BEFORE THE ILLINOIS POLLUTION
 CONTROL BOARD
Cl
PEOPLE OF THE
 STATE OF ILLINOIS,
 )
)
Complainant,
 ~I/1TEOF
 p0//ut!
 ILLINOIS
V.
 )
 PCBNO.
 02-177
 ~flCont~0j8
)
 (Enforcement)
JOHN
 PRIOR,
 dibla
 PRIOR OIL COMPANY,
 ).
amd JAMES MEZO,
 dlbla
 MEZO OIL
 )
COMPANY,
Respondents.
NOTICE
 OF FILING
To:
 John Prior
 James
 Mezo
421
 North
 Morrison
 418
 East Main
 Street
Central
 City,
 Illinois 62801
 P.O.
 Box 220
Benton,
 Illinois 62812
PLEASE TAKE
 NOTICE that on this
 date
 I
 mailed for filing with
 the Clerk of the Pollution
Control
 Board of the State of Illinois, a
 MOTION
 FOR WAIVER OF REQUIREMENTS and
PEOPLE’S POST-TRIAL BRIEF,
 a
 copy of which is attached
 hereto and
 herewith served
 upon
you.
Respectfully submitted,
PEOPLE OF THE STATE OF
 ILLINOIS
LISA MADIGAN
Attorney General
 of the
State
 of Illinois
MATTHEW
 J.
 DUNN, Chief
Environmental Enforcement/Asbestos
Litigation
 Division
BY:~41L~
.6~LL~
SALLY~.CARTER
Assistant Attorney General
Environmental Bureau
500 South
 Second Street
Springfield,
 Illinois
 62706
21 7/782-9Q31
Dated:______________
CERTIFICATE OF SERVICE
I
 hereby certify that
 I
 did on
 the 27th
 day of October, 2003,
 send by
 First Class
 Mail, with
postage thereon fully
 prepaid,
 by depositing
 in
 the United States
 Post Office Box a true and
correct copy of the following instruments
 entitled
 NOTICE OF FILING,
 MOTION
 FOR WAIVER
OF REQUIREMENTS and
 PEOPLE’S POST-TRIAL BR1EF
Tc:
 John
 Prior
421
 North
 Morrison
Central
 City,
 Illinois 62801
James
 Mezo
418 East Main
 Street
P.O.
 Box 220
Benton,
 Illinois 62812
a~d
 the original and
 ten copies
 by
 First Class
 Mail with
 postage thereon fully prepaid
 of the
same foregoing
 instrument(s)
To:
 Dorothy Gunn, Clerk
Pollution
 Control
 Board
100 West
 Randolph, Suite
 11-500
Chicago,
 Illinois 60601
A true and
 correct copy was also sent
 to:
Carol Sudman
Hearing
 Officer
Pollution
 Control
 Board
1021
 North Grand
 Avenue East
Springfield,
 Illinois 62794
AtL~~ti
SALLY A. CARTER
Assistant Attorney General
This filing is submitted
 on recycled
 paper.
BEFORE THE ILLINOIS POLLUTION CONTROLBOARD
RECEIVED
PEOPLE OF THE STATE OF ILLINOIS,
 )
 C1FP~’S(~)FFTCE
Complainant,
 )
 OC
 1
 2
 92003
V
 )
 PCB NO
 02-177.
 STATE
OF
 ILLINOIS
)
 (Enforcement)
 Pollution
 Control Board
JOHN
 PRIOR,
 dlbla
 PRIOR OIL COMPANY,
 )
 and
 JAMES MEZO,
 dlb/a
 MEZO OIL
 )
COMPANY,
Respondents.
 )
MOTION
 FOR WAIVER OF REQUIREMENTS
Complainant,
 PEOPLE OF THE STATE
 OF ILLINOIS,
 by Lisa Madigan, Attorney
General of the State of Illinois,
 hereby moves
 the
 Illinois
 Pollution
 Control
 Board
 (“Board”) to
waive certain
 requirements,
 namely that the People’s
 Post-Trial Brief not exceed fifty (50)
pages
 as
 required
 by
 35
 Ill.
 Adm.
 Code
 101.302(k).
 In
 support of
 its
 Motion,
 the Complainant
states the following:
1.
 On
 April
 19,
 2002, the complaint was brought against the Respondents
 in the
name of the People of the State
 of Illinois,
 by James
 E.
 Ryan,
 Attorney General
 of the State of
Illinois,
 on
 his own motion
 and at the request of the
 Illinois Environmental Protection
 Agency
(“Illinois
 EPA”).
2.
 The thirty-five (35)
 page
 complaint alleged
 a multitude of land
 pollution and water
pollution violations at four oil production
 sites.
 In
 particular, the complaint pled that John
 Prior
(“Prior”) open dumped oil
 production fluids and other wastes at the Gompers
 site.
 The People
further asserted that
 Prior improperly
 released crude oil
 to
 State waters from the Wamac City
Park site, the
 Mezo Oestreich
 tank battery and the Morgan
 Kalberkamp site.
 Finally, the
People alleged that James Mezo’s
 improper release
 of crude oil
 at the
 Mezo
 Oestreich tank
battery caused water pollution.
3.
 Concurrently with this
 Motion,
 Complainant is submitting
 a
 Post-Trial
 Brief to the
Board for filing that is
 in excess
 of fifty pages in
 length.
4.
 Complainant has diligently attempted to
 restrict the length of
 Complainant’s Post-
Trial Brief,
 but has
 found it impossible
 to abide by the fifty-page
 limit and fully set forth the
numerous complex matters that must be
 discussed
 by the
 Complainant to provide a thorough
analysis of the applicable
 law and facts in
 support of the Complainant’s
 position.
 In addition,
 as
the Complainant’s analysis is dispositive
 to the outcome of the case,
 a thorough
 review of the
applicable
 law and facts
 is warranted by
 the People in this
 case.
WHEREFORE, for the reasons set forth above,
 the PEOPLE
 OF THE STATE
 OF
ILLINOIS
 requests that the
 Board
 provide
 approval for the People’s Post-Trial
 Brief for filing in
excess of 50
 pages.
Respectfully submitted,
PEOPLE OF THE
 STATE OF ILLINOIS
LISA MADIGAN
Attorney General of the
State
 of Illinois
MATTHEW
 J.
 DUNN, Chief
Environmental Enforcement/Asbestos
Litigation
 Division
BY:
 ~Jt~.I
 ~
 .
SALLY
A.
 CARTER
Assistant Attorney General
Environmental Bureau
500 South
 Second Street
Springfield, Illinois
 62706
217/782-9031
Dated:
 (O/~/O3
RECE~VE~
CL.ER~’S
 OFFICE
BEFORE THE ILLINOIS POLLUTION
 CONTROL BOARD
 OCT
 2
 92003
PEOPLE OF THE STATE
 OF ILLINOIS,
 )
 STATE OF ILLINOIS
)
 Pollution
 Control Board
Complainant,
Vs.
 )
 No. 2-177
 )
JOHN
 PRIOR,
 d/bla
 PRIOR OIL
 COMPANY,
 )
and JAMES
 MEZO,
 dlbla
 MEZO OIL COMPANY,
 )
Respondents.
 )
PEOPLE’S POST-TRIAL
 BRIEF
The Complainant, PEOPLE
 OF THE
 STATE OF ILLINOIS,
 has established that John
Prior’s open dumping
 of oil production fluids and
 other wastes
 at the Gompers site has
 not
 only
caused
 land
 pollution violations
 but has also
 threatened nearby surface and
 ground water.
Second,
 the People have
 proven that John
 Prior’s improper releases of crude oil from the
Warnac City Park site,
 the
 Mezo Oestreich tank battery and the Morgan Kalberkamp
 site have
not only caused Water pollution but have threatened
 nearby vegetation, State
 waters, the public
and aquatic life.
 In the same token, the People have
 verified that James
 Mezo’s improper
release of crude oil
 at the
 Mezo Oestreich tank battery caused water pollution and
 threatened
nearby vegetation,
 State waters,
 the public and aquatic life.
TABLE OF CONTENTS
I.
 INTRODUCTION
 4
Il.
 VIOLATIONS
 6
A.
 John Prior’s Violation of
 Section 2 1(a) of the Act at
 the Gompers site.
 6
B.
 John Prior’s Violation of
 Section 21 (p)(1)
 of the Act at the Gompers site.
 9
C.
 John
 Prior’s
 Violation
 of Section
 21(p)(6) of the Act at the Gompers site.
 10
D.
 John
 Prior’s Violation
 of 35
 III.
 Adm.
 Code 812.101(a) and
 Section
 21(d) of
 11
the Act at the Gompers site.
1
E.
 John
 Prior’s Violation
 of Section
 21(e)
 of the Act at
 the Gompers site.
 13
F.
 John
 Prior’s Violation
 of 35
 III.
 Adm.
 Code 722.111
 and
 Section
 14
21 (d)(2) of the Act
 at the Gompers
 site.
G.
 John Prior’s Violation of 35
 III. Adm.
 Code 739.122(c) and Section
 15
21 (d)(2) of the Act at
 the Gompers site.
H.
 John Prior’s Violation
 of 35
 III. Adm. Code 739.122(d) and
 Section
 16
21 (d)(2) of the Act at the Gompers site.
John
 Prior’s Violation
 of 35
 III. Adm.
 Code 808.121
 and Section
 18
21 (d)(2) of the Act at the Gompers
 site.
J.
 The Respondents’ Violation
 of Section
 12(a) of the Act.
 .
 19
1.
 The Respondents caused or allowed the discharge
 19
of contaminants
 into
 the environment.
2.
 The Respondents’ releases caused or tended to
 19
cause water pollution.
a.
 The alteration
 of the physical,
thermal, chemical, biological or
radioactive properties of any water
of the State.
 20
1.
 Count VIII
 21
2.
 Count XII
 21
3.
 Count XV
 22
b.
 Or such discharge
 of any
 .
 22
contaminant into
 any waters of the State.
c.
 As will or is likely to create one of four things.
 22
3.
 Alternatively, the
 People have
 proven a
 Section
12(a) violation
 by establishing
 that the
Respondents violated 35
 III. Adm.
 Code 302.203.
 24
K.
 The Respondents’ violation of Section
 12(d)
 of the Act.
 25
L.
 John
 Prior’s Violation of 35
 III. .Adm.
 Code 739.122(d) and
 Section
 26
21 (d)(2) at the Park Site.
M.
 Defenses.
 27
2
1.
 James Mezo’s Transfer Argument for the
 Mezo
 Oestreich
 27
site is Without
 Merit.
2.
 John
 Prior’s Allegations of Vandalism
 Does
 Not
 28
Negate Prior’s Violations of the Act.
III.
 THE
 BOARD SHOULD
 IMPOSE A
 SUBSTANTIAL MONETARY
 PENALTY
 33
BASED
 ONSTATUTORYPENALTY FACTORS
A.
 Section
33(c)
Factors.
 35
1.
 The character and degree
 of injury or interference.
 35
2.
 The social and economic value of the pollutional
 source.
 36
3.
 The suitability or unsuitability of the pollution source.
 37
4.
 The technical
 practicability and
 economic reasonableness of compliance.
 37
5.
 Subsequent compliance.
 37
B.
 Section 42(h)
 Factors.
 39
1.
 The duration and gravity
 of the violation.
 39
a.
 Duration.
 39
b.
 Gravity.
 40
2.
 The presence or absence of due diligence.
 42
3.
 Economic benefit.
 44
4.
 The amount of penalty which will serve to deter or enhance
 46
voluntary compliance.
5.
 Previously adjudicated violations of the Act.
 47
IV.
 RELIEF
 REQUESTED
 49
A.
 Statutory
 Maximum Penalty.
 49
B.
 Attorney’s
 Fees.
 51
1.
 Repeated
 violations.
 52
2.
 Reasonableness of attorney’s fees.
 53
3
I.
 INTRODUCTION
The People call
 upon the
 Board
 to
 censure multiple and
 repeated violations
 of the Act
and
 the Board’s regulations committed
 by John Prior (“Prior”)
 on or about June
 13,
 1996,
through March
 12, 2003,
 at the Gompers site.
 By causing or allowing
 the open
 dumping of
waste at a disposal site upon his property through the consolidation of refuse
 from one or more
sources,
 Prior violated
 Section 21(a) of the Act, 415 ILCS 5/21(a)
 (2000).
 Count
 I.
 Due to
 the
waste resulting
 in
 litter at
 the Gompers site,
 Prior violated
 Section 21 (p)(1)
 of the Act, 415
 ILCS
5/21 (p)(1)
 (2000).
 Count
 I.
 Moreover, Prior caused
 or allowed the open
 dumping of liquid crude
oil
 in a manner that resulted in standing or flowing
 liquid from the Gompers site
 and thereby
violated
 Section 21(p)(6) of the Act, 415
 ILCS 5/21 (p)(6). Count
 I.
 By conducting a waste-
storage or waste-disposal
 operation upon the Gompers site without
 a permit granted
 by the
Illinois
 EPA and
 by storing, disposing or abandoning waste
 at the Gompers site,
 a site that does
not meet the requirements of the Act, Prior respectively violated Sections
 21(d) and
 (e) of the
Act, 415
 ILCS 5/21(d) and
 (e) (2000).
 Count
 II.
 Prior also developed and
 operated a
 landfill
without a permit issued by the Illinois EPA and thus,
 violated 35
 Ill. Adm.
 Code 812.101 (a) and
Section
 21(d)(2) of the Act. Count Ill.
 By generating a solid waste and failing
 to determine
whether the waste
 is a
 hazardoUs or a special
 waste,
 Prior respectively violated 35
 III. Adm.
Code 808.121
 and
 35111. Adm. Code 722.111
 and
 Section 21(d)(2) of the Act.
 Count
 IV, VII.
 By
failing to
 label containers storing
 used
 oil,
 Prior violated 35
 Ill.
 Adm. Code 739.122(c) and
Section
 21 (d)(2) of the Act.
 Count V.
 Lastly, at the Gompers site,
 upon detecting a release of
used
 oil
 to the environment, Prior violated
 Section
 35111. Adm.
 Code 739.122(d) and
 Section
21(d)(2) of the Act,
 by failing to stop the release, contain the released used
 oil, clean
 up and
properly manage the released used oil
 and
 other material
 and repair or replace any leaking
used
 oil storage
 containers or tanks prior to returning
 them to service.
 Count VI.
4
In
 addition, the
 People request that the
 Board
 objurgate violations committed
 by
 Prior
on
 or about July 21,
 1997,
 violations
 committed
 by Prior and James
 Mezo (“Mezo”) on
 or about
June
 30,
 1997,
 and
 violations committed by
 Prior on
 or about July
 19, 2000.
 For these
 three
incidents, the Respondents violated
 Section
 12(a) of the Act, 415
 ILCS 5/12(a) (2000),
 by
causing, allowing
 or threatening the discharge of contaminants to the waters of the State so as
to
 cause or tend to cause water pollution or to violate the Board’s regulations or standards.
Counts VIII, XII,
 XV.
 At the three
 release sites, the Respondents caused offensive conditions
 in
violation of the water quality standards,
 35
 III. Adm.
 Code 302.203.
 Counts
 XI, XIV, XVI.
 On
two occasions, the Respondents violated
 Section
 12(d) of the Act, 415 ILCS
 5/12(d) (2000), by
depositing contaminants upon the
 land
 in such
 place and
 manner as
 to
 create a water pollution
hazard.
 Counts X, XIII.
 Lastly on one
 occasion,
 Prior, upon detecting a release of used oil
 to
the environment, violated
 Section 35
 III.
 Adm.
 Code 739.122(d)
 and Section 21(d)(2) of the Act,
415
 ILCS 5/21(d)(2),
 by failing to stop the release, contain the released
 used oil,
 clean up and
properly manage the release
 used oil
 and other material
 and
 repair or replace any leaking
 used
oil storage containers or tanks prior to returning them
 to service.
 Count IX.
At hearing,
 the People presented
 evidence
 confirming the above violations and
 that
Prior’s repeated inaction demonstrates
 his disregard for the level of compliance each person
must exercise to
 comply with the Act and associated
 regulations.
 In
 support of civil penalties,
the People offered evidence
 of Prior’s lack of due diligence,
 including
 proof that
 Prior not only
directed his employees
 to open burn, but dumped waste
 back on site
 in defiance of Illinois
 EPA
instruction to
 excavate and
 properly remove the waste.
 (Day
 1, Ti.
 at 24,
 57);
 see also,
People’s Exhibit 4 and 6.
