any material difference between paragraphs 3.1 and 3.2 of PPG2 and paragraphs 87 and 88 of the NPPF. The text of the policy has been reorganised, but all of its essential characteristics remain the same. It had been submitted that the change in policy was to be inferred, not from the wording of paragraphs 87 and 88, but from the other policies in the NPPF which “wrapped around” Green Belt policy, and which were, it was submitted, very different in some respects from previous policies in the earlier policy documents which were replaced by the NPPF. At the heart of the claimant’s case was “Context, context, context.”

It is true, his lordship accepted, that the “policy matrix” has changed in that the NPPF has, in the words of the Ministerial foreword, replaced “over a thousand pages with around fifty, written simply and clearly.” Views may differ as to whether simplicity and clarity have always been achieved, but the policies are certainly shorter. There have been changes to some of the non-Green Belt policies, and there have also been changes to detailed aspects of Green Belt policy, not all of which were identified in the Impact Assessment (Europa Oil and Gas being one example).

However, Sullivan LJ did not accept the premise which underlay the claimant’s case, as Patterson J had done, that the other policies “wrapping around” the Green Belt policy in paragraphs 87 and 88 of the Framework are “very different” from previous national policy, or that, as Patterson J put it, there has been “a considerable policy shift”.

Although this case was primarily focused the interpretation of “any other harm” in the Green Belt context, the Court of Appeal did accept that there are certain respects in which some other details of ministerial policy have been changed by the NPPF. Nevertheless, Sullivan LJ suggested that if it had been the Government’s intention to make any significant changes to policy in the NPPF, one would have expected that there would have been a clear statement to that effect. He accepted, on the other hand, that the NPPF means what it says, and not what the Secretary of State would like it to mean. This judgment therefore seems to accept the possibility that some minor changes to ministerial policy may have been effected by the NPPF unintentionally.

This judgment therefore still leaves an element of uncertainty over the correct interpretation of certain paragraphs of the NPPF, but it would seem that if a particular paragraph of the NPPF appears on the face of it to effect a significant change of policy, this in itself should indicate that no such change of policy was in fact intended, without a clear statement on the part of ministers of their intention to make such a policy change. In cases of this sort, the wording of the NPPF should be taken to be no more than a restatement of previous policy, albeit in slightly different language. The only problem with this approach to the interpretation of the NPPF is that it requires a knowledge of, and reference to, the relevant PPGs or PPSs which the NPPF was intended to replace in order to construe the changed language of the NPPF correctly, which would seem to undermine the intention of publishing the NPPF in the first place.

One other implication of the Court of Appeal decision in Redhill Aerodrome is that one or two decisions that have proceeded on the basis of changes of policy that have apparently been brought about by the NPPF may be open to question. In particular, it seems to me that R (Embleton PC) v. Northumberland CC (which I discussed recently – see above) may have been wrongly decided. The judge was persuaded in that case that the test of operational need for a proposed agricultural dwelling under paragraph 55 of NPPF is different from, and much less prescriptive than, the test under Annex A of PPS7. Applying Sullivan LJ’s approach to this issue, there would appear to be no indication that what would amount to a fairly significant shift in ministerial policy on a matter of substance was intended here, and so (contrary to the court’s decision in Embleton PC), the conclusion must be that an objective test substantially similar to the test laid down by Annex A of PPS7 must still be applied, notwithstanding the apparently less demanding requirement expressed by paragraph 55 of the NPPF.

I always said that it was folly for ministers to jettison the well established and clearly understood policy advice set out in PPGs and PPSs, and that the attempt to boil down statements of ministerial planning policy to a single document that was intended to comprise no more than 50 pages would lead to difficulty and uncertainty, and resulting litigation. So it has proved, and cases of which Embleton PC and Redhill Aerodromeare only a sample will continue to trouble the courts for some time to come, until or unless a future Secretary of State recognises that a more complete statement of ministerial planning policy, substantially in the form of the cancelled PPGs and PPSs, is the only way of resolving the problem.

© MARTIN H GOODALL

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Savings for old provisions in the GPDO

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NOTE: For completely up-to-date and comprehensive coverage of this subject, we would strongly recommend readers to obtain a copy of the author’s new book - “A PRACTICAL GUIDE TO PERMITTED CHANGES OF USE” published by Bath Publishing in October 2015. You can order your copy by clicking on the link on the left-hand sidebar of this page.

When I wrote the other day about Article 8 of the GPDO 2015, I mentioned the possibility that there may be some general rule of statutory interpretation which would preserve the effect of the repealed legislation, but I had not had time to look this up.

I am grateful to Fraser Kerr for reminding me of section 16 of the Interpretation Act 1978. Although we are dealing here with a statutory instrument rather than an Act of Parliament, under section 23 (1) the provisions of this Act apply (unless the contrary intention appears) to subordinate legislation made after the commencement of this Act as they apply to Acts of Parliament. Section 16(1) provides that where an Act repeals an enactment, the repeal does not (unless the contrary appears) affect the previous operation of the enactments repealed or anything done or suffered under that enactment.

