ILLINOIS POLLUTION CONTROL BOARD
September 6, 1972
ENVIRONMENTAL PROTECTION AGENCY
Complainant,
v.
)
PCB 72—49
BENJ. HARRIS and COMPANY
Respondent.
OPINION AND ORDER ON APPLICATION FOR NON-DISCLOSURE (by
Mr. Parker)
This is an enforcement case brought by the Agency in which
Respondent, by Application filed August 30, 1972, seeks entry
of an Order of Non—Disclosure pursuant to our Procedural Rule
107. According to the Application, which is supported only by
argument of counsel, the information sought to be protected by
the Order is contained in documents which are assertedly
“privileged against introduction in judicial proceedings and...
kept confidential as a matter of course” (par. 1 of Application)
and “contain ‘trade secrets” (par. 2 of Application). The
documents, which apparently relate to salaries and sources of
supply of raw materials, have not been submitted for considera-
tion by the Board.
The relevant portions of the Act, and of our Procedural
Rules, provide that information may be subject to non-dis-
closure if it “constitutes a trade secret”, is “privileged
against introduction in judicial proceedings”, or concerns
“secret manufacturing processes or confidential data” (eg. see
Procedural Rule 107 (b) (1), (2) and (3)).
Mindful of the statutory requirement that hearings held
pursuant to the Act be open to the public, this Board in
adopting Procedural Rule 107 emphasized the public nature of
the proceedings and documents generated therein. The exceptions
to this general Rule of public access are limited in number and
narrowly defined in section (b) of the Rule.
Importantly, an application for non—disclosure must, in
keeping with Rule 107 (c), contain:
1. identification of the precise material, or parts
of material, for which nondisclosure is sought;
5
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351
2. citation of the particular category eligible for
nondisclosure into which the material falls; and
3. a concise statement of the reasons supporting non-
disclosure.
Needless to say, the showings made in accordance with
Rule 107 (c) must be adequate to show the existence of the
statutory exceptions themselves, i.e. here the existence of
a trade secret, whether information should in fact be treated
as privileged, and the fact that data is and has been treated
as confidential.
Respondent’s instant application fails to satisfy the
requirements of the Act and of Procedural Rule 107. Petitioner
has failed to identify the precise material, or parts of
material, sought to be withheld from the public (Rule 107 (c)
(1)). It follows that Petitioner also has failed to cite the
particular category eligible for non-disclosure into which
each item of material falls (Rule 107 (c) (2)).
Petitioner’s statement of reasons supporting non-disclosure
(Rule 107 (c) (3)) is generalized, and thus inadequate, e.g.
that disclosure “would or might adversely financially effect
Respondent”. The application on page 2 invokes the
“trade secret” exception, but no attempt is made to identify
what it is that Respondent considers to be a trade secret and
why. Even a minimal showing should include an affidavit or
other verified statement from an individual capable of speaking
for the company and having knowledge of the trade secret facts
(see our decision dated August 10, 1972 in Olin Corporation v.
EPA, PCB 72-253). The same applies to factual showings of
privilege.
The application for non-disclosure is denied without
prejudice to respondent’s later submission of an amended applica-
tion conforming to the requirements of the Act and Procedural
Rules and consistent with this opinion and order.
I, Christan Moffett, Clerk of the Illinois Pollution Control
Board, certify that the above Opinion and Order was adopted
this
~
day ~
,
1972 by a vote of ~ to
O
.
J(.~t~
~
/1
Christan Mo~fet~t
~—352