 This evidence fully supports the People’s
 request for a violation
finding for all counts of the Complaint;
 for the imposition of an appropriate and substantial
5
penalty,
 representative of the serious nature of the violations; and
 for the award of reasonable
attorney’s fees.
II. VIOLATIONS
A.
 John
 Prior’s Violation of Section
 21(a)
 of the Act at the Gompers site.
As supported
 by the testimony of Mr.
 Michael Grant (“Grant”) and
 Mr. Chris Cahnovsky,
the alleged
 land
 pollution violations at
 140 Gompers Street, Wamac (“Gompers site”) have
been substantiated
 by Complainant.
Section 21(a)
 of the Act, 415
 ILCS 5/21(a) (2000), provides:
No person shall:
Cause or allow the open dumping of any waste.
The testimony of Grant and
 Chris Cahnovsky have clearly verified the open dumping of
waste on site.
 On June
 13,
 1996,
 Grant observed a hose
 running from a
 Prior Oil tanker truck
into an abandoned
 mine shaft; the hose discharged an oily
 substance to the ground
 in
 close
proximity to the mine shaft.
 (Day
 1,
 Tr.
 at
 16-17);
 see
 a/so,
 People’s Exhibit
 2.
 When
questioned about the oily discharge,
 an employee of
 Prior’s,
 Mr. Juvenile
 Hixenbaugh,
 admitted
to discharging
 storm water from tank battery containment dikes.1
 However,
 Mr.
 Larry Bengal,
Supervisor of the Oil
 and Gas
 Division,
 Illinois Department of Natural Resources
 (“Illinois
 DNR”)
stated that clean storm water discharge does
 not exist in tank battery containment dikes.
Accordingly,
 Illinois DNR regulations do not permit the discharge of containment dike storm
water fluid.
 (Day 2, Ti. at
 16).2
 On June
 13,
 1996, Grant further beheld
 a
 pile of off-rim tires
The Illinois DNR regulates and permits the hauling of liquid
 oil
 field
 waste
 in Illinois.
 (Day 2,
 Tr.
at
 16-17).
 At the time of the incident, Prior did not maintain the required disposal
 and hauling permits from
the Illinois DNR.
 (Day
 1,
 Tr. at 16,
 Day 2,
 Tr. at 17).
2
According to
 Illinois DNR, Oil and
 Gas
 regulations, storm water collected from tank battery
containment dikes may not be discharged into an abandoned
 mine
 shaft.
 (Day
 1,
 Tr.
 at 19);
 see
 also,
People’s Exhibit
 2.
6
and
 a considerable amount of stained
 soil abutting two unlabeled and opened
 drums of
 used
oil.
 (Day 1, Tr. at 17-19);
 see also,
 People’s
 Exhibit
 2.
OnAugust 22, 2000, Chris Cahnovsky observed a pit about 20-feet-long by 10-feet-wide
by 7-feet-deep containing an oldBBQ grill, car parts, plastic containers, paint cans, clothes,
absorbent pads, landscape waste and approximately 70 gallons ofan oil-like substance. (Day
1, Tr. at 40-41);
 see also,
 People’s Exhibit 3. A day later, Chris Cahnovsky returned to sample
the oil-like substance and ultimately determined that itwas crude oil, an ignitable waste, that
met the definition of a Department of Transportation (“DOT”) flammablewaste, a special waste,
and that
 it contained
 toluene, ethylbenzene, benzelethelene, xylene, other polynuclear
aromatics and
 2, 4, 6 tri-bromophenal
 (Day
 1, Tr.
 at 43-47);
 see also,
 People’s
 Exhibit
 3.
On August 29, 2000,
 Chris Cahnovsky revisited the Gompers site;
 conditions
 had not
changed since the August 22, 2000,
 visit.
 (Day
 1,
 Tr. at 48);
 see also,
 People’s
 Exhibit
 3.
 Two
days
 later, Chris Cahnovsky returned to witness pit
 excavation activities.
 He
 noted
 that waste
had
 been removed from the
 pit and
 placed in
 a 20-yard roll-off box.
 (Day
 1,
 Tr. at 48-49);
 see
also,
 People’s Exhibit
 3.
 While on site,
 Chris Cahnovsky beheld
 a large amount of used
 oil on
the ground and on top of two unlabeled
 30-gallon drums on the southwest
 side of the
 shop.
(Day
 1, Tr.
 at 49-50);
 see also,
 People’s Exhibit
 3.
A few months
 passed and
 in
 November 2000, the
 Illinois
 EPA returned
 to
 the Gompers
site to respond to an open
 burning complaint.
 A new trench
 contained smoking plastic bags of
straw and oil.
 (Day
 1, Tr.
 at 20-23);
 see also,
 People’s
 Exhibit 4.
 Adjacent to
 this location,
Grant observed another area of dumped oil
 and contaminated
 straw.
 (Day
 1,
 Tr. at
 23);
 see
also,
 People’s
 Exhibit 4.
 At the time of the incident, Prior admitted
 to
 instructing his employees
to
 burn the waste even though he knew this violated
 State environmental
 laws.
 (Day
 1,
 Tr. at
24);
 see also,
 People’s
 Exhibit 4.
7
In response to a complaint that oil well development waste had been dumped in a hole
behind the Prior Oil Company shop, Chris Cahnovsky reinspected the site on December 5,
2000.
 (Day 1, Tr. at 52-53);
 see also,
 People’s
 Exhibit 6. Upon arrival, Chris Cahnovsky
became aware of an oil stained area
 approximately 100 feet south
 of therailroad tracks.
 Due
to tire tracks leading
 up
 to the
 oil stained area,
 he concluded that a truck backed in
 and dumped
the
 waste.3
 (Day
 1,
 Tr.
 at 54);
 see also,
 People’s Exhibit
 6.
 A Prior Oil Company tanker truck
and vehicle tracks
 led
 to oily waste in dense vegetation and
 concrete rubble.
 (Day
 1,
 Tr.
 at 55-
57);
 see also,
 People’s Exhibit
 6.
 Finally, many of the waste items observed
 in the
 pit
 on
August 22 and subsequently excavated and
 placed
 into a roll-off box on August 31,
 2000, were
now dumped
 back on the ground on
 December
 5,
 2000.
 (Day
 1,
 Tr.
 at 57);
 see also,
 People’s
Exhibit 6.
Despite Prior’s commitments to clean
 up the site
 by January 2001,
 it was not until
 March
2003, that
 Prior supplied the necessary documentation verifying compliance.
 Prior
 never
submitted receipts for the disposal
 of general trash and tires.
 (Day
 1,
 Tr.
 at 65-68);
 see also,
People’s
 Exhibit
 9.
At the time of the violations, the definition of “waste” was set forth
 at Section
 3.53 of the
Act, 415 ILCS
 5/3.53
 (2000), and
 stated as follows:
“WASTE” means any garbage,
 sludge from a waste
 treatment plant,
 water supply
treatment plant,
 or air pollution control
 facility or other discarded
 material,
 including
solid,
 liquid,
 semi-solid, or contained
 gaseous material resulting from
 industrial,
commercial, mining and
 agricultural operations,
 and from community activities, but does
 not include
 solid or dissolved
 materials
 in
 irrigation return flows, or coal
 combustion by-
products as defined.in Section 3.94,
 or industrial
 discharges which are point sources
subject
 to permits
 under Section
 402 of the Federal Water
 Pollution Control Act, as
 now
or hereafter amended, or source,
 special nuclear, or by-products
 materials as defined
 by
the Atomic Energy Act
 of 1954,
 as amended,
 (68 Stat. 921) or any solid or dissolved
material from
 any facility subject to the
 Federal Surface Mining
 Control and
 Reclamation
~At the time of this incidence,
 Prior did not possess any permits
 from
 Illinois DNR, Oil and
 Gas
Division, to
 haul
 oil
 field waste.
 (Day
 1, Tr.
 at
 54-55);
 see a/so,
 People’s
 Exhibit
 6.
8
Act of 1977 (P.L. 95-87) or the rules and regulations thereunder orany law or rule or
regulation adopted by the State of Illinois pursuant thereto.
The items observed by Grant and Chris Cahnovsky such as the oil, used orwaste tires, an old
BBQ grill, car parts, plastic containers, paint cans, clothes, absorbent pads, landscape waste,
and oil-contaminated straw, clearly constitute discarded material as provided by the definition of
waste.
Grant and
 Chris Cahnovsky testified Prior never attained a permit from the Illinois EPA
authorizing
 the development of a waste storage or waste disposal
 operation
 at the Gompers
site.
 In addition, both gentlemen stated Prior did not acquire a permit to develop and operate a
landfill from the Illinois EPA. (Day 1, Tr. at 15, 36-37).
As demonstrated
 by
 the uncontested
 facts,
 Prior open dumped waste from one or more
sources
 at the Gompers site.
 Furthermore,
 Prior did not have a permit from
 the
 Illinois
 EPA,
and the Gompers’s site
 did
 not meet the other criteria of a sanitary landfill contrary to the
requirements of Section
 21(a) of the Act, 415
 ILCS 5/21(a)
 (2000).
 It should be
 noted that the
People
 have proven that
 Prior has
 caused or allowed the open
 dumping of various waste items
on
 site.
 In
 particular, the Respondent has
 caused or allowed the open dumping of oil,
 used or
waste tires,
 an
 old
 BBQ grill, car parts,
 plastic containers, paint cans,
 clothes, absorbent pads,
landscape waste, and
 oil-contaminated
 straw.
 These
 uncontested facts thereby fulfill the
requirement of Section 21(a) of the Act that a “consolidation
 of refuse
 from one or more
sources” took place on ,site.
 People
 v.
 Conrail,
 245
 III. App.
 3d
 167,
 613 N.E.
 2d 784
 (5th
 Dist.
1993).
B.
 John
 Prior’s
 Violation of Section
 21 (p)(1) of the Act at the
 Gompers
 site.
Section 21(p)(1) of the Act, 415 ILCS 5/21(p)(l) (2000), provides:
No person shall:
9
In violation of subdivision (a) of this Section, cause or allow the open
dumping ofanywaste in a mannerwhich results in any of .the following
occurrences at the dump site:
1
.
 litter.
The waste open dumped at Prior’s site constitutes litteras set forth in Section
 1 of the
Litter Control Act, 415 ILCS 105/1 (2000) and defined as follows:
“LITTER” means any discarded, used or unconsumed substance or waste.
 “Litter” may
include, but is not limited to,
 any garbage,
 trash, refuse, debris,
 rubbish, grass clippings,
or other lawn or garden waste, newspaper, magazines, glass, metal, plastic or paper
containers or other packaging construction material,
 abandoned vehicle
 (as defined in
the Illinois Vehicle Code),
 motor vehicle parts, furniture, oil, carcass of a
 dead animal,
 any nauseous
 or offensive matter of any kind, any object likely to
 injury any person or
create
 a traffic hazard,
 potentially infectious medical waste as defined
 in Section
 3.84 of
the Environmental Protection Act, or anything
 else of any unsanitary nature, which has
been discard,
 abandoned, or otherwise disposed
 of improperly.
The
 Board has
 adopted this definition of “litter” provided
 in the Litter Control Act forpurposes
 of
Section 21
 of the Act.
 See,
 St.
 Clair County
 v.
 Louis
 I.
 Mund,
 AC 90-64,
 August 22,
 1991.
 As
such, the facts set
 forth above,
 specifically the
 oil,
 used
 or waste tires, an old
 BBQ grill, car
parts,
 plastic containers,
 paint cans,
 clothes,
 absorbent pads,
 landscape waste, and
 oil-
contaminated straw,
 clearly show that Prior has
 caused or allowed the open
 dumping of waste
in a
 manner that resulted
 in
 litter in
 violation of Section
 21(p) of the Act.
C.
 John
 Prior’s Violation of Section 21 (p)(6) of the Act at the Gompers
 site.
As supported by Chris Cahnovsky’s testimony, Prior caused orallowed standing or
flowing liquid discharge from the Gompers site.
Section 21 (p)(6) of the Act, 415 ILCS 5/21 (p)(6) (2000), provides:
No person shall:
In violation of subdivision (a) of this Section, cause or allow the open
dumping of any waste in a manner which results in any of the following
occurrences at the dump site:
6.
 standing or flowing liquid discharge from the dump site.
10
In August 2000,
 Chris Cahnovsky discovered a pit that contained
 approximately 70
gallons of standing
 liquid
 oil.
 (Day
 1, Tr.
 at 40-41);
 see also,
 People’s Exhibit
 3.
 By causing
 or
allowing the open dumping
 of any waste,
 specifically liquid crude oil,
 in a manner which resulted
in standing
 or flowing
 liquid
 discharge from the dump
 site, Prior violated
 Section 21 (p)(6) of the
Act,
 415
 ILCS 5/2l(p)(6) (2000).
D.
 John
 Prior’s Violation of 35 Ill. Adm.
 Code 812.101(a)
 and
 Section 21(d) of the Act
at the Gompers site.
Section 21(d) of the Act, 415 ILCS 5/21(d) (2000), provides as follows:
No person shall:
d.
 Conduct any waste-storage, waste-treatment, or waste-disposal
operation:
1.
 Without a permit granted by the Agency
 or in violation
 of any
conditions imposed
 by
 such permit, including
 periodic reports
 and
full access to adequate records and
 the inspection of facilities, as
may be necessary to assure compliance with this Act and with
regulations and standard~
 adopted thereunder;
 provided,
however, that, except for municipal
 solid waste
 landfill units that
receive waste on or after October
 9,
 1993,
 no permit shall
 be
required for (i) any
 person conducting
 a waste-storage, waste-
treatment, or waste-disposal operation for wastes generated
 by
such
 person’s own activities which are stored, treated, or
disposed
 within the site where such wastes are
 generated,
 or (ii) a
facility located in
 a county with
 a population over 700,000,
operated and
 located
 in
 accordance with
 Section
 22.38 of this Act,
and used
 exclusively for the transfer,
 storage, or treatment of
general construction or demolition debris;
2.
 In
 violation of any regulations or standards adopted
 by
 the
 Board
under this Act; or
3.
 Which receives waste
 after August
 31,
 1988, does
 not have
 a
permit
 issued
 by the Agency,
 and
 is (i) a
 landfill
 used
 exclusively
for the disposal
 of waste generated at the site,
 (ii) a surface
impoundment receiving
 special waste
 not listed
 in an
 NPDES
permit,
 (iii) a waste pile in which the total volume of waste
 is
greater than
 100 cubic yards or the waste
 is stored
 for over one
year, or (iv) a
 land treatment facility receiving
 special waste
generated at the site; without giving
 notice of the operation to the
Agency by January 1,
 1989,
 or 30
 days after the date on which
11
the operation
 commences, whichever is later, and
 every 3 years
thereafter. The form for such notification shall be specified by the
Agency, and shall be limited to information regarding: the name
and address of the location of the operation; the type of operation;
the types and amounts ofwaste stored, treated or disposed of on
an annual basis; the remaining capacity of the operation; and the
remaining expected life of the operation.
Item 3 of this subsection (d) shall not apply to any person
engaged in agricultural activitywho is disposing of a substance
that constitutes solid waste,
 if the substance was acquired for use
by that person on his own property, and the substance is disposed
of on his own property in accordance with regulations or
standards adopted by the Board.
This subsection (d) shall not apply to hazardous waste.
Section 812.101 of the Board’s Waste Disposal Regulations, 35
 III. Adm. Code
812.101(a) (1994), provides:
(a)
 All persons, except those specifically exempted by Section 21(d)
of the Environmental Protection Act (Act)
 (Ill. Rev. Stat. 1991, ch.
111-1/2, par. 1021(d) 415
 ILCS 5/21(d)
 shall submit to the
Agency an application for a permit to developand operate a
landfill. The application must contain the information required by
this Subpart and by Section 39(a) of the Act, except as otherwise
provided in 35
 III. Adm. Code817.
As previously discussed, Prior operated a landfill but never acquired a permitfrom the
IllinoisEPA authorizing the development and operation of a landfill at the Gompers site; waste
was placed and accumulated over time for disposal at a site thatwas not exempted from the
permitting requirements of Section 21 (d)(1) of the Act. (Day 1, Tr. at 15, 37).
 In addition, by
developing and operating a landfill without a permit issued by the
 Illinois EPA, Prior violated 35
Ill. Adm. Code 812.101 (a).
