On December 8, 2025, in the case of New York v. Trump, the federal district court for the District of Massachusetts vacated orders from several federal agencies that implemented a moratorium on permitting and approvals for wind energy projects in response to one of the current administration’s “day one” executive actions. The court vacated the agencies’ orders and declared those orders unlawful, but it did not issue any relief with respect to specific wind energy projects or permits that had been affected by the agency moratoria.

This decision is consistent with court decisions under the former administration that similarly rejected agency moratoria on offshore oil and gas leasing in 2022 (Louisiana v. Biden, 622 F. Supp. 3d 267, 291-92 (W.D. La. 2022))and authorizations for the export of liquefied natural gas to countries without free trade agreements (Louisiana v. Biden, Case No. 24-cv-406, Mem. Ruling, ECF No. 72 (W.D. La. July 1, 2024)).

On January 20, 2025, the President issued a Presidential Memorandum (Memorandum) temporarily withdrawing all areas of the Outer Continental Shelf (OCS) from disposition for wind energy leasing under section 2 of the Outer Continental Shelf Lands Act. The Memorandum prohibited new or renewed wind energy leases on the OCS. While the Memorandum did not immediately affect existing leases, it directed the Secretary of the Interior – who oversees the Bureau of Ocean Energy Management (BOEM), which leases the OCS – to review existing offshore wind energy leases and consider legal bases to terminate or amend them.

The Memorandum also directed the Departments of the Interior, Agriculture, and Energy, as well as the Environmental Protection Agency, to decline to issue any new or renewed approvals, rights of way, permits, leases, or loans for both onshore and offshore wind projects, “pending the completion of a comprehensive assessment and review of Federal wind leasing and permitting practices” in light of alleged inadequacies in previous reviews under the National Environmental Policy Act.

On the same day the President issued his memorandum, the Secretary of the Interior issued an order temporarily suspending all delegations of authority within the Department to issue any onshore or offshore renewable energy authorization. While that order stated that it would remain in effect for sixty days, the Court found that Interior and other agencies had continued their temporary pause on issuing permits for wind energy projects beyond that time frame. And on July 30, 2025, BOEM rescinded all designated Wind Energy Areas (WEAs) on the OCS; WEAs were areas that were designated as suitable for wind energy development as a necessary step in the agency’s multi-stage planning process for offshore wind development, but had not yet been leased for wind energy development.

Seventeen states (Arizona, California, Colorado, Connecticut, Delaware, Illinois, Maine, Maryland, Massachusetts, Michigan, Minnesota, New Jersey, New Mexico, New York, Oregon, Rhode Island, and Washington) and the District of Columbia sued the federal agencies that were the subject of the Memorandum. The states asserted claims under the Administrative Procedure Act (APA), arguing that the agencies’ implementation of the Memorandum was arbitrary and capricious and contrary to law, and seeking an order vacating the Memorandum.

The Court first determined that the states had standing to sue, having suffered injury because of decreased tax revenue and increased energy costs resulting from delayed and cancelled wind projects, and because of the harm to the states’ clean energy and greenhouse gas reduction goals. The Court also found that an intervenor group, the Alliance for Clean Energy New York, had standing to sue via its members, who operate (or seek to operate) wind projects in thirty-two states and provide products and services in the wind energy supply chain, and who have suffered economic injuries as a result of the Memorandum.

Turning to the merits, the Court held that the agencies’ actions implementing the Memorandum – that is, the pause on approvals for wind projects – were final agency actions reviewable under the APA. This section of the decision relied on several cases in holding that various kinds of moratoria were final agency actions with respect to the moratoria, and were therefore reviewable under the APA.

The Court next found that, although the APA does not apply to a presidential memorandum or other directive, the APA does apply to the agency actions implementing that directive, which must follow the APA’s requirements that agencies provide a reasoned explanation for their decisions. The Court distinguished a recent order on the Supreme Court’s emergency docket involving the issuance of passports. That decision had limited arbitrary and capricious review in situations where the relevant statute requires the agency to follow the President’s directives, and thus leaves no room for agency discretion.