This is enough, I think, to protect the effect of a prior approval already granted before 15 April 2015, and this provision should also suffice to enable any pending prior approval applications and/or appeals against their refusal to be determined after 15 April, whereupon any prior approval so granted could be acted upon, even though the prior approval application was made under the provisions of the 1995 Order. It would also appear that the relevant provisions (including any limitations, conditions or restrictions) applying to the permitted development in question would be those under the 1995 Order, rather than the 2015 Order, although I am not absolutely certain about this last point.

In other cases, where no prior approval application had been made before 15 April, or in any cases where no prior approval was required (and where development had not commended before 15 April), the permitted development will now be entirely governed by the provisions of the 2015 Order.

So far so good, but I don’t think this answers the second problem which I posed in my last post, namely whether dwelling units (or floorspace) converted under a relevant class in the 1995 Order (e.g. under Class MB) should be counted towards the numerical limit (or cumulative floorspace limit) in the corresponding Class in the 2015 Order (Class Q in the example given). I am not convinced that the Interpretation Act has that effect. In this connection, I also looked at section 18 of the Interpretation Act, but I am not convinced that this section has the effect of enabling the provisions of the former classes of development in Part 3 of the 1995 Order to be read as if they were equally applicable to the corresponding new Classes in Part 3 of the 2015 Order. But I am open to persuasion on this point.

This last issue is perhaps more important, from a practical point of view, than the first point I raised. I am assuming for the time being that I am right in thinking that the numerical and floorspace limits in respect of development carried out under the 1995 Order do not affect development subsequently carried out under the corresponding provisions of the 2015 Order, but (as before) I would welcome any comments from readers on this point.

[P.S. I wrote this piece before I had seen Tom Bright’s comment, which has now been published under the previous post. I will take a look at the other point he raises, regarding Article 4 Directions, and come back on this subject in a future post.]

© MARTIN H GOODALL

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Pity the poor otter

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SOMETIMES, when I’m feeling emotional, I feel quite sorry for those of you who haven’t yet experienced the delights of the San Juan Islands of Washington state, and their northern continuation, the Canadian Gulf Islands. For some reason, we don’t hear much about this sleepy, largely undeveloped archipelago of state parks and cozy anchorages. It doesn’t generate the publicity some other parts of the country enjoy, despite the fact that boating is big business here. Some of the largest sailboat charter companies in the country are located in the fascinating area known as the Salish Sea, which, of course, includes Puget Sound.

Here and there you’ll come across bustling resort harbors such as Friday Harbor and Roche Harbor where you can refuel, reprovision, and indulge in highly civilized gustation, but in the main the mantle that lies over these welcoming islands is one of peace and tranquility. Here the stars actually blaze at night and the moon throws solid black shadows on the deck.

The air that drifts off the islands smells sweetly of pine. The aspect that greets your eye is almost exactly the same, in most cases, as it was hundreds of years ago, when Native Americans plied these waters in their dug-out canoes. They still do, as a matter of fact, but now only occasionally, and for ceremony and pleasure rather than for a living.

The roiling currents provide a fecund, fertile habitat for a host of sea creatures ranging from whales, orcas, porpoises, and seals to geoducks, mussels, and those famous Dungeness crabs.

We have seen ospreys and puffins, eagles by the dozen, seagulls by the thousand, and even the shy, dainty phalarope. I had wanted to see a phalarope ever since the late Alan Paton wrote a novel called Too Late the Phalarope, and one calm day in the Strait of Juan de Fuca, my wife June and I came across a small tight-knit group of them floating on the water, fluttering and agitated for no reason we could discover, except that they might have been in a feeding frenzy.

But the sight that sticks on our minds right now is that of a tiny otter living on the Canadian side of the border, near South Pender Island. We cruised up to within a few yards of him before we could make out what was happening. He was lying on his back, clutching to his chest a small fish, and trying to take bites out of it. But he was surrounded by half a dozen large seagulls, all floating on the surface, jostling each other, pecking voraciously at his fish and trying to wrestle it away from him. Time after time he would submerge with his meal to get rid of the gulls, but he couldn’t stay under for long and as soon as he reappeared the birds would fly over with great squawks of indignation and continue the assault with their strong, sharp beaks.

I don’t know how that particular battle ended, because we soon drifted away, but we couldn’t help feeling sorry for that sweet little otter, outnumbered as he was. It wasn’t a fair fight, but of course Nature knows nothing about fairness, only survival and extinction, so even if we could have weighed in on the side of the otter it probably wouldn’t have made much difference to the Great Scheme of Things.

It makes me wonder about seagulls, though. They’re such shameless scavengers; rats with wings, really. How is it that they were given such desirable gifts? They’re beautiful to look at. Their flying skill is wonderful to behold. They can swim in water and walk on land.

Something unfair here, surely? Especially if you’re a decent law-abiding otter just trying to eat a peaceful lunch.

Today’s Thought

For nature is one with rapine, a harm no preacher can heal,

The Mayfly is torn by the swallow, the sparrow speared by the shrike,

And the whole little wood where I sit is a world of plunder and prey.

— Tennyson, Maud

Tailpiece

“What’s your opinion of bathing beauties?”

“Dunno. My wife’s never let me bathe one.”

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