These facts further evince that Prior conducted a waste-storage or waste-disposal
operation upon his property without an Illinois EPA permit. Grant and Chris Cahnovsky testified
to
 Prior
 not possessing an
 Illinois
 EPA permit to conduct a waste-storage, waste-treatment or
waste-disposal operation.
 (Day
 1,
 Tr.
 at
 15,
 36).
 Accordingly, waste from
 off-site sources
 has
12
been stored or disposed of at the Gompers site, a site that does not have the required Illinois
EPA permit,
 in contravention of Section 21(d) of the Act, 415
 ILCS 5/21(d) (2000).
E.
 John Prior’s
 Violation of Section 21(e)
 of the Act
 at
 the Gompers site.
Again through the testimony of Chris Cahnovsky and Grant, the People have shown that
Prior disposed, treated, stored orabandoned waste or transported waste to the Gompers site, a
facility that does not fulfill the requirements of the Act.
Section 21(e) of the Act, 415 ILCS 5/21(e) (2000), provides as follows:
No person shall:
e.
 Dispose, treat, store orabandon any waste, or transport any waste into
this State for disposal, treatment, storage or abandonment, except at a
site or facility which meets the requirements of this Act and of regulations
and standards
 thereunder.
Not only have
 Illinois EPA field
 inspectors repeatedly observed
 oil,
 used or waste tires,
an old
 BBQ grill, car parts,
 plastic containers, paint cans, clothes,
 absorbent pads,
 landscape
waste,
 and
 oil-contaminated straw at the Gompers site,
 but they have repeatedly
 observed a
hose running into an abandoned
 mine
 shaft from un-permitted Prior Oil tanker trucks.
 (Day
 1,
Tr.
 at
 16-17);
 see a/so,
 People’s
 Exhibit
 2.
 Prior Oil Company employees admitted to
discharging
 stormwater collected from tank battery containment dikes
 into the abandoned
 mine
shaft.
 See,
 People’s Exhibit
 2.
 Once
 Illinois
 DNR subsequently closed
 the abandoned
 mine
shaft,
 Prior dumped the
 oil development waste
 in dense vegetation and concrete rubble
 on site.
(Day
 1, Tr.
 at 52-57);
 see also,
 People’s
 Exhibit
 6.
Consistent with
 Prior’s inappropriate disposal of waste at
 a site that does
 not fulfill the
req uirements
 of the Act,
 Prior instructed
 his employees to
 burn
 open dumped
 plastic bags
 of
straw and
 oil.
 (Day
 1,
 Tr.
 at 24);
 see also,
 People’s Exhibit
 4.
 Even
 more egregious is
 once the
Illinois
 EPA inspector directed
 Prior to excavate and
 properly dispose of waste material
including oil from an
 on-site pit,
 Prior dumped the waste from the roll-off box
 back onto the
ground
 (Day
 1
 Tr
 at 57),
 see also
 People’s Exhibit 6
13
The facts are clear, Prior has repeatedly and knowingly disposed, stored or abandoned
anywaste or transported any waste for disposal to the Gompers site, a site thatdoes not meet
the requirements
 of the Act.
 In so doing, Prior violated
 Section 21(e) of the Act, 415
 ILCS
5/21(e) (2000).
F.
 John
 Prior’s
 Violation of 35 III.
 Adm. Code
 722.111
 and
 Section 21 (d)(2) of the Act
at the Gompers site.
The testimony of Chris Cahnovskyhas convincingly proven that Prior generated a solid
waste at the Gompers site and failed to determine whether the wastewas hazardous.
 Section
722.111 of the Board’s Waste Disposal Regulations, 35111. Adm. Code722.111 provides:
A person who generates a solid waste, as defined in 35
 III. Adm. Code 721.102, shall
determine if that waste is a hazardous waste using the following method:
a.
 The person should first determine if the waste is excluded from regulation
under 35
 III. Adm. Code 721.104.
b.
 The person should then determine if the waste is listed as a hazardous
waste in 35
 III. Adm..Code 721 .Subpart D.
(Board Note: Even if a waste is listed, the generator still has an
 opportunity under 35
 III. Adm. Code 720.122 and 40CFR260.22 (1986)
to demonstrate that thewaste from the generator’s particular facility or
operation is not a hazardous waste.
c.
 Forpurposes of compliance with 35
 III. Adm. Code 728, or
 if the waste is
not listed as a hazardous waste in 35
 III. Adm. Code 721 .Subpart D, the
generator shall then determinewhether thewaste is identified in 35
 III.
Adm. Code 721.SubpartC by either:
1.
 Testing the waste according to the methods set forth in 35
 III.
Adm. Code 721 .Subpart C, or according to an equivalent method
approved by the Board under 35
 III. Adm. Code 720.121; or
2.
 Applying knowledge of
 the hazard characteristic of the waste
 in
light of the materials or processes
 used.
d.
 If the generator determines that the waste is hazardous, the generator
shall refer to 35
 III. Adm. Code 724, 725, 728 and 733 for possible
exclusions or restrictions pertaining to the management of the specific
waste.
14
H.
On August 22, 2000, approximately 70 gallons of an oilysubstance existed
 in an on-site
pit.
 (Day
 1, Tr.
 at
 40-41);
 see also,
 People’s Exhibit 3.
 In response to questions posed by the
Illinois
 EPA,
 Prior claimed not to
 know the identity of the waste,
 but suggested that the waste
was too black
 to be crude
 oil.
 (Day
 1, Tr.
 at
 42);
 see also,
 People’s Exhibit 3. Because
 Prior
had not sampled the
 liquid waste,
 the Illinois EPA returned the following day to perform the
necessary assessment sampling. (Day 1, Tr. at 42-43);
 see also,
 People’s
 Exhibit
 3.
 While the
Illinois EPA concluded that the waste was
 crude oil,
 Prior was
 ultimately responsible for
completing this determination.
 (Day
 1,
 Tr. at 43-47);
 see a/so,
 People’s Exhibit
 3.
 Accordingly,
by generating
 a solid waste and failing
 to determine whether the waste is hazardous,
 Prior
violated
 35111. Adm. Code 722.111
 and Section
 21(d)(2) of the Act, 415
 ILCS 5/21(d)(2)
 (2000).
G.
 John
 Prior’s Violation of 35 Ill. Adm. Code
 739.122(c) and
 Section 21(d)(2)
 of the
Act at the Gompers site.
Section
 739.122(c) of the Board’s Waste
 Disposal Regulations,
 35
 III.
 Adm. Code
739.122(c), provides:
Used oil
 generators are subject to
 all applicable
 federal Spill
 Prevention,
Control and
 Countermeasures (40 CFR 112)
 in addition
 to the
requirements of this Subpart.
 Used
 oil
 generators are also subject
 to the
Underground Storage Tank (35
 III. Adm.
 Code
 731) standards for used
 oil
stored
 in underground
 tanks whether or not the
 used oil exhibits any
characteristics of hazardous waste, in addition
 to
 the requirements of ths
subpart.
***
(c)
 Labels
(1)
 Containers and
 aboveground tanks
 used
 to store used
 oil
at
 generator facilities must be
 labeled or marked clearly
with the words “Used
 Oil.”
The testimony of Grant and Chris Cahnovsky have convincingly substantiated that Prior
failed
 to clearly label or mark all containers and above ground tanks storing
 used oil with the
words “Used
 Oil.”
 On June
 13,
 1996,
 Grant beheld two unlabeled
 drums of used oil
 at the
15
Gompers
 site.
 (Day
 1,
 Tr. at 18-19);
 see also,
 People’s
 Exhibit
 2.
 Four years later
 in August,
2000,
 Chris Cahnovsky observed
 two unlabeled
 30-gallon drums of used
 oil on the southwest
side of the shop.
 (Day
 1, Tr.
 at 49-50);
 see
 also,
 People’s Exhibit
 3.
 By failing to label
containers
 storing used
 oil,
 Prior violated
 35111. Adm.
 Code 739.122(c) and
 Section 21(d) of the
Act, 415 ILCS 5/21(d) (2000).
H.
 John Prior’s
 Violation of 35
 Ill. Adm. Code
 739.122(d) and
 Section 21(d)(2)
 of the
Act at the Gompers
 site.
Section 739.122(d) of the Board’s Waste
 Disposal Regulations,
 35
 III.
 Adm.
 Code
739.122(d), provides:
Used oil generators are subject
 to
 all applicable
 federal Spill
Prevention,
 Control
 and
 Countermeasures (40 CFR 112)
 in
addition
 to
 the requirements
 of this Subpart.
 Used
 oil generators
are also subject to the Underground
 Storage
 Tank (35
 III.
 Adm.
Code 731) standards for used
 oil stored
 in
 underground tanks
whether or not the
 used oil
 exhibits any characteristics of
hazardous waste,
 in addition
 to
 the requirements
 of this Subpart.
***
(d)
 Response to
 releases.
 Upon detection of a release of
 used oil to
the environment that is not subject
 to the federal requirements of
40 CFR 280,
 Subpart
 F and which
 has occurred after October 4,
1996,
 a generator shall perform the following
 cleanup
 steps:
BOARD NOTE: Corresponding 40 CFR 279.22(d) applies
 to
releases that “occurred after the effective date of the authorized
used
 oil program for the State
 in which the release is located.”
The
 Board
 adopted the
 used
 oil standards in
 docket R93-4 at
 17
III.
 Reg.
 20954, effective November 22,
 1993.
 USEPA approved
the Illinois standards at
 61
 Fed.
 Reg.
 40521
 (Aug.
 5,
 1996),
effective October 4,
 1996.
 The
 Board
 has
 interpreted “the
effective date of the authorized
 used oil
 program” to
 mean
 the
October 4,
 1996 date of federal authorization of the Illinois
program,
 and we substituted
 that date
 for the federal effective
date
 language.
 Had
 USEPA written something like “the effective
date of the
 used
 oil program in
 the authorized
 State
 in which the
release is located,” the Board would
 have used
 the November 22,
1993 effective date of the Illinois used
 oil standards,
1)
 Stop the release;
16
2)
 Contain the released
 used oil
3)
 Properly clean
 up and
 manage the released used
 oil
 and
other materials; and~
4)
 If necessary,
 repair or replace any leaking
 used
 oil storage
containers
 or tanks prior to returning them to
 service.
Chris Cahnovsky and
 Grant testified
 not only to repeated
 releases
 of oil,
 but Prior’s
blatant disposal activities
 at the Gompers site.
 Generally
 once the release
 occurred,
 Prior failed
to contain
 and remediate the release and
 affirmatively acted
 to aggravate
 the incident in
defiance of Illinois
 EPA directives.
For instance,
 in June
 1996, an oily substance discharged to
 an abandoned mine
 shaft
from
 a hose connected
 to
 a Prior
 Oil tanker truck.
 (Day
 1,
 Tr. at
 16-17);
 see
 also,
 People’s
Exhibit
 2.
 Not only
 did
 Prior fail to
 undertake measures to
 stop,
 contain
 and clean up the
 used
oil,
 a PriorOil Company employee admitted
 to actively discharging
 such material.
 Id.
 On
 the
same date, a considerable
 amount of stained soil existed
 in the area
 of two opened
 drums of
oil,
 but no measures were employed
 to stop,
 contain
 and clean
 up the
 used oil.
 (Day
 1, Tr.
 at
18-19);
 see also,
 People’s
 Exhibit 2.
On August 22, 2000, liquid
 oil stood
 in
 a pit,
 however, the
 oil was
 not placed
 in a roll-off
box until
 August 31, 2000.
 (Day
 1, Tr.
 at 40-49);
 see also,
 People’s Exhibit
 3.
 Once
 excavated,
Prior dumped the excavated oiled-waste back on the ground in
 opposition to Illinois EPA
instruction.
 (Day
 1, Tr.
 at
 57);
 see also,
 People’s
 Exhibit
 6.
 On the same date, Chris
Cahnovsky noted
 two drums likely observed
 by
 Grant four years earlier with
 a large
 amount of
used
 oil
 on top of and on
 the ground
 surrounding the drums.
 (Day
 1, Tr.
 at 49-50);
 see also,
People’s
 Exhibit
 3.
 Clearly, no measures
 had been applied to
 stop, contain and
 clean the
 used
oil.
17
 .
 ..
A few months later in November, Prior continued
 to
 act
 in defiance of State
environmental laws
 by dumping oiled straw at two on-site
 locations.
 Not only
 did
 Prior fail to
properly clean up the used
 oil,
 but Prior instructed
 his employees to
 burn the waste oil and
straw.
 (Day
 1, Tr.
 at 20-24);
 see also,
 People’s
 Exhibit
 4.
In
 December 2000,
 the Illinois EPA revisited the Gompers site.
 Since the
 Illinois
 DNR
closed the abandoned
 mine,
 Prior caused or allowed the open
 dumping of
 oil
 development
waste
 in a hole behind the Prior Oil Company shop.
 (Day
 1,
 Tr.
 at 52-57);
 see also,
 People’s
Exhibit
 6.
 No measures
 were being
 employed
 to
 stop, contain
 and properly contain the
released
 oil.
 Prior subsequently
 committed to
 performing the required
 remediation of the
released
 used
 oil by January 2001;
 however,
 it was
 not until
 March 2003 that these
 measures
were completed.
 (Day
 1,
 Tr. at
 61-68);
 see also,
 People’s Exhibit 9.
The facts are
 clear.
 Upon detection of a
 release of
 used oil
 to the environment,
 Prior
failed to stop the release,
 contain the released
 used oil,
 clean up and
 properly manage the
released
 used
 oil and other material and
 repair or replace any leaking
 used oil storage
containers or tanks prior to
 returning them to service.
 By so doing, the Respondent has
violated
 Section 739.122(d) of the Board’s Waste Disposal
 regulations, 35
 III.
 Adm.
 Code
739.122(d) and
 Section
 21(d)(2) of the Act, 415
 ILCS 5/21(d)(2) (2000).
I.
 John
 Prior’s Violation of 35
 III. Adm.
 Code
 808.121
 and
 Section 21 (d)(2) of the Act
at the Gompers
 site.
The testimony of Chris Cahnovsky has
 decisively confirmed that Prior generated
 a
waste and failed
 to determine whether the waste was a special waste.
 Section
 808.121
 of the
Board’s Waste
 Disposal Regulations,
 35
 III. Adm.
 Code 808.121, provides in
 relevant part:
Generator Obligations
a.
 Each
 person who generates waste shall determine whether the waste is a
special waste.
18
Based on the same facts identified
 in the discussion
 of Prior’s violations of 35
 III.
 Adm.
Code 722.111
 and
 Section 21 (d)(2) of the Act, 415 ILCS
 5/21 (d)(2) (2000),
 Prior generated a
waste and
 failed to
 determine whether the waste was a special waste in violation of 35
 III. Adm.
Code 808.121
 and Section
 21(d)(2) of the Act, 415 ILCS 5/21(d)(2) (2000).
 See,
 Section II.F.
J.
 The Respondents’ Violation of Section 12(a) of the Act.
1.
 The
 Respondents caused or allowed the discharge of contaminants
 into
the environment.
The evidence produced
 at hearing
 clearly proved that Prior and
 Mezo’s actions
 resulted
in violations
 of the Act.
 Section
 12(a) of the Act, 415
 ILCS 5/12(a)
 (2000), provides
 that:
No
 person shall cause or threaten
 or allow the discharge of any contaminants into
 the
environment
 in any State so as to
 cause or tend to
 cause water pollution
 in
 Illinois, either
alone or in
 combination with
 matter from other sources,
 or so
 as to violate regulations or
standards adopted by the Pollution
 Control Board
 under this Act.
The elements of this provision
 are
 (1) causing, threatening or allowing the discharge of (2)
contaminants
 (3) into
 the environment (4) to
 cause or tend to
 cause water pollution or to violate
applicable
 water quality standards.
 In the three
 incidents
 at issue,
 Mr. Tom
 Powell
 and/or Ms.
Cheryl Cahnovsky testified that the Respondents caused or allowed the discharge of oil,
 a
contaminant,
 into the environment.
 (Day
 1,
 Tr.
 at
 78-94,
 101-104,
 108-113,
 123-130);
 see also
People’s Exhibits
 11,
 12,
 15,
 17,
 18.
 Prior did
 not contest
 the release of
 oil from the three
 sites,
nor did
 Mezo challenge the release of oil from the
 Mezo Oestreich #1
 tank battery.
 (Day
 1,
 Tr.
at 81-82,
 85-86,
 92, 97,
 103,
 108,
 133-134,
 138,
 142-147).
 Accordingly, the People have
established the first three elements of a
 Section
 12(a) violation.