In New York v. Trump, by contrast, the Court noted that several statutes direct agencies to promptly process wind energy permit applications, and do not commit the disposition of those applications to the President’s discretion. In fact, the federal defendants conceded that “no statute expressly requires them to follow rules prescribed by the President regarding wind energy authorizations.” Because the agencies had only considered the Memorandum and the Secretary of the Interior’s order suspending the issuance of permits for wind energy projects, the Court found that the agencies had not “reasonably considered the relevant issues and reasonably explained the[ir] decision” as the APA requires. The Court also found that the agencies’ moratorium on wind energy permitting was “contrary to law” because several laws relating to wind energy permitting either contain fixed deadlines applicable to permit processing or require the agencies to act promptly, and because the APA itself requires reasonably expeditious agency proceedings. See 5 U.S.C. §§ 555(b), 558(c). Thus, the Court vacated the agency orders pausing wind energy permitting and declared them unlawful.

The decision in New York v. Trump does not address the legality of the Memorandum itself, and does not speak to the merits of any particular project or application. In fact, the Court notes that the APA does not require any particular result when the agencies process specific permit applications. Rather, the case makes clear that permitting agencies cannot justify further delays on permit processing by relying on the Presidential Memorandum or awaiting completion of the “comprehensive assessment” it calls for. To comply with the Court’s decision, agency staff  should resume processing permits for individual wind projects. In the event agencies continue to slow-walk wind permit applications, applicants are likely to rely on this decision as a predicate for “failure to act” claims under the APA (see 5 U.S.C. 706(1)).

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Photo of Ed Roggenkamp Ed Roggenkamp

Ed Roggenkamp is an environmental attorney with over a decade of experience resolving complex litigation and regulatory matters. In his litigation practice, Ed uses his skills as a former professional actor and teacher to help his clients in court by crafting a compelling

Ed Roggenkamp is an environmental attorney with over a decade of experience resolving complex litigation and regulatory matters. In his litigation practice, Ed uses his skills as a former professional actor and teacher to help his clients in court by crafting a compelling story for the judge or jury and explaining complex technical concepts so that they are easy to understand. His litigation practice has included challenges to environmental impact reviews for infrastructure projects under the National Environmental Policy Act (NEPA) and its state equivalents, cases seeking recovery of remediation costs under the Comprehensive Environmental Response, Compensation and Liability Act (CERCLA) and related state statutes and common-law torts, toxic tort claims, and enforcement actions and citizen suits under the Clean Air Act, Clean Water Act, Resource Conservation and Recovery Act, and other environmental statutes. Ed has been lead counsel on CERCLA cases through summary judgment, and has deep experience with all aspects of discovery, including work with expert witnesses, taking and defending depositions, motion practice, and settlement negotiations.

Ed advises project developers and financing parties on siting and permitting requirements for infrastructure and energy projects, including both renewable and traditional electricity generation, and has advised a renewable industry trade association on the application of NEPA, the Endangered Species Act, and the Marine Mammal Protection Act to offshore wind development. Ed advises clients on the environmental aspects of corporate transactions and project development, such as pre-purchase environmental due diligence (Phase I/Phase II reports), indemnity provisions, representations and warranties relating to environmental matters, brownfield redevelopment, and regulatory compliance. He has advised on numerous transactions involving the energy sector, including power purchase agreements for utility-scale solar, purchases and sales of fossil-fuel-fired power plants, wind farms, and proposed offshore wind developments on the East Coast, and NEPA review and protected species mitigation measures for electric transmission lines. Ed’s extensive litigation experience helps him to advise clients on ways to reduce litigation risk during the siting and permitting phase of project development. His government service includes advising on NEPA and National Historic Preservation Act compliance for clean energy and infrastructure projects, including electric transmission lines, industrial redevelopment projects, and hydroelectric generation incentives.

Ed has worked extensively with technical and scientific experts in both litigation and development work. In the litigation context, this has focused on the remediation of real estate contaminated by historic industrial operations. He has experience with the remediation of chlorinated solvents, metals, petroleum products, and other contaminants of concern, and with the remediation of manufactured gas plants, municipal landfills, petroleum storage sites, mine tailings, and industrial sites in various sectors including automobiles, pharmaceuticals, textiles, and dyes. In the litigation context, this has included both affirmative and defensive work with environmental experts such as engineers and toxicologists, and non-environmental experts such as property appraisers and commercial leasing experts.