2.
 The Respondents’
 releases
 caused or tended to cause water
 pollution.
The
 sole remaining
 issue
 is whether or not
 these
 releases of oil caused or tended to
cause water pollution.
 At the time of the releases, the definition
 of water pollution was set forth
19
in
 Section
 3.55 of the Act, 415 ILCS 5/3.55 (2000)~.However, whether a release caused water
pollution is ultimately
 a common sense
 proposition.
 When
 oil is released
 to
 State waters
 and
black oil, silver or rainbow sheens are observed on the water, water pollution has occurred.
 The
concept
 is simple.
 Section 3.55 of the Act, 415
 ILCS 5/3.55 (2000),
 provided:
Water pollution is such alteration
 of the physical, thermal,
 chemical, biological or
radioactive
 properties of any waters
 of the State,
 Or such discharge of any contaminant
into any waters
 of the State,
 as will or is likely to
 create a nuisance or render such water
harmful or detrimental or injurious to
 public health,
 safety or welfare,
 or to
 domestic,
commercial, industrial,
 agricultural,
 recreational,
 or other legitimate
 uses, or to livestock,
 wild animals, birds, fish or other aquatic life.
The elements of this provision are the
 (1) alteration
 of the physical, thermal, chemical, biological
or radioactive properties
 of any waters
 of State ~
 such discharge of any contaminant into
 any
waters of the State
 (2) as will
 or is likely to
 create
 (a) nuisance
 or (b) render such waters
harmful ~
 (c) detrimental ~
 (d) injurious to
 one of the following
 uses: (i) public health,
 (ii)
human or (iii) animals or other aquatic life. The People
 need only establish
 that the
Respondents’ releases
 more likely than
 not caused, threatened or allowed water pollution.
 In
Central Illinois Public Service
 Company
 v.
 Pollution
 ControlBoard,
 116
 III. 2d
 397, 507
 N.E.
 2d
819 (1987),
 the Supreme Court
 agreed with the Board’s interpretation
 that the Act treats water
as a
 resource,
 and
 that pollution occurs whenever contamination
 is
 likely
 to
 render such water
unusable.
 507
 N.E.
 2d at
 824.
a.
 The alteration
 of the physical, thermal,
 chemical,
 biological
 or
radioactive properties of any waters of the State.
This
 Board
 heard testimony proving that the alteration of the physical, thermal,
chemical, biological
 or radioactive properties of the water
 have occurred.
~Since the filing of the instant action, the definition
 of water pollution has been renumbered to
Section
 3.545 of the Act, 415
 ILCS 5/3.545
 (2002).
20
1.
 Count VIII5
Illinois
 EPA Emergency Responder Cheryl Cahnovsky visited the Wamac City Park
(“Park”) site, the subject of the July 21,
 1997,
 release.
 This site involved a
 spill of at least 31-48
barrels of oil that was not contained within the poorly constructed fire walls surrounding
 a tank
farm.
 (Day
 1, Tr.
 at
 78-82);
 see also,
 Exhibit 11.
 The crude oil drained
 down gradient 20-30
feet through the Wamac City Park
 into an
 unnamed tributary that leads to
 Fulton Creek and
ultimately
 into Sewer
 Creek.
 (Day
 1,
 Tr.
 at 78);
 see also,
 Exhibit
 11.
 Oil flowed into the water
and onto the banks of the unnamed
 tributary and Fulton
 Creek on July 22,
 1997;
 oil covered
wooden debris.
 Oil and petroleum scum was in
 Fulton
 Creek for approximately three
 miles
down stream from
 the release point.
 (Day
 1, Tr.
 at 83-84,
 88-89),
 see
 also,
 Exhibit
 11.
 On July
28,
 1997,
 Cheryl Cahnovsky reinspected the site and noted
 that oil continued
 to
 cover the soil
and drain
 into
 Fulton Creek.
 (Day
 1,
 Tr.
 at
 91-92);
 see also,
 Exhibit
 11.
 In addition, oil coated
vegetation and creek
 banks;
 pools of oil were caught
 in wooden debris and trash.
 See,
 Exhibit
11.
 Clearly, these facts evince that
 oil
 altered the physical properties of the water.
2.
 Count XII6
The
 Mezo Oestreich #1
 tank battery (“Mezo Oestreich”) was
 the site of the June 30,
1997,
 release.
 The site involved a release of approximately 50 to 75
 barrels of crude oil
 to a
field,
 an unnamed
 tributary to Fulton Creek,
 Fulton Creek and eventually 2.5 miles downstream
to Sewer
 Creek.
 (Day
 1,
 Tr. at
 124-129);
 see also,
 Exhibit
 15.
 A day later,
 Powell observed
 oil
in
 both the unnamed tributary leading to
 Fulton Creek,
 Fulton Creek and Sewer Creek.
 (Day
 1,
Tr. at
 124-1 29);
 see also,
 Exhibit
 15.
 At lrvington
 Road,
 recoverable
 oil existed
 upon the creek
~ For purposes of
this Count, “Respondent” refers to
 John
 Prior, d/b/a Prior
 Oil Company.
6
 For purposes of this
 Count, “Respondents” refers to
 John
 Prior, d/b/a Prior
 Oil Company and
James Mezo,
 d/bla
 Mezo Oil Company.
 The
 Mezo Oestreich tank battery is registered to
 James Mezo
and operated by John
 Prior (Day
 1,
 Tr. at
 120; Day 2,
 Tr. at
 19).
21
and within the eddies.
 Oil stains
 persisted upon the sidewalls and oil
 residues remained
 in
Fulton Creek.
 (Day
 1, Tr. at
 124-129);
 see also,
 Exhibit
 15.
 Clearly, the oil on the water is
indicative of the alteration of the water’s
 physical
 properties.
3.
 Count XV7
At the site of the July 19,
 2000,
 release, the Morgan Kalberkamp
 #1
 tank battery
(“Morgan
 Kalberkamp”), Cheryl Cahnovsky observed oil
 along the creek
 banks and
 Fulton
Creek for approximately 300 feet.
 (Day
 1, Tr.
 at
 100-109);
 see also,
 Exhibit
 17.
 Five days
 later,
crude oil and oily straw remained on the banks and
 in Fulton
 Creek.
 (Day
 1,
 Tr.
 at
 110-112);
see a/so,
 Exhibit 18.
 It is self-evident that the physical properties of the water were altered
 by
the
 oil.
b.
 Or
 such discharge
 of any contaminant into any waters of the State.
As outlined
 above, the
 People
 have
 clearly upheld
 in evidence the alternative
requirement, that contaminants,
 oil,
 have
 been discharged
 to State waters.
 Prior has
 not
disputed that such
 discharges of contaminants to
 State waters
 have occurred
 in each of the
three incidents.
 Nor did
 Mezo
 challenge the discharge of contaminants from
 the
 Mezo
Oestreich site to
 State waters.
 (Day
 1,
 Tr. at 81-82,
 85-92,
 97, 103,
 108,
 133-134,
 138,
 142-
147).
 The People
 have thereby proven “such discharge of any contaminant to waters of the
State.”
c.
 As will or is likely to create
 one
 of four things.
Next, the People need only satisfy one of the following four elements:
 (a) nuisance or
 (b)
to
 render such waters harmful or (c) detrimental
 or (d) injurious to one of the following uses:
 (i)
public welfare (ii) human or (iii) animals or other aquatic life.
 The People do
 not have
 to prove
actual
 nuisance but the mere likelihood
 of a creation of a
 nuisance
 is sufficient.
 By
 allowing oil
~
 For purposes of this Count, “Respondent” refers to
 John
 Prior, d/b/a Prior
 Oil
 Company.
22
to come into
 direct contact with
 the water, the Respondents
 have likely created
 a nuisance or
has
 rendered such waters injurious to
 those users
 specified
 in former Section
 3.55 of the Act.
Previously, the appellate courts have upheld
 the finding of a danger of water pollution, even
 in
the absence of actual
 evidence of pollution.
 See Al/aert Rendering Inc.
 v.
 Pollution Control
Board,
 91111. App.
 3d
 153, 414 N.E. 2d 492 (3rd
 Dist.1980);
 City of Pekin v.
 Pollution
 Control
Board,
 47
 III.
 App. 3d
 187, 361
 N.E.
 2d
 889 (3rd
 Dist.1977).
 Nor should it be ignored
 that the
State has
 an interest
 in protecting
 its own
 resources.
 In
 C/PS v.
 Pollution Control Board,
 the
Illinois Supreme Court agreed with the Board’s definition
 of water pollution,
 stating that:
TJhe
 Act treats water as a
 resource
 and that pollution occurs whenever contamination is
likely to render water unusable.
 Under the Board’s interpretation there is no need to
show that actual
 harm will
 occur, only that harm would occur if the contaminated
water were to be
 used.
 Since the
 Board
 is charged with
 administering the
Environmental Protection Act,
 its interpretation of the statute is entitled to deference.
116
 Ill.
 2d
 at 409.
 (Emphasis
 added).
As to
 the four alternative elements set forth above,
 the People have established not
 only
the nuisance element for the three releases, but also that the waters were
 rendered harmful to
potential users, such
 as the public, animal or other aquatic life.
 The releases of oil on June 30,
1997,
 July 21,
 1997,
 and July
 19, 2000,
 likely created a
 nuisance as the releases caused
 oil
sheens and
 layers of floating
 product on State waters.
 See,
 Counts
 VIII,
 XII, and XV.
Moreover,
 the layers of floatingoil likely rendered the waters
 harmful to the public,
 animal
 or
aquatic life.
More particularly, the Park site is located in
 the Wamac City
 Park; the tank battery is
adjacent to
 the park’s baseball field.
 (Day
 1,
 Tr.
 at 79).
 As a result of the Park site incident,
Cheryl Cahnovsky documented that nine children
 had
 been playing
 in an oil-impacted Fulton
Creek.
 (Day
 1, Tr. at 88-89).
 The oil-contaminated
 creek not only posed a threat to
 potential
users of this waterway, but was,
 in fact,
 a direct threat to the children
 covered
 in oil
23
contaminated water and
 soil.
 See,
 Exhibit
 11,
 Photographs 4
 and 5 of July 22,
 1997:
 The
People have clearly met these standards
 and
 have thereby established a violation of Section
12(a)
 of the Act, 415 ILCS 5/12(a) (2000).
3.
 Alternatively, the People have proven
 a Section
 12(a) violation
 by establishing that
the
 Respondents violated 35 III. Adm.
 Code 203.
While the People have
 satisfied the previously referenced elements of a water pollution
violation, a
 Section
 12(a) violation
 may alternatively be established through the violation of a
regulatOry standard.
 Section
 12(a) provides that:
No person shall
 cause
 or threaten or allow the discharge
 of any contaminants
 into the
environment
 in any State so as
 to cause
 or tend to cause water pollution
 in
 Illinois, either
alone or in combination with matter from other sources,
 orso asto
 violate regulations or
standards adopted by the Pollution
 Control Board under this Act.
(Emphasis added).
As such,
 a Section
 12(a) violation
 may alternatively be met through the violation of a
regulatory standard.
 Section 302.203 of the Board’s Water
 Pollution
 regulations,
 35
 III.
 Adm.
Code 302.203,
 prohibits the existence of offensive conditions
 in
 State waters:
Waters of the State shall
 be free from sludge or bottom deposits, floating debris,
 visible
oil,
 odor, plant or algal,
 color or turbidity of other than natural origin.
 .
For Counts Xl,
 XIV and XVI, the People
 have provided
 tindisputed
 evidence that Prior
violated
 Section 302.203 by causing offensive conditions.
 The same uncontested evidence
establishes that Mezo
 caused offensive
 conditions at the
 Mezo Oestreich
 site in
 violation of
Section 302.203.
 See,
 Count XIV.
 The visible oil and
 petroleum scum
 in the unnamed
 tributary
to Fulton Creek,
 Fulton Creek
 and
 Sewer Creek at
 the Park site; the crude oil
 in
 the unnamed
tributary to
 Fulton
 Creek,
 Fulton Creek and
 Sewer Creek at the
 Mezo Oestreich
 site; and the
 oil
in
 Fulton
 Creek at the Morgan Kalberkamp site all signify offensive
 conditions
 in State waters.
By violating
 Section 302.203,
 the Respondents
 have
 defied the second
 prong of Section
 12(a)
that no
 person shall violate regulations or standards adopted
 by the Board
 under this Act.
24
K.
 The Respondents’ Violation of Section 12(d) of the Act.
For Counts X and XIII, the People have
 convincingly established that
 Prior’s releases at
the
 Park
 and the
 Mezo Oestreich sites,
 and Mezo’s release at the
 Mezo Oestreich site created
a water pollution hazard as forbidden by
 Section
 12(d)
 of the Act, 415 ILCS 5/12(d)
 (2000),
which
 provides the following:
No
 person shall deposit any contaminant upon the land
 in such
 place and
manner so as
 to create a water
 pollution hazard.
The elements of this charge are (1) the deposit of any contaminant (2)
 upon the land
 (3)
in such
 place and
 manner as
 to create a water pollution hazard.
 A water pollution hazard
 is
essentially an activity that may in the future ripen
 into a water pollution violation.
 See,
 e.g.,
Jerry Russell Bliss,
 Inc.
 v. EPA,
 138
 III.
 App.
 3d 699,92
 Ill.
 Dec.
 911
 (5th Dist.
 1985).
 (“Section
12(d) refers to conduct
 not yet amounting
 to a violation
 of Section
 12(a),
 a water pollution
hazard must be found before either violation
 may be
 found.”).
 In the two events
 at
 issue, each
instance of a water pollution hazard released a contaminant to a State water.
 The parties
 did
not contest that the
 Mezo
 Oestreich site and
 the Park site released
 oil.
 Nor did the
Respondents challenge that some amount of oil reached State
 waters.
 Before the oil
 reached
the waters of the State, the contaminants were
 in such place and
 manner that they posed
 a
water pollution hazard to nearby water.
 In addition,
 not all of the oil traveled to the water but
remained
 on the
 land
 in close
 proximity to the water.
 These
 contaminants, until
 completion of
cleanup as
 verified
 by sampling,
 may have
 continued
 to pose a water pollution hazard.
The evidence clearly satisfies a Section
 12(d) violation for each
 incident as
 outlined
above.
 At the Park site, the contamination source was
 approximately 20 to
 30 feet from the
unnamed
 tributary.
 In
 addition, oil was
 located on the banks of the unnamed
 tributary and
Fulton
 Creek in
 close proximity to the waters of the State.
 See,
 Count
 X.
 Secondly,
 at the
 Mezo
Oestreich site,
 oil was
 located
 in a field,
 an unnamed tributary,
 and
 along
 the sidewalls of Fulton
25
Creek near State
 waters.
 See,
 Count XIII.
 Based on these
 uncontested facts,
 Prior clearly
deposited oil
 upon the
 land
 in such place and
 manner at the Park and
 Mezo Oestreich sites so
as to create a water pollution hazard in contravention of Section 21(d) of the Act.
 In the same
manner, Mezo deposited oil upon the land in such place and manner at the Mezo Oestreich site
to create a water pollution hazard in violation of Section 21(d).
L.
 John
 Prior’s Violation of 35
 III. Adm.
 Code 739.122(d) and Section
 21(d)(2) at the
Park site.
The record before the Board clearly makes evident that Prior’s actions or inactions at
the Park site defied 35
 III. Adm. Code 739.122(d) and Section 21(d)(2). See, Section
 II. L.
Cheryl Cahnovsky testified to a spill of at least 31-48 barrels of oil that drained down gradient
through theWamac City Park into an unnamed tributary that leads to Fulton Creek and
eventually into Sewer Creek. (Day 1, Tr. at 78-82). Once the release occurred, Prior failed to
contain and remediate the release. According to the Illinois EPA emergency responder, Prior’s
remediation effortswere less than adequate; Prior only performed the required remediation
after several discussions with the
 Illinois EPA. (Day 1, Tr. at 90). Aweek after the incident, oil
covered the soil and drained into Fulton Creek. (Day 1, Tr. at 91-92);
 see also,
 Exhibit 11.
Pools of oil were still caught in wooden debris and trash.
 See,
 Exhibit 11.
 Nearly three months
after the incident, several inches of crude oil remained in the containment berm. (Day 1, Tr. at
94);
 see also,
 People’s Exhibit 12.
The facts are clear. Upon detection of a release of used oil to the environment, Prior
failed
 to stop the release, contain the released used
 oil,
 clean up and
 properly manage the
released used oil and other material and repair or replace any leaking used oil storage
containers or tanks prior to returning them to service. By so doing, the Respondent has
violated Section 739.122(d) of the Board’s Waste Disposal regulations, 35
 III. Adm. Code
739.122(d) and Section 21(d)(2) of the Act, 415 ILCS 5/21(d)(2) (2000).
26
IV!.
 Defenses.
1.
 James
 Mezo’s Transfer Argument for the Mezo Oestreich site
 is Without
Merit.
Mezo failed to allege as an affirmative defense that he transferred the Mezo Oestreich
lease to Prior before the June 30, 1997, release. Mezo failed to establish that, more likely than
not, he did not control the lease at the time of the release. While the evidence consisted of
testimony thatMezo sold the Oestreich lease and equipment to Prior before the release
occurred, Mezo admitted to possessing the operating permits from the Illinois DNR, Oil and Gas
Division, at the time of the spill event. (Day 1, Tr. at 142, 150-151; Day 2, Tr. at 30).
Bengal not only confirmed that Mezo wasthe permittee of record for the Mezo Oestreich
lease at thetime of the incident, but explained the applicable permitting requirements for oil and
gas producers under the Illinois Oil and Gas Act, 225 ILCS 725/1. (Day 2, Tr. at 19).
According to the Illinois Oil and Gas Act and associated regulations, a permittee is the person
holding the permit that authorizes their operation of the wells or the brine hauling transportation
system.
 (Day 2, Tr. at 17). The site’s permittee is responsible forcompliance with the Illinois
Oil and Gas Act. (Day 2, Tr. at 18);
 see also,
 Section 1 Of the Illinois Oil and Gas Act, 225 ILCS
725/1 and 62
 III. Adm. Code240.10. Because Mezo was the Illinois DNR permittee for the
Mezo Oestreich lease, Mezowas the sole person authorized to
 operate this lease.
 However,
Prior physically operated the Mezo Oestreich lease.
Bengal testified to a recent review ofan Assignment between Mezo and Prior.
 In the
course of his review, Bengal determined that Mezo was posing as the permittee for the Mezo
Oestreich lease.
 (Day 2, Tr. at 19-21). Bengal further concluded that Mezo served as the
facility’s permittee due to Prior’s inability to operate the facility in his own name. (Day 2, Tr. at
22).
 A permit block existed against Prior due to a number of outstanding Illinois DNR
enforcement actions between the agency and Prior.
 (Day 2, Tr. 21-22). A veteran oil producer,
27
Mezo understood Prior could not attain a permit for the facility due to these outstanding
compliance deficiencies; thus, Mezo posed as the permittee and even continued to pay the
Illinois DNRannual well fees for the Mezo Oestreich lease. (Day 1, Tr. at 151; Day 2, Tr. at 22-
25);
 see also,
 People’s Exhibit 26, 28. Mezo’s actions allowed Prior to run a lease that the
Illinois DNR, Oil and Gas Divisionwould never have permitted Prior to operate. The resulting
water pollution and environmental damage at the Mezo Oestreich lease would never have
occurred but for Mezo posing as the lease’s permittee.
2.
 John
 Prior’s Allegations of Vandalism Does
 Not Negate Prior’s
 Violations
of the Act.
Priorfailed to plead as an affirmative defense the purported vandalism at each site that
is the subject of the instant proceeding.
 Prior failed to show that, more likely than not, the open
dumping and/or spill events resulted from the actions of an unknown third party. The only
evidence consisted of conjecture by the Respondent.
 Prior testified to his conclusion that
vandalism was thecause of the incidents because another individual “hasa vendetta against
me for some reason, and
 I really don’t know why.” (Day 1, Tr. at 139). He provided no basis
for this conclusion on direct examination, but only offered conjecture stating that “every time it
happened,
 it either just rained or was raining at the time.” (Day 1, Tr. at 139).
 Prior failed to
elaborate on what,
 if any, connection existed between the rain events and his alleged claims of
vandalism.
The weight of anytestimony must be viewed in terms of interest and bias. The bias of a
witness toward a party forwhom he is called to testify is always pertinent on the question of his
credibility.
 People v.
 Emerling,
 341
 III. 424, 173 N.E. 474 (1930).
 Priorwas responsible for the
operations at the four sites and now seeks to minimize his liability through these unsupported
allegations of vandalism.
28
The People contend that Prior has been less than forthright in his allegations and has
attempted to shift all of the blame for this spill onto the vandal(s). Assuming
 arguendo
 that
“somebody” else did in fact sabotage the facilities, Prior is still liable for the violations because
of his acts and omissions.
At the Gompers site, Prior’s vandalism allegation is completely meritless and contradicts
the on-site statements of not only himself, but his employees.
 First,
 in June 1996, a hose
discharged waste from a Prior Oil Company tanker truck into an abandoned mine shaft.
Moreover, a Prior Oil Company employee admitted to discharging material from tank batteries
into the abandoned mine shaft. (Day 1, Tr. at 16-17). Second, in August 2000, a waste-filled
pit existed a mere 150 yards behind Prior’s office.
 Prior initially claimed that he had no
knowledge about either the pit or its waste; nine days later, Prior asserted he had the pit dug
one month earlier to buryconcrete. (Day 1, Tr. at 42,
48).8
 While Prior eventually excavated
the waste items from the pit intoa roll-off box, theywere subsequently dumped in a pile back
on site. (Day 1, Tr. at 57).
Third, in November 2000, Prior admitted to instructing his employees to clean out oil-
contaminated straw from an on-site building and directing its burning even though he
recognized these directives were in defiance of environmental laws. (Day 1, Tr. at 24).
 Finally
in December, 2000, Chris Cahnovskycontinued to behold similar evidence of Prior Oil
Company tanker trucks dumping oil field generated waste.
 However, now that the State closed
the abandoned mine, the dumping transpired in a pile of concrete rubble and dense vegetation
on site. (Day 1, Tr. 55).
If Prior’s allegation of vandalism is true, an interesting question arises: why didn’t Prior
initially allege vandalism at the Gompers site?
 Prior never provided filed police reports nor
8
Chris Cahnovskynever observed any concrete in the pit. (Day 1, Tr. at 48).
29
presented any further elaboration on his vandalism allegations. The Board cannot engage in
conjecture as to whether a disgruntled neighbor might have been the purported vandal. The
record contains no plausible evidence whatsoever as to the identity of the “somebody” who
apparently conducts repeated and numerous acts of vandalism at the Prior sites, but there are
plenty of facts fromwhich conclusions and inferences may legitimately be drawn to establish
liability. The totality of the allegations of vandalism indicate the implausibility of Prior’s recent
allegations. To understand the extent of Prior’s alleged vandalism defense, the scope of the
acts covered
 by
 this
 defense at the
 remaining three sites
 must be further explored.
Turning to the Park site, Prior initially reported to the Illinois Emergency Management
Agency (“IEMA”) that a lightening strike caused the spill. (Day 1, Tr. at 81
)~9
A day later, Prior
informed Cheryl Cahnovsky children opened a ball valve; seven days later, Prior told Cheryl
Cahnovsky that another competitor sabotaged his tank battery. (Day 1, Tr. at 81, 92). The
obvious question is which of Prior’s statements is true? Again, the Board cannot engage in
conjecture concerning Prior’s purported vandalism defense at the Park site, but must rely upon
legitimate facts in the record to determine liability.
 Based on on-site observations and Prior’s
inconsistent statements,
 it is obvious that Prior’s allegation of vandalism
 at the Park site is a
recent unsupported fabrication seeking to minimize his culpability for the allegations.
While Prior more Consistently alleged vandalism at the Mezo Oestreich and the Morgan
Kalberkamp sites, Prior never submitted filed police reports to the Board. (Day 1, Tr. at
103,108).
 Instead, Prior offered limited conjecture concerning hisvandalism allegations at all
four sites. (Day 1, Tr. at 139).
The record does contain substantiated evidence that site security was inadequate for
precluding access to potential trespassers or vandals. The Gompers, Mezo Oestreich and the
~While
 on site on July 22, 1997, the Illinois EPA
 did not observe damage to the tank
 batteryfrom
a lightening strike.
 (Day 1, Tr. at 81).
30
Morgan Kalberkamp sites did not possess fences or other means to control access. (Day 1, Tr.
at 40,
 108);
 see also,
 Exhibit
 3,
 15,
 16.
 On
 repeated
 occasions, the
 State
 representatives
would
 arrive to the Park site to
 find the gates unlocked
 and open to
 the facilities.
 (Day
 1,
 Tr. at
81,
 91,
 94);
 see also,
 Exhibit 11, 12. More likely than not, Prior failed to provide even marginal
attention to the securityand supervision of the facilities.
The Board
 must
 apply the law to these facts.
 In the context of environmental liability,
the legal issues include whether Prior exercised control overthe source of the pollution and
whether it had taken
 any precautions against vandalism.
Perkinson
 v.
 Pollution
 Control Board,
 187
 III.
 App.3d
 689 (3rd
 Dist.
 1989),
 involved a
discharge from a swine waste
 lagoon through a trench.
 Perkinson
 contended that he was
 not
responsible for “causing or allowing” the discharge
 because he lacked
 knowledge of the trench
and
 because
 the trench was apparently
 dug
 by a vandal.
 Citing
 Phi/lips Petroleum
 Co.
 v.
Pollution Control Board,
 72
 III.
 App.
 3d 217 (1979), the court stated that “the
 law does not
impose strict liability on
 property owners for pollution which results from
 a cause
 beyond the
owner’s control.”
 187
 III. App.
 3d at 693.
 The court discussed the factual
 situations
 in
 Phillips
Petroleum
 (involving
 a spill caused
 by a carrier in transit) and
 Union Petroleum Corp.
 v.
 United
States
 (Ct. CI.
 1981),651
 F.2d
 734
 (involving
 a spill caused
 by vandals), the court observed:
The evidence in the case at bar is far less favorable to
 the owner of the premises
where the pollution occurred.
 There is
 nothing to
 indicate that Perkinson
 had
taken
 any precautions against vandalism,
 and other than
 his disavowal of any
knowledge or authorization for the digging of the trench,
 no evidence
 of the
source of the trench
 was introduced at all.
 At most Perkinson’s evidence would
 permit the trier of fact to
 draw an
 inference of third-party intervention, but that
evidence does not compel a finding that Perkinson took reasonable precautions
to
 prevent such
 occurrences.
187
 III. App. 3d at 693-94.
 Having
 dispensed with Perkinson’s factually unsupported claim that
the spill was not preventable,
 the court explicitly rejected the arguments regarding lack of
knowledge:
31
Many cases
 have held that the owner’s lack of knowledge
 of the discharge is no
defense under the Environmental
 Protection Act.
 The leading
 case is
Meadow/ark Farms,
 Inc.
 v.
 Pollution Control Board
 (1974),
 17
 Ill.
 App. 3d
 851,
308
 N.E. 2d
 829, where water pollution was
 caused by seepage through mine
refuse
 piles.
 The PCB found that
 Meadowlark Farms owned the surface
 rights of
the property and thus owned the source of pollution and had
 the capability of
controlling the pollutional discharge.
187
 III.
 App. 3d at 694.
 The court in
 Perkinson
 reaffirmed
 “the long
 line of precedent in
 Illinois
which holds that the owner of the source of the pollution causes or allows the pollution within
the meaning
 of the statute and
 is responsible for that pollution unless
 the facts establish the
owner either lacked
 the capability to control the source, as
 in
 Philips
 Petroleum,
 or had
undertaken extensive precautions
 to prevent vandalism or other intervening cause,
 as
 in
 Union
Petroleum.”
 187
 III. App.
 3d
 at 694-95.
The record
 in
 the present case against Prior
 clearly shows that Prior had the capability
to control the four facilities at issue.
 Moreover, Prior failed to undertake extensive precautions
to prevent vandalism or other intervening causes.
 This failure is manifest in
 Prior’s failure
 to
repeatedly lock the gate at the Park site or to
 install gates at the remaining
 three sites.
Since the early days of the Act, Courts
 have
 affirmed that the ownership of the
pollutional
 source supports
 the imposition of liability under the Act for water pollution and other
violations
 of the Act and
 regulations caused or contributed
 to by the pollution source.
 See,
Meadowlark Farms,
 Inc.
 v. Pollution
 Control Board,
 (5th
 Dist.
 1974),
 17
 III. App.
 3d
 851,
 302
N.E. 2d 829, 835-36;
 see
 also,
 Freeman Coal Mining Corp.
 v.
 Pollution
 Control Board,
(5t~
Dist.
1974),
 21111. App.
 3d
 157.
 At each
 of the release sites,
 the Respondent exercised control
 over
the property pursuant to oil leases.
 Civil liability under the Act is grounded upon
 control over
the source
 of the pollution and the lack
 of knowledge regarding
 a release does not bar such
liability.
32
III.
 THE
 BOARD SHOULD IMPOSE A SUBSTANTIAL MONETARY
PENALTY BASEDON STATUTORYPENALTYFACTORS
The evidence
 demonstrates that numerous
 violations of the Act and regulations have
occurred.
 Section
 42(a) of the Act permits the
 Board
 to impose penalties
 against those who
violate any provision
 of the Act or regulation
 adopted
 bythe Board, 415 ILCS 5/42(a)
 (2000).
The Board
 may impose a maximum penalty of $50,000.00
 for each violation of the Act,
 and
 an
additional $10,000.00
 penalty for each
 day the violation continues, 415
 ILCS 5/42(a)
 (2000).
The
 Board
 has broad discretionary powers to assess civil penalties
 under the statutory
authority vested by the Act,
 Southern Illinois Asphalt Company
 v.
 Pollution
 Control Board,
 60
 III.
2d
 104, 326 N.E.
 2d 406 (1975).
 Courts have
 traditionally upheld
 the imposition of civil
penalties where
 it will “aid
 in the enforcement of the Act,” but not where it is shown to
 be merely
“punitive.”
 Southern Illinois Asphalt Company,
 326
 N.E.2d at 412;
 see also,
 City of Monmouth
v.
 Pollution Control Board,
 57
 Ill.
 2d 482,
 313 N.E.
 2d
 161
 (1974) (punitive considerations for
civil penalties are secondary).
In the last thirty years of enforcement under the Act, civil penalties
 assessed
 by the
Board or Illinois courts
 have fallen
 between two ends
 of a spectrum.
 On the
 one end,
 little or no
civil penalties
 have
 been deemed necessary because of pertinent facts that weighed heavily
upon
 the nature of the violations or the extent of the alleged pollution.
 Technical or paperwork
violations,
 such as the failure to obtain permits or submit reports, have frequently been afforded
this treatment.
 See, Park Crematory,
 Inc.
 v.
 Pollution Control Board,
 201
 Ill.
 Dec. 931, 637
N.E.2d 520
 (1st Dist.
 1994);
 Tn/la Steel Drum Corporation
 v.
 Pollution
 Control Board,
 180
 III.
App.3d
 1010,
 536
 N.E.2d 788
 (1st Dist.
 1989).
 Similarly, the inadvertence of the respondent,
Southern Illinois Asphalt Company, supra,
 the good faith efforts of a respondent to
 bring about
compliance prior to
 the filing of a complaint,
 Park Crematory,
 Inc., supra; Bressler Ice Cream
Companyv.
 Pollution Control Board,
 21
 lll.App.3d
 560, 315
 N.E.2d 619
 (1st Dist.
 1974), and
33
lack
 of any economic benefit from
 noncompliance,
 Park Crematory,
 Inc.,
 supra,
 have figured
prominently
 in cases involving
 low or nominal
 civil penalties.
On the other end
 of the spectrum, some enforcement actions brought under the
authority of the Act
 have
 resulted in substantial
 monetary
 penalties.
 In these cases,
circumstances
 showing the unreasonableness of the respondent’s conduct or its lack of good
faith,
 ESG Watts,
 Inc.,
 v. Pollution
 Control Board,
 282
 III.
 App. 3d 43,
 668
 N.E.2d
 1015
 (4th
Dist.
 1996), the seriousness and
 lengthy duration attributed to
 the violations,
 People
 v.
 John
Prior and Industrial Salvage,
 Inc.,
 PCB No.
 97-111
 (November 20,
 1997);
 People
 v.
 Panhandle
Eastern Pipeline Company,
 PCB No.
 99-191
 (November 15,
 2001), the need for deterrence,
People
 v.
 Waste Hauling Landfill, Inc and Waste Hauling,
 Inc.,
 PCB
 No.