Outside of litigation, Ed has experience in NEPA review for electric transmission lines and offshore wind farms, and has also advised on best practices for aligning the environmental impact review process with the requirements of NEPA in order to minimize litigation risk and public opposition. He has also worked alongside environmental engineers to guide the remediation of contaminated real estate, in order to help his clients seeking minimize health risks and remediation costs, avoid liability, comply with state brownfield cleanup program requirements, proactively take steps to increase the likelihood of recovering costs from insurers and other liable parties.

Ed has presented regularly on a wide variety of environmental and energy law issues, and spent several years as the primary editor of the climate change and Clean Air Act section of a legal treatise on environmental enforcement.

Prior to joining Greenberg Traurig, Ed served as an attorney-advisor for the Office of the Assistant General Counsel for Environment at the U.S. Department of Energy.

Photo of Courtney M. Shephard Courtney M. Shephard

Courtney Shephard guides energy companies through complex regulatory landscapes in the Rocky Mountain West. Her experience spans conventional and low-carbon energy production, with a focus on federal regulatory compliance, permitting strategies, and resolving enforcement matters.

At the core of Courtney’s work is her

Courtney Shephard guides energy companies through complex regulatory landscapes in the Rocky Mountain West. Her experience spans conventional and low-carbon energy production, with a focus on federal regulatory compliance, permitting strategies, and resolving enforcement matters.

At the core of Courtney’s work is her comprehensive approach to environmental compliance. She adeptly maneuvers through complex federal mandates—including NEPA, Clean Air Act, and Endangered Species Act requirements—and handles federal administrative appeals. Her experience includes crafting site-specific development strategies for localized development challenges that with the goal of achieving both environmental protection and development objectives.

Leveraging her background in climate policy analysis, carbon market dynamics, and emissions accounting, Courtney collaborates with clients to develop comprehensive carbon management strategies. Her practice includes methane and CO2 reduction strategies, Class VI storage permitting, and pore space acquisitions. She also represents clients in rulemaking and permitting proceedings before the Colorado Energy & Carbon Management Commission.

Access to adequate water supplies is a common project development challenge in the arid western United States. Courtney has more than a decade of experience working with private and municipal clients to appropriate, buy/sell, change, and protect water rights through private transactions and Colorado water court proceedings.

Courtney’s strategic vision and comprehensive understanding of regulatory frameworks have been instrumental in advancing numerous energy and infrastructure projects throughout the region. Her ability to synthesize complex regulatory requirements with practical business needs make her an asset to clients navigating the ever-changing energy landscape.

Photo of Steven C. Russo Steven C. Russo

Steven C. Russo co-chairs the Environmental Practice and chairs the firm’s New York Environmental Practice. He focuses his practice on environmental law and litigation, permitting, National Environmental Policy Act (NEPA), State Environmental Quality Review Act (SEQRA) review, energy project siting, renewable energy, Brownfields

Steven C. Russo co-chairs the Environmental Practice and chairs the firm’s New York Environmental Practice. He focuses his practice on environmental law and litigation, permitting, National Environmental Policy Act (NEPA), State Environmental Quality Review Act (SEQRA) review, energy project siting, renewable energy, Brownfields redevelopment, toxic tort litigation, including emerging contaminants, environmental crimes, government law and policy and the environmental review and permitting, environmental due diligence and risk management, and the environmental components of land use and real estate law. Steven is equally experienced litigating in federal and state courts, as well as counseling his clients with regard to the development of major industrial, energy and residential development projects. He also practices election and campaign finance law.

Prior to joining the firm, Steven was the Chief Legal Officer of the New York State Department of Environmental Conservation. There, he supervised approximately 90 attorneys in Albany, as well as the agency’s nine regional offices. He also supervised the agency’s legislative affairs department and Office of Environmental Justice. At the agency, Steven initiated a reform of the state’s environmental impact review regulations and assessment forms, completed the issuance of new power plant siting regulations pertaining to environmental justice and carbon emissions, and revised the agency’s environmental audit policy.