 95-91
 (May 21,
 1998),
or the accrual of a significant economic
 benefit,
 Panhandle, supra,
 have
 been
 important
considerations in the penalty determination.
Of course, most
 litigated cases fall somewhere
 in the middle
 of the aforementioned
spectrum.
 The determination as the amount of the penalty is dependent on the
 unique facts of
each case, as no exact “formula” for arriving at
 a penalty exists.
 People
 v.
 Bernice Kershaw
and Darwin Dale Kershaw,
 PCB No.
 92-164
 (April 20,
 1995);
 People
 v.
 ESG
 Watts,
 Inc.,
 PCB
No. 96-233 (February
 5,
 1998).
 Based
 on
 numerous aggravating facts supported by the record,
the
 People contend that this case against John
 Prior should
 be ranked
 at
 the higher end of the
penalty spectrum.
 However,
 based on several
 mitigating facts,
 any penalty imposed against
James
 Mezo should
 be ranked at the lower end of the penalty spectrum.
In
 making
 its orders, the Board
 is required to consider any matters of record
 concerning
the reasonableness of the alleged
 pollution,
 including those factors
 identified
 in Section
 33(c).
The Board
 is also authorized
 by the Act to
 consider any matters of record
 concerning the
mitigation
 or aggravation of penalty,
 including those
 matters specified
 in
 Section 42(h).
 See,
People
 v.
 Bernice Kershaw and Darwin Kale Kershaw d/b/a Kershaw Mobil Home Park,
 PCB
34
92-164 (April 20, 1994). The People will outline its penalty demand in
 two parts: first,
 a
consideration of the Section 33(c) factors and secondly, a consideration of the Section 42(h)
factors.
A.
 Section 33(c) Factors.
1.
 The
 character and
 degree of injury or interference.
From at least June
 13,
 1996,
 to a date
 better known to Prior on or about March
 12,
2003, Prior allowed open dumped waste to remain on the Gompers site without the required
permits from the Illinois EPA.
 (Day
 1, Tr. at
 16-19,
 20-23, 40-41, 43-50,
 52-57,
 65-68);
 see
also,
 Exhibit
 2,
 3, 4,
 6,
 9.
 Prior’s failure to
 attain
 the required
 permits served
 to undermine the
permitting process set up through the Act and Board regulations...”
 People of the State of
Illinois
 v.
 Sure-Tan, Inc.
 PCB 90-62, page 9 (April 11, 1991).
 Not only did the oil in the pitpose
a fire hazard,
 but
 it contained
 toluene, ethylbenzene, benzelethelene,
 xylene, other polynuclear
aromatics and
 2, 4, 6 tri-bromophenal.
 (Day
 1,
 Tr. at 43-47);
 see also,
 People’s
 Exhibit
 3.
Chris Cahnovsky explained that the oil in the pit could contaminate nearby groundwater, cause
soil contamination and release volative organiccompounds into the atmosphere. (Day 1, Tr. at
41,
 47).
 In addition, the off-rim tires provided a potential
 breeding ground for mosquitos,
 the oil-
production waste dumped in the abandoned mine
 shaft posed
 a threat to
 nearby groundwater;
the open burned oil-contaminated straw caused or threatened air pollution; and the overfilled oil
drums caused
 soil contamination and during
 storm water runoff,
 posed
 a threat of surface water
contamination. (Day 1, Tr. at 18, 20, 24, 50-51).
 Accordingly, this factor should be weighed
against Prior at the Gompers site.
In
 addition,
 Prior caused,
 allowed or threatened the discharge of contaminants
 near
various unnamed
 tributaries that
 led
 to
 Fulton Creek,
 Fulton
 Creek and
 Sewer Creek so as to
cause or tend to cause water
 pollution.
 In
 each instance, visible
 oil and/or petroleum scum
35
coated the unnamed
 tributaries,
 Fulton
 Creek and
 in
 certain instances,
 Sewer Creek.
 (Day
 1,
Tr.
 at 78,
 83-84,
 88-89,
 100-112,
 124-129).
 At the
 Mezo Oestreich
 site, Mezo caused or
allowed the discharge
 of oil that covered an
 unnamed tributary to
 Fulton Creek,
 Fulton
 Creek
and
 Sewer Creek so as to
 cause or tend to cause water pollution.
 (Day
 1, Tr.
 at
 124-129).
 The
Respondents’ noncompliance caused an
 actual
 risk to the nearby tributaries,
 Fulton
 Creek and
in
 certain instances,
 Sewer Creek,
 and therefore establishes the unreasonableness of the
violations that should
 be weighed against the
 Respondents10.
 Cf.,
 People v.
 John Prior and
Industrial Salvage,
 Inc.,
 PCB
 No.
 97-111
 (November 29,
 1997).
2.
 The social
 and economic value of the
 pollution source.
The Board has previously found that a pollution source typically possesses a “social and
economic value” that is to be weighed against its actual or potential environmental impact.
People
 v.
 Waste Hauling Landfill,
 Inc., and Waste Hauling,
 Inc.,
 PCB No. 95-91 (May 21, 1998).
However, the operation of a site without the required permit diminishes such value as
 it violates
the law.
 See, People of the State of Illinois
 v.
 Sure-Tan,
 Inc.
 PCB 90-~2,page 9 (April 11,
1991).
 Prior’s operation ofan un-permitted opendump at the Gompers site did not provide a
social and economic value to the community.
The Peopledo not dispute that oil production operations have value to the community.
In these instances, however, Prior’s operation of three noncompliant oil production sites did not
provide a social and economic value to the community. At the Mezo Oestreich site, this factor
is further aggravated by Mezo posing as the permittee because Prior did not possess the
required
 IllinoisDNR permit.
 Accordingly, this factor should beweighed against both
Respondents at the Mezo Oestreich site.
In addition, Prior interfered with the Illinois EPA’s inspections of these incidents due to his
inconsistent statements to field staff.
 See,
 II.M.2
36
3.
 The suitability or
 unsuitability of the pollution source.
The pollution sources, the Park, the Mezo Oestreich, and the Morgan Kalberkamp sites
are located in close proximity to various unnamed tributaries that lead to Fulton Creek. Of
greatest concern is the Park site which
 is in the city park and abuts a baseball field.
Accordingly, the People dispute the suitability of these three sources to the areas in which they
are located. The People do not dispute the suitability of the location of the Gompers site.
4.
 The technical
 practicability and economic reasonableness of compliance.
Itwas technically practicable and economically reasonable for Prior to eliminate his
noncompliance at the Gompers site through the labeling of all containers storing used oil with
the words “used oil”; the remediation and the appropriate disposal of the used oil surrounding
the two drums, in the pit, in the concrete and dense vegetation, and any other oil-stained area;
and the removal and disposal of allwaste to a sanitary landfill or recycling facility, as
appropriate.
 Moreover,
 itwas technically practicable and economically reasonable for Prior to
attain compliance at the Park, Mezo Oestreich and Morgan Kalberkamp sites by stopping the
release, containing the released used oil, cleaning up and properly managing the released used
oil and other contaminated material.
 In addition,
 it was technically practicableand economically
reasonable for Prior to repair or replaceany facility leaking used oil before returning them to
service.
 In the same manner,
 it was technically practicable and
 economically reasonable for
Mezo to achieve compliance at the Mezo Oestreich.
5.
 Subsequent compliance.
The People acknowledge that the Respondents have recently made efforts to address
their noncompliance following
 notification of noncompliance
 by the Illinois Attorney General’s
Office.
 However, Prior’s recent compliance at the Gompers site cameonly after Illinois EPA
field staff personally informed him on at least fouroccasions of the measures necessary to
37
bring, the site into
 compliance,
 See,
 (Day
 1, Tr. at 42-43,
 48, 50);
 see
 also,
 Exhibit
 3, 4;
 the
Illinois EPA mailed
 Violation
 Notices providing the same
 information to
 Prior,
 see,
 (Day
 1, Tr. at
51-52),
 see also,
 Exhibit
 3; the
 Illinois EPA mailed
 a Notice
 of Intent to
 Pursue
 Legal Action
(“NITPLA”) letter to
 Prior,
 See
 (Day
 1,
 Tr.
 at 59-60);
 see also,
 Exhibit
 7;
 and the Illinois Attorney
General’s Office filed
 a complaint before the Board,
 See,
 Complaint filed April
 19,
 2002.
Moreover,
 Prior’s compliance at the Park site did
 not come
 until the Illinois
 EPA
emergency responder repeatedly
 informed
 him of the necessary compliance measures on July
22 and
 28,
 1997,
 See,
 (Day
 1, Tr. at 85-87,
 90, 92),
 see
 also,
 Exhibit
 11; the Illinois sent
Violation
 Notices to
 Prior containing the same information,
 See,
 (Day
 1,
 Tr. at 95-96),
 see also,
Exhibits
 3 and 4;
 and the Illinois
 EPA mailed a NITPLA
 to
 Prior,
 See,
 (Day
 1, Tr.
 at
 97).
To attain
 Prior’s and
 Mezo’s compliance at the Mezo
 Oestreich site, the Illinois
 EPA field
staff had to
 inform the Respondents of the required remedial activities,
 See,
 (Day
 1, Tr.
 at
 103),
see a/so,
 Exhibit
 16;
 the Illinois EPA had
 to
 issue Violation
 Notices,
 See,
 (Day
 1,
 Tr.
 at
 131),
see also,
 Exhibits 20 and 21; the Illinois EPA had to
 mail a
 NITPLA,
 See,
 (Day
 1, Tr.
 at 134);
and
 the Illinois Attorney General’s
 Office had to
 initiate this proceeding.
Finally,
 Prior’s late compliance
 at the
 Morgan Kalberkamp site came
 only after the
Illinois
 EPA emergency responder informed
 him
 on both
 July 19
 and 24, 2000, of the necessary
compliance activities,
 See,
 (Day
 1, Tr.
 at
 109,
 112),
 and the Illinois Attorney General’s Office
filed suit against Prior.
It should
 not be deemed
 a mitigating factor if compliance is achieved only
 after
enforcement proceedings are
 initiated.
 ESG
 Watts, Inc.
 v.
 IPCB,
 282
 III.
 App.
 3d 43, 52-53
 (4th
Dist.
 1996).
 (“Evidence.
 .
 .
 presented regarding petitioner’s failure
 to comply with
 many
regulations until after enforcement proceedings were initiated, of the hardship imposed
 upon
the Agency
 in
 collecting monies
 due
 & the necessity of deadlines to
 ensure the smooth
38
operation of the Agency.
 The Board’s decision that
 a stiff penalty was warranted to deter
future violations was neither arbitrary nor capricious.”). While the Respondents have recently
achieved compliance, with the exception of the Park site, the violations continued until the
initiation of enforcement proceedings by the Attorney General’s Office.
B.
 Section
 42(h) Factors.
Under Section 42(h) of the Act, 415
 ILCS 5/42(h)
 (2000),
 the
 Board
 must examine the
following factors when making determination on an appropriate civil penalty; duration and
gravity of the violations, due diligence of the violator to address the violations, the economic
benefit that accrued to the violator, the monetaryamount that will deter further violations of that
violator and others similarly situated, and any previously adjudicated violations.
1.
 The duration
 and gravity of the violation.
A civil penalty imposed
 under the Act must “bear some
 relationship to
 the seriousness
 of
the infraction or conduct” of the polluter.
 Southern Illinois Asphalt Company, supra;
 Tnilla Steel
Drum Corp.
 v. Pollution
 Control Board,
 180
 III.
 App. 3d
 1010,
 1013 (1989) (penalty should be
“commensuratewith the seriousness of the infraction”). The Act “authorizes the Board to
assess civil penalties for violations regardless ofwhether these violations resulted in actual
pollution.”
 ESG
 Watts v.
 Illinois Pollution Control Board,
 282
 III. App. 3d 43, 51(4th Dist. 1996).
In this case, the evidence establishes repeated violations of long duration and significant gravity
committed by
 Prior.
 Meanwhile, Mezo’s violations at the
 Mezo Oestreich site are more aptly
characterized as an isolated event.
a.
 Duration.
Prior open dumped a variety of waste
 items including
 liquid
 crude oil and defied a
number of waste disposal
 regulations at
 the Gompers site since a date better known to the
Respondent on or before June 13, 1996.
 In addition, Prior caused repeated releases of oil to
39
 0
State waters since at least on or before
 June 30,
 1997.
 While the water pollution incidents
occurred in 1997 and 2000, Prior did not submit documentation verifying compliance until March
2003. Appellate Courts have affirmed the imposition of penalties for violations which did not
directly result in adverse environmental consequences but were of a longstanding and repeated
nature.
 People
 V.
McHenry Shores
 Water Company,
 295
 III. App. 3d 628, 393 N.E. 2d at399
(2~’
 Dist.
 1998).
 Prior’s noncompliance spans
 a period
 of approximately six and a half years
and as such, this factor should beweighed heavily against Prior.
As detailed
 supra,
 violations were first observed by the Illinois
 EPA at the
 Mezo
Oestreich site on July 1, 1997, but began at a time better known to Respondent Mezo.
Violations continued
 until
 Mezo submitted documentation verifying compliance
 in March
 2003.
Violations occurred over a period of six years, during which time Mezo received Violation
Notices
 and NITPLA letters from the
 Illinois EPA.
b.
 Gravity.
The Board
 should consider the seriousness of Prior’s discharge of oil production waste
to an abandoned
 mine shaft,
 release of oil to the ground from two unlabeled
 and opened
 drums
of used
 oil,
 open dumped waste and
 oil
 in an
 on-site
 pit,
 open dumped and
 burned
 oil-
contaminated straw, open dumped tires,
 open dumped oil-well development waste in
 concrete
rubble and dense vegetation, and failure to possess a permit from the Illinois EPA to conduct a
waste-storage, waste-treatment or waste-disposal operation.
The gravity of these violations were discussed by Grant and Chris Cahnovsky.
 First, the
oil well development waste dumped
 in the abandoned mine shaft
 not only caused
 land
 pollution,
but threatened groundwater. (Day 1, Tr. at 20). Second, concerns were expressed of soil
contamination and during storm water runoff, potential surface water contamination in the area
of the overfilled oil drums.
 (Day
 1, Tr.
 at 50).
 Third, the
 oil
 in the on-site
 pit contained toluene,
40
ethylbenzene,
 benzelethelene, xylene,
 other polynuclear aromatics and 2, 4,
 6 tri-bromophenel
and may have resulted in the release of volatile chemicals to the air. (Day 1, Ti. at 41, 45-50).
Moreover,
 the open dumped waste
 and oil caused
 land pollution,
 threatened groundwater, was
ignitable and
 met the definition of a
 DOT flammable waste.
 (Day
 1, Tr.
 at 41, 43-47);
 see also,
People’s Exhibit 3.
Fourth,
 open dumped oil-contaminated straw caused
 air pollution when
 open
 burned.
The combustion ofanymatter in the openmay result in the release of contaminants to the air
that maybe injurious to human, plant or animal life, to health or property or cause a nuisance.
(Day 1, Tr. at 24).
 Fifth, the open dumping of tires can cause or threaten the spread of certain
disease
 carrying vectors (including mosquitos carrying the West Nile virus) when off-rim tires
are
 not covered
 and water is allowed to accumulate inside the tire.
 (Day
 1, Tr. at
 18).h1
 Sixth,
the open dumped
 oil-well development waste in
 concrete rubble and dense vegetation caused
soil contamination and posed a risk forgroundwater contamination, stormwater runoff and
surface water contamination. (Day 1, Tr. at 57).
 Finally, the failure to possess the required
permits from the Illinois EPA for the Gompers
 site “undermined the permitting process
 set up
through the Act and Board regulations..
.“
 See, Sure-Tan,
 supra.
The impacts associated with the Respondents’ oil releases are one more consideration
for this
 Board.
 Extensive
 oil
 impacts existed
 at the sites of the three
 incidents.
 At least 3
 miles
downstream and 2.5 miles downstream of the releases at the Park and
 the
 Mezo Oestreich
sites, respectively,
 pollutional impacts were evident.
 (Day
 1,
 Tr. at 83-84,
 88-89,
 124-129).
 The
seriousness of the water violations can
 only be
 understood through an appreciation of the
underlying goals of Section 12 of the Act. Section 12 prohibits both pollutional discharges to
~ Mosquitos
 are
 a vector that breed
 in the stagnant water often
 found
 in off-rim tires.
 (Day 1, Tr.
at 18).
41
waters of the State
 as well as water pollution hazards posed by contaminants deposited
 upon
the
 land in
 proximity to
 waters.
 The intentionally broad statutory definition
 of “waters” includes
not
 only surface streams and ponds,
 and groundwater,
 but also sloughs and
 intermittent
waterways such as drainage ditches and
 seasonal creeks.
The pollution caused
 by
 the crude oil releases to the waters
 of the State is obvious.
 The
offensive conditions resulting from even a small amount of oil include the various types of
sheen
 on the surface and
 deposits of sediments or sludge
 on the bottom of the streams.
 The
physical and chemical conditions of the streams are altered by the oil to the extent that aquatic
life cannot exist.
 The Respondents’
 noncompliance caused the actual
 release of contaminants
and therefore establishes the unreasonableness of the pollutants that should be weighed
against both Prior and Mezo.
 See, Prior and Industrial Salvage, supra.
 The Respondents’
noncompliance caused an
 actual risk to State
 waters, its inhabitants
 and users
 and therefore
establishes the gravity of these violations.
2.
 The presence or absence
 of due diligence.
Prior exercised
 no diligence
 during
 the years it was
 causing
 releases
 of oil
 to State
waters and even defied Illinois EPA instruction by inappropriately dumping recently-excavated
material
 back
 on the ground
 at
 the Gompers
 site.
 Prior had
 innumerable opportunities to
observe and correct his noncompliance.
 Instead, Prior waited until after the initiation of
enforcement by the State of Illinois before it completed compliance efforts. These uncontested
facts
 demonstrate a
 lack of good faith
 by the Respondent Prior.
 In the same token, Mezo
required nearly 7 years to finalize compliance at the Mezo Oestreich site and thus, evince a lack
of good faith.
Good faith
 has
 not been found to
 be a matter of intent, since neither intent or guilty
knowledge is a necessary element to finding
 a violation.
 Rather,
 good faith attempts at
42
compliance are a significant factor to consider in determination
 of an appropriate penalty.
Bressler Ice Cream
 Company
 v.
 Illinois
 Pollution Control Board,
 21111. App.
 3d
 560,
 315 N.E.
 2d
619
 (1St Dist.
 1974);
 Chicago Magnesium
 Casting Company
 v.
 Illinois Pollution Control Board,
22
 III. App.
 3d 489,
 317 N.E.
 2d 689
 (1St Dist.
 1974);
 CPC International,
 Inc.
 v.
 Illinois Pollution
Control Board,
 24111. App. 3d, 203, 321
 N.E. 2d
 58 (3d
 Dist.
 1975).
 If violators “evince a sincere
desire.
 .
 .
 to cooperate...
 this attitude should
 be noted
 and
 encouraged” by taking
 it into
account during
 the penalty assessment.
 Bressler Ice Cream,
 315
 N.E.
 2d at 621.
 Penalties
may be mitigated when the violator acts promptly
 to correct the violation
 and demonstrates
cooperative efforts.
 CPC International,
 321
 N.E. 2d
 at
 61.
Good faith
 has
 been inferred from behavior which reflects diligence and which
 is
reasonably directed towards the goal of achieving compliance.
 Illinois EPA
 v. A//en Barry,
 PCB
No. 88-71,
 1990
 III.
 ENV.
 LEXIS 465,
 74 (May
 10,
 1990).
 In the instant case,
 no such inference
may be
 made as the Respondents required nearly 7 years to comply.
 Despite numerous
conversations with
 Illinois EPA field staff, Violation
 Notices and
 NITPLA letters repeating those
measures necessary to
 bring the respective sites into
 compliance, the Respondents
 only
finalized compliance efforts after the initiation of enforcement by the Office of the Attorney
General.
 (Day
 1, Tr. at 42, 43, 48,
 50-52,
 59-60,
 85-87,
 90-92,
 95-97,
 103,
 109,
 112,
 131,
 134);
see also,
 People’s Exhibit 3,4,7,
 11,
 16, 20, 21.
 At best,
 good faith and due diligence on the
part of the Respondents were minimal.
Nor is it a defense
 to findings of violations or a
 bar to
 assessment of civil penalties
 that
the
 Respondents have
 recently come into compliance with the Act and associated
 regulations.
Section 33(a) of the Act, 415 ILCS 5/33(a) states,
 in pertinent
 part:
It shall not be a defense to findings
 of violations of the provisions of the Act or
Board
 regulations or a bar to the assessment of civil penalties that the person
has come into compliance subsequent
 to the violation, except where such
 action
is barred by
 any applicable State or federal statute of limitation.
43
In the case of
 Modine Mfg.
 Co.
 v.
 Pollution
 Control Bd.,
 193
 III. App.3d 643,
 648 (2d
Dist.
 1990), the court included the following
 in its
 reasoning:
Initially,
 Modine contends that the imposition of a penalty here would
 not aid
 in
the enforcement of the Act because it was no longer in violation of the Act at the
time the complaint was filed.
 While there
 is arguably some
 support for this view,
we believe
 all the relevant facts
 and circumstance must be examined
 to
determine
 if a civil penalty is to
 be imposed
 as a
 method to
 aid
 in the
enforcement of the Act.
 Thus,
 we decline
 to
 hold categorically that penalties
may not be
 imposed for wholly past violations
 (citations omitted).
As stated
 in Section
 33(a) of the Act,
 and
 as
 recited
 in
 Modine,
 it is not a defense to
findings of violations or a
 bar to assessment of civil penalties
 that the person
 has recently
 come
into
 compliance with the Act and the regulations promulgated
 thereunder.
 As discussed
 supra,
if compliance
 is achieved only after enforcement proceedings are
 initiated, due
 diligence should
not be weighed
 in favor of the violator.
 See, ESG
 Watts, Inc.
 v.
 Illinois Pollution Control Board,
282
 III. App. 3d 43, 52-53 (4th
 Dist.
 1996).
 The
 record
 reveals that the Respondents were
 not
only
 informed of those measures
 necessary to
 bring the sites into
 compliance,
 but that the
Respondents,
 particularly Prior, continued
 to blatantly disregard
 Illinois EPA instruction despite
repeated
 conversations with
 Illinois EPA personnel and written
 notices
 and warnings from the
Illinois EPA.12
 In
 short, good faith
 and due
 diligence
 on the part of the Respondents were
minimal and
 clearly,
 should
 not be weighed in favor of the Respondents.
3.
 Economic benefit.
 -
As set forth within Section 42(h)(3) of the Act, the
 Board
 is authorized
 to consider any
economic benefits derived by
 a violator in determining
 an appropriate civil penalty to
 remove
 or
neutralize
 the economic incentive to violate environmental laws
 and regulations.
 In
 United
States
 v.
 Smithfield Foods,
 Inc.,
 972 F. Supp. 338 (E.D. Va 1997), the court acknowledged that
12
 In addition,
 Prior’s inconsistent statements to field
 staff concerning the’cause -of the
various incidents evince a lack of good faith and due diligence on his
part.
See,
 II.M.2.
44
the
 goal of deterrence requires a
 penalty to have
 both an
 economic benefit
 component to
ensure that the violator does
 not profit from
 its violation of the
 law, as well as
 a
 punitive
component to account for the degree
 of seriousness of the violations.
 A penalty should include
the economic benefit of noncompliance; otherwise, the violator and the potential violators would
perceive that it pays to violate the
 law,
 creating an obvious disincentive for compliance.
Accordingly,
 it is apparent that the goal of economic benefit is to prevent a violator from
profiting from its wrongdoing.
 -
Economic benefit to an environmental violator is not only the monetary gains derived by
lack of compliance, but the cost savings resulting
 from delayed
 compliance.
 Standard Scrap
Metal Company
 v.
 Illinois Pollution
 Control Board,
 142
 III. App. 3d 655, 491
 N.E.
 2d
 1251
 (1st
Dist.
 1986);
 Wasteland,
 Inc.
 v.
 Illinois Pollution Control Board,
 118
 III.
 App. 3d
 1041, 456
 N.E.2d
-964
 (3rd Dist.
 1983).
 Not assessing
 a civil penalty,
 and
 merely permitting a respondent to allege
that the cost
 associated with coming
 into compliance following
 an
 enforcement action
 is a
sufficient penalty encourages violators to wait until
 an
 enforcement action is begun
 before
complying with the
 law.
 Wasteland,
 Inc.,
 456 N.E. 2d at 976.
The existence of economic benefit may be assumed without introduction of evidence
 on
the
 matter.
 People
 v.
 Waste Hauling Landfill,
 PCB No.
 95-91
 at
 pg. 29
 (May 21,
 1998);
 See
also,
 ESG
 Watts,
 Inc.
 v.
 Illinois Pollution
 Control Board,
 282
 III. App. 3d 43,
 53 (4th
 Dist.
 1996)
(“Although the evidence supporting
 any economic benefit gained through the
 late filing of
reports
 is slight
 to
 nonexistent,
 we deem
 it reasonable to
 assume petitioner received the ‘time
value of money’ by delaying the expenditures necessary to prepare such
 reports. Certainly,
petitioner received
 an economic
 benefit by delaying its
 payment
 of quarterly fees”).
In the instant case,
 Prior not
 only failed
 to timely
 remediate, remove and
 appropriately
dispose of all open dumped waste from the Gompers site,
 but failed to
 attain the required waste
45
disposal
 permits from the Illinois EPA.
 Failure to
 attain permits saves the offender the time and
expense of acquiring the permit.
 See, People of the State of Illinois’ v.
 Sure-Tan,
 Inc.
 PCB 90-
62,
 page 9 (April
 11,
 1991).
 Prior also failed to timely stop
 the releases, contain
 the released
used oil,
 clean up and
 properly manage the released used
 oil and
 other contaminated
 material,
and
 to conduct final clearance
 sampling at
 the remaining
 incidents.
 These are all costs
 that
Prior either failed to
 expend or delayed expending, thereby providing Prior a considerable
economic benefit.
 Finally,
 Mezo accrued an economic benefit due to
 his failure to
 timely
contain and
 remediate the released used
 oil at the
 Mezo Oestreich
 site.
4.
 The amount of penalty which will serve
 to deter
 or enhance voluntary
compliance.
 -
The imposition
 of a civil penalty for each violation
 may deter further violations by the
one
 penalized or by others, thus aiding
 in the administration of the Act.
 Southern Illinois
Asphalt
 v.
 Illinois
 Pollution Control Board,
 60
 III. 2d
 204, 326
 N.E. 2d 406 (1975).
 Through the
imposition
 of penalties
 upon those who blatantly disregard
 applicable
 rules
 and regulations,
others who
 might consider cutting
 corners at the expense
 of the environment are deterred.
Wasteland,
 Inc.,
 456 N.E. 2d
 at 967.
 “The assessment of penalties against recalcitrant
defendants who have
 not sought to
 comply with the Act voluntarily
 but who have by their
activities forced the Agency or private citizens to
 bring
 action against them may cause other
violators to act
 promptly and
 not wait for the prodding of the Agency.”
 Lloyd A. Fry Roofing
Company v.
 Pollution
 Control Board,
 46
 III.
 App. 3d 412;
 361
 N.E. 2d 23, 28-29.
 (5th
 Dist.
1977).
 This position was specifically adopted in
 1986 by the First District in
 Standard Scrap
Metal Co.
 v. Pollution
 Control Board,
 142
 III. App.
 3d 655
 (1st Dist.- 1986).
Deterrence
 is an appropriate objective for the Board
 to evaluate in its penalty
assessments, even where
 a violator has
 already achieved
 compliance or the violations
 have
caused
 no environmental
 harm.
 ESG
 Watts.
 Inc.,
 v. Pollution
 Control Board,
 282
 III. App. 3d
46
43,
 668
 N.E. 2d
 1015
 (4th
 Dist.
 1996) (respondent’s compliance came only
 after initiation of
enforcement,
 and associated hardships
 imposed on
 Illinois
 EPA warranted a “stiff” penalty to
assure deterrence).
There is a pronounced
 need for deterrence
 in the instant case.
 The Board
 should
 place
a high
 priority on assessing a
 penalty that is
 substantial
 enough
 to encourage future compliance
by Prior and the regulated
 community.
 This deterrence is necessitated by Prior’s egregious
actions
 at the Gompers
 site in defiance of Illinois EPA directives
 and the repeated conduct
associated with
 Prior’s water
 pollution violations.
 Moreover,
 Prior’s extensive noncompliance
history dictates the Board’s imposition
 of a significant monetary penalty to
 prevent operators
that might, through design or coincidence,
 mirror Prior’s “environmental
 programs.”
 In
 addition,
Mezo must be deterredfrom posing as another oil facility’s permittee in the future. A high civil
penalty against Prior and a more
 moderate civil penalty against Mezo will provide an incentive
for other oil operators to comply with the Act and will preserve the waters of the State.
5.
 Previously adjudicated violations
 of the Act.
The People are currently unaware of any previously adjudicated
 violations of the Act
involving
 Mezo; however, Prior
 has an extensive
 non-compliance history. In fact, Prior has one
0
 of the longest, if not the longest, environmental non-compliance history
 in
 Illinois.
 Shortly after
the enactment of the Act
 in
 1970, the Board found
 Prior in
 violation, of Section 2 1(d) of the Act
and
 Rules 201
 and
 202(a) of Chapter 7,
 Solid Waste, for developing and operating a solid
waste management site
 in
 Marion County without the required development and operating
permits from the
 Illinois EPA.
 See, Environmental Protection Agency
 v.
 John Prior,
 PCB 75-
184 (September 4,
 1975).
 The Board assessed
 a $100.00 penalty for the violations.
A decade
 later, Prior
 continued
 to defy
 State environmental laws; this time the violations
occurred
 at
 two sites commonly referred
 to as the Centralia/Prior and the Centralia/Prior
47
Blackwell landfills.
 In 1985, the People alleged that John Prior d/b/a Industrial Salvage, Inc.,
failed to place daily cover on exposed refuse in violation of 35
 III. Adm. Code807.305(a) and
807.301; failed to
 spread and
 compact refuse
 in violation of 35
 Ill. Adm.
 Code 807.303(b) and
807.301; failed
 to deposit refuse
 into the toe of the fill
 in violation of 35
 III. Adm. Code
807.303(a)
 and 807.301; failed to
 collect and
 dispose of litter in violation of 35
 III. Adm.
 Code
807.306 and 807.301; failed to comply with permit conditions in violation of 35
 Ill. Adm. Code
807.302 and 807.301; and failed to control leachate adequately in violation of 35
 III. Adm. Code
807.314(e) and 807.301.
 Each
 of these violations also
 resulted
 in a violation of Sections 21(a)
and (d)(2) of the Act.
 Prior agreed to paya civil penalty in the amount of $12,000.00 for these
violations.
 See,
 People
 v. John Prior d/b/a Industrial Salvage,
 Inc.,
 Marion
 County
 No.
 85-CH-
17 (August 5, 1986).
On
 December 8,
 1993, the State filed
 yet another complaint against John
 Prior and
Industrial Salvage.
 See,
 People
 v.
 John
 Prior and Industrial Salvage,
 Inc.,
 PCB 93-248. After
an evidentiary hearing, the Board entered an order and opinion finding that Prior and Industrial
Salvage,
 Inc., violated
 Section
 12 of the Act,
 by causing or allowing
 pollutional discharges
 from
the landfills to a stream; Section 21 of the Act, by failing to comply with permits issued by the
Illinois
 EPA regarding the required closure
 and corrective actions for landfills;
 and Section
 21.1
of the Act, by failing to postadequate financial assurance for the sites. The complainant did not
seek a monetary penalty against the respondents because theywere both engaged in
bankruptcy proceedings.
 See,
 Opinion and
 Order of the Board
 dated July 7,
 1995.
In 1996 and 1997, the partieswere again before the Board for violations at three landfills
near
 Centralia known as the Centralia/Prior site, the Prior/Blackwell site
 and the Industrial
Salvage site.
 See, People
 v.
 John Prior and Industrial Salvage,
 Inc.,
 PCB 97-111.
 The
 People
alleged
 that the respondents
 failed to
 monitor and
 report groundwater quality, failed
 to maintain
48
and secure
 monitoring wells, discharged contaminants
 into the groundwater causing water
pollution,
 and failed to
 implement a corrective
 action plan.
 The Board found the respondents to
be
 in violation of the Act
 and Board
 regulations and
 imposed a civil penalty against the
respondents in the amount of $287,000.00 and ordered the respondents to reimburse
 -
complainant $2,520.00 for attorney fees.
 See,
 Opinion and Order of the Board, dated
November 20,
 1997.
 Due
 to
 Prior’s extensive non-compliance
 history,
 not only should the
Board aggravate this factor,
 but the Board should
 impose a significant penalty against Prior to
deter future violations.
-
 IV. RELIEF
 REQUESTED
The People
 request a final order from the
 Board
 imposing
 an appropriate civil penalty for
each
 count of the Complaint.
 Accordingly, the
 People recommend the following
 relief:
A.
 Statutory Maximum
 Penalty.
The Board has
 typically looked to
 an estimation of the statutory maximum penalty as
 a
logical benchmark to
 begin considering
 matters
 in
 aggravation and
 mitigation of penalties.
 See,
Panhandle, supra.
 The formula for this penalty calculation starts with a reference to the
statutory maximum penalties available
 under Section 42(a) and
 (b) of the Act.
 A penalty for the
initial violation of statutory or Board
 regulations is first derived by
 multiplying the statutory
maximum penalty amount by the actual
 number of
 violations.
 Additional violations are
computed for each day of noncompliance which are then,
 in turn, added
 to the initial penalty
calculation.
 See, ESG
 Watts, Inc.,
 supra; People
 v. James and Carol Gilmer,
 PCB No. 99-27
(August 24,
 2000).
For instance,
 at the Gompers site,
 Prior’s violation of Section 21(a) of the Act results in
a statutory maximum penalty
 of $50,000 for the principal violation
 and an additional
$24,640,000 for each
 day of continuing violations (i.e.,
 2464 days x
 $10,000
 $24,640,000).
The total penalty for Prior’s Section 21(a) violation
 at the Gompers
 site alone
 is an
 estimated
49
$24,690,000 (i.e.,
 $50,000
+
 24,690,000).
 A calculation of the statutory maximum penalty for
Prior’s remaining
 land
 pollution violations would
 generate similar statutory
 maximum penalties.
In
 addition, a
 calculation of the statutory maximum penalty for Prior’s water pollution
violations at the
 Park,
 Mezo Oestreich and
 Morgan
 Kalberkamp sites and
 Mezo’s water
pollution violation at the
 Mezo
 Oestreich site would
 produce comparable
 statutory maximum
penalties.
 For instance,
 at the
 Mezo Oestreich
 site, Prior’s and
 Mezo’s violation of Section
12(a) of the Act has a
 statutory maximum penalty of $50,000
 for the principal violation
 and an
additional $20,820,000 for each day of continuing violations
 (i.e.,
 2080 days x $10,000
 =
$20,820,000).
 The total penalty apiece for Prior’s and
 Mezo’s Section
 12(a) violation
 is
estimated
 at $20,870,000 (i.e., $50,000
+
 $20,820,000).
 A similar calculation for the
Respondents’
 remaining water pollution violations would
 result in
 similar penalties.
As
 set forth
 herein,
 a substantial fine
 is warranted in
 this case.
 The People are
 not
requesting
 the potentially assessable statutory maximum as
 plead
 in the Complaint.
 As
discussed
 supra,
 the potentially assessable statutory maximum is well in
 excess of hundreds of
millions of dollars against Prior and
 in excess of millions of dollars against Mezo.
 Alternatively,
the People argue that a penalty of $100,000
 is reasonable for Prior and
 $3,500 is a reasonable
penalty for Mezo given the circumstances and due
 consideration of the factors
 enumerated
under Section
 33(c) and 42(h)
 outlined above.
 The
 People
 cite the following cases
 in
 support of
their contention:
 circumstances showing the unreasonableness
 of the Respondent’s conduct or
its
 lack of good faith prompted the
 Board
 to
 assess a
 penalty of $680,200,
 People
 v.
 ESG
Watts,
 Inc.,
 PCB
 96-233 (February
 5,
 1998);
 the Respondent’s
 blatant disregard
 for the
applicable
 law and
 corresponding lack
 of due diligence resulted
 in
 a $200,000.00 penalty,
People
 v.
 Summit Environmental Services,
 Inc.,
 PCB
 No.
 94-202
 (September 21,
 1995); the
seriousness and
 lengthy duration attributed to the violations resulted
 in a $287,000 penalty,
50
People
 v.
 John Prior and Industrial Salvage,
 Inc.,
 PCB No~
 9-111
 (November 20,
 1997);
 see
also,
 the imposition
 of a $164,000.00 penalty for water pollution violations
 in
 People
 v.
 Riverside
American Farms,
 Franklin County Circuit Court No 92-CH-38,
 October 20, 2000; the need for
deterrence prompted the
 Board
 to impose a $472,000 penalty,
 People v.
 Waste Hauling
Landfill,
 Inc and Waste Hauling,
 Inc.,
 PCB
 No. 95-91
 (May 21,
 1998); and
 most recently the
accruing of a significant economic benefit
 and the lengthy
 duration of the violations
 resulted
 in
Board
 imposing a $850,000
 penalty,
 People
 v.
 Panhandle Eastern Pipeline Company,
 PCB No.
99-191
 (November
 15, 2001).
 As set forth in the People’s discussion of the Section 33(c)
 and
42(h) factors
 above,
 all of these factors exist in this case against Prior
 and strongly support the
People’s request for the imposition of a $100,000 civil penalty against Prior.
 In addition, the
People’s analysis of the Section
 33(c) and 42(h) factors support the People’s requested $3,500
civil penalty against Mezo.
B.
 Attorney’s Fees.
 -
Section 42(f) of the Act
 states as follows:
The State’s Attorney of the county in which the violations occurred,
 or the
Attorney General, shall bring
 such actions
 in the name of the
 People of the
 State
of Illinois.
 Without limiting any other authority which may exist for the awarding
of attorney’s fees
 and costs,
 the
 Board
 or a court of competent jurisdiction may
award costs and
 reasonable attorney’s
 fees including the reasonable costs of
expert witnesses and
 consultants,
 to
 the
 State’s Attorney or the Attorney General
in
 a case where
 he has
 prevailed against a person who has committed a willful-,
knowing or repeated violation of the Act.
The
 People respectfully request the award of attorney fees of $6,600.00.
 The
 People are
entitled to the aforementioned
 attorney’s fees
 on the ground
 that Prior repeatedly violated the
51
Act.13
 The People do not seek attorney fees from
 Mezo.
1.
 Repeated violations.
 -
The People respectfully request the award of attorney fees due to
 Prior’s repeated
violations of the Act.
 The Board has
 made limited
 rulings addressing what constitutes a
repeated violation of the Act for purposes of Section
 42(h).
 In
 People
 v.
 Chicago Heights
Refuse Depot,
 PCB 90-112
 (October
 10,
 1991), the
 Board found a distinction between
 a
continuing and a
 repeated violation
 of the Act for the purposes of the Respondent’s
 non-
submittal of groundwater monitoring
 results over a
 several year period.
 For a repeated violation
of the Act, the Board’s analysis
 focused on whether there were prior, similar findings of
violations against the Respondent.
 In
 People
 v.
 Kershaw,
 et al.,
 PCB 92-164 (April
 8,
 1993),
the water pollutional discharges
 continued from
 1985 to
 1992,
 even though the State
 notified
the Respondent of the violations
 in
 1985.
 Since the Respondent continued
 to allow water
pollutional discharges even
 after being
 notified that the operation of the facility was
 in violation
of the Act, the Board found that the Respondent committed a repeated and
 knowing violation
 of
the Act.
 Based
 on this precedent,
 in
 People
 v. Panhandle Eastern Pipe Line Company,
 PCB
99-191
 (November 15,
 2001), the
 Board
 awarded attorney’s fees and costs
 of over $1 15,000
where the Respondent repeatedly exceeded
 its annual
 NOx permit
 limit.
‘3In addition,
 Prior’s repeated open dumping of waste
 at the Gompers site after
 Illinois EPA
instruction
 to
 appropriately dispose of the excavated material demonstrates that the violations were
 also
“knowingly” committed.
 (Day
 1, Tr. at 48-49,
 57);
 see also,
 Exhibits
 3,
 6.
 Knowledge
 is generally defined
as an “acquaintance with the fact or truth” and, where
 it
 is an element of a statutory offense, such
knowledge is present if a person is “aware of a high probability of its existence.”
 Black’s
 Law
 Dictionary
(West’s Abridged
 4th Edition). A person need not have the appreciation as to
 the illegality of the conduct.
People of the State of Illinois
 v.
 Clybourn Metal Finishing
 Company,
 PCB 89-157 (A
 &
 B) (July 1991);
citing
 Kampen v. Department of Transportation,
 103
 III.
 Dec. 884 (2nd
 Dist.
 1986).
 Courts have frequently
observed that the element of knowledge may be proven
 by “circumstantial evidence
 and the reasonable
inferences therefrom.”
 People
 v.
 Tucker,
 542
 N.E. 2d 804,
 186
 Ill.
 App.
 3d 683 (1st
 Dist.
 1989);
Schlobohm
 v.
 Rice,
 510
 N.E. 2d 43, 157
 Ill.
 App. 3d 90 (1st
 Dist. 1987) (element of knowledge
 is “not
susceptible of direct proof” and thus may be shown by circumstantial evidence “reasonably and fairly
drawn”).
52
The facts of this case are clearly analogous to the Board’s previous determinations of
what constitutes a
 repeated violation of the Act.
 Not only has
 Prior had similar releases of oil
 to
State waters that have
 resulted in
 violations of Section
 12(a) and
 (d) of the Act and
 the
associated
 regulations,
 Prior was notified of the impropriety of such
 releases after the first
incident at the
 Mezo Oestreich site
 on June 30,
 1997. (Day
 1, Tr.
 at
 98-105, 122-130);
 see also,
Exhibit
 16.
 After the Illinois
 EPA issued Violation
 Notices against
 Prior in August and
 November
1998 for
 releases at
 the Park and
 Mezo Oestreich sites,
 respectively,
 Prior released oil
 to
 State
waters
 at the Morgan Kalberkamp site.
 (Day
 1, Tr.
 at
 131,
 134);
 see also,
 Exhibits
 14 and
 21.
The facts are
 clear.
 Prior has
 repeatedly released
 oil to
 State waters.
 After the initial
release
 at the
 Mezo Oestreich site,
 Prior continued
 to
 operate its oil production operations
 in
the very same non-compliant manner.
 Based
 on the repeated
 nature of the violations,
 the
People
 respecifully request that the Court award attorney’s fees and costs.
2.
 Reasonableness of attorney’s
 fees.
The People’s request for attorney fees
 in the amount of $6,600.00 is reasonable
 in light
of the applicable case
 law and the time expended by the
 People to
 prosecute this case against
Prior.
 See,
 Attachment
 1
 and
 incorporated herein detailing the amount of time the
 People
 have
expended
 prosecuting this case.
 0
The People respectfully request the award of attorney’s fees
 in the amount of $6,600.00
(i.e.,
 $120 x 55 attorney
 hours).
 The People’s request is reasonable
 in
 light of prior Board
decisions.
 In
 People
 v.
 ESG
 Watts,
 Inc.
 PCB
 94-1 27, the Board
 awarded
 attorney’s fees
 in the
amount of $120
 per hour and
 this amount was reapplied by the Board in
 People
 v. ESG
 Watts,
Inc.,
 PCB 96-1 07,
 People
 v. ESG
 Watts,
 PCB 96-233,
 People
 v.
 ESG
 Watts,
 Inc.,
 PCB 96-237,
People v.
 John Prior,
 PCB 97-211, and
 in
 People
 v.
 Waste Hauling Landfill,
 PCB
 95-91.
Attorney’s fees
 have been
 awarded
 not only for the time associated
 with the trial (hearing),
 but
53
for the time associated
 with
 trial preparation, discovery, the drafting of pleading
 and
 preparing
briefs.
 People
 v.
 Spirco Environmental,
 Inc.,
 PCB 97-203;
 see also,
 Panhandle, supra.
WHEREFORE, the People respectfully requests that this Court find for the People and
provide the following relief:
 -
A.
 Find that on or about June
 13,
 1996,
 and continuing through March
 12,
 2003,
Prior has violated Sections 21(a),
 (d),
 (e), (p)(1), (p)(6) of the Act,
 and 35
 III. Adm.
 Code
722.111,739.122(c),
 (d),
 808.121, 812.101(a), respectively,
 by causing
 land pollutional
violations
at
 the Gompers
 site as alleged in the Complaint.
B.
 Find that,
 on or about June
 30,
 1997,
 and continuing through March
 12, 2003,
Prior has violated
 Sections 12(a) and
 (d) of the Act,
 and 35
 III. Adm.
 Code 302.203 and
 302.208
respectively by causing, allowing, or threatening water pollution,
 by creating water pollution
hazards,
 and
 by creating
 offensive conditions as alleged
 in the Complaint;
C.
 Find
 that,
 on or about June 30,
 1997
 and continuing through March
 12,
 2003,
Mezo has violated Sections
 12(a) and
 (d) of the Act, and
 35
 III. Adm.
 Code 302.203 and
302.208
 respectively
 by causing, allowing, or threatening water pollution,
 by creating water
pollution hazards, and
 by creating offensive conditions
 as alleged
 in the Complaint;
D.
 Enter judgment in favor of the People and against the Respondents;
E.
 Assess a civil penalty
 of $100,000 against John
 Prior;
F.
 Assess a civil penalty of $3,500 against James
 Mezo;
 -
G.
 Award attorneys
 fees of $6,600.00 to the People, to be
 paid
 by Prior;
 and
54
H.
 Grant such other and further relief as
 the Board
 deems appropriate.
Respectfully submitted,
-
 PEOPLE OF THE STATE
 OF ILLINOIS,
LISA MADIGAN
Attorney General
of the State
 of Illinois
-
 MATTHEW J.
 DUNN, Chief
Environmental
 Enforcement/Asbestos
Litigation
 Division
BY:
 /~0~/~
SALL~’A.
 CARTER
Environmental Bureau
Assistant Attorney General
500
 South
 Second Street
Springfield,
 Illinois 62706
 -
217/782-9031
Dated: October 27, 2003
55
STATE OF ILLINOIS
 )
)SS
COUNTY OF SANGAMON
 )
-
 AFFIDAVIT
I,
 SALLY A.
 CARTER,
 after being
 duly sworn and
 upon oath,
 state
 as follows:
1.
 I am
 an Assistant Attorney General
 in the Environmental
 Bureau
 of the Office of
the Attorney General
 and assigned
to
represent the People of the
 State of Illinois
 in the case of
People of the State of Illinois
 v.
 John Prior,
 d/b/a Prior Oil Company and James Mezo,
 d/b/a
Mezo
 Oil Company,
 No. 02-177.
2.
 I
 have reviewed the hours
 I
 spent prosecuting this case
 and
 as set forth
 in
Attachment
 1
 to this Affidavit and
 under the penalties as provided
 by law pursuant to
 Section
 1-
109 of the Code of Civil
 Procedure, the undersigned certifies that the statements set forth
 in
this instrument pertaining to the hours
 I spent prosecuting this case are true
 and correct,
 except
as to
 matters therein stated to be
 on information
 and belief and as to
 such matters
 the
undersigned certifies as aforesaid
 that she verily believes the same to
 be true.
FURTHER, AFFIANT SAYETH
 NOT.
SILLY
 A.
 CARTER
SUBSCRIBED AND SWORN
 to
 before
me this ~7day
 of
()r4~,,i~i,
 2003.
Notary Public
f~
OFF~S~1~1
~
 PEGGY J.
POITEVINT
~NOTARY PUBLIC,
 STATE
 OF ILLINOIS
~MMISSIp~
 4•1 6•2006
ATTACHMENT I
The People respectively request an
 award of $6,660.00
 based upon 55.50 attorney
hours employed
 to
 prosecute this case.
 A conservative breakdown of the attorney hours spent
prosecuting this case
 is set forth
 in the following table:
DESCRIPTION
 OF WORK PERFORMED
 BY MS.
 CARTER
 HOURS
Pleadings
Complaint
 4/1 9/02
 5.00
Interrogatories and Request for Production 8/4/03
 1.50
Complainant’s
 Brief 10/27/03
 24.50
Hearing
 Preparation
September 4, 2003- September 14, 2003
 12.50
Hearing
 -
September
 15, 2003- September
 16,
 2003
 12.00
Total Attorney Hours
 55.50
x 120/hr
Total Award of Attorney’s Fees Requested
 $6,660.00
Due
 to
 the
 volume
 of this
 pleading,
please
 contact
 the
 Clerk’s
 Office
at
312/814—3629
to
 view
 this
 file.