ILLINOIS POLLUTION CONTROL BOARD
    August
    28,
    1986
    IN THE MATTER OF
    )
    AMENDMENTS TO 35
    ILL. ADM. CODE
    )
    R86—lO
    211
    &
    215 ORGANIC MATERIAL
    )
    EMISSION STANDARDS AND LIMITATIONS
    )
    FOR SYNTHESIZED PHARMACEUTICAL
    )
    MANUFACTURING PLANTS.
    )
    ORDER OF THE BOARD
    (by J.
    D.
    Dumelle):
    By Hearing Officer Order dated August 12,
    1986,
    several
    motions regarding the production of documents and the issuance of
    interrogatories were referred
    to the Board.
    These issues have
    been raised
    in filings dated March 24, April
    10,
    22 and
    24 and
    August
    4
    and 12, 1986.
    The April 24,
    1986, motion for leave
    to
    reply
    is hereby granted.
    In short,
    the Illinois Environmental Protection Agency
    (Agency)
    argues that the information
    it seeks
    is necessary
    to
    a
    decision
    in this matter,
    is the type of information required
    to
    be provided by the Environmental Protection Act,
    and is in the
    sole possession of Abbott Laboratories.
    Abbott contends that the
    cost of providing that information
    (about $1.6 million)
    is
    unreasonable and unnecessary.
    The Board recently entered an Order
    in R82—l4 dated July 11,
    1986,
    in which
    it considered
    a similar
    issue.
    In that Order the
    Board
    stated:
    The Environmental Protection Act
    (“Act”)
    and
    the
    Board’s
    procedural
    rules
    provide
    various mechanisms
    for
    gathering
    information
    in regulatory proceedings.
    Section
    28 of the
    Act
    requires
    that
    the
    Board
    conduct
    public
    hearings
    and
    that
    its
    decisions
    be
    made
    on
    the
    record.
    Section
    5(e)
    provides
    for
    subpoena
    power
    for
    both
    adjudicatory
    and
    regulatory
    proceedings.
    35
    Ill.
    Adm.
    Code
    102.140 and 102.160 authorize the issuance of
    subpoenas,
    commands
    to produce documents and
    ~the issuance
    of
    interrogatories.
    Notably,
    these
    subpoenas,
    commands
    to
    produce
    and
    interrogatories are
    to be made in the name
    of
    the Board either
    through
    the hearing officer
    or the Board
    itself.
    These mechanisms,
    among
    others,
    are
    available
    to
    the
    Board
    in
    order
    to
    develop
    a
    complete
    record
    for
    decision.
    72.247

    —2—
    Other
    information
    gathering
    mechanisms
    include questions
    at
    hearing,
    pre—submission
    of testimony,
    written
    inquiries
    by
    the
    Board
    or
    hearing
    officer,
    public
    comments
    and
    briefs.
    There
    is
    a
    significant
    distinction
    between
    mechanisms
    for
    gathering
    information
    in
    a quasi—legislative
    regulatory
    proceeding
    and
    discovery
    in
    a
    quasi—adjudicatory
    adversarial
    proceeding.
    In
    a
    regulatory
    proceeding,
    the
    purpose
    of
    discovery
    is
    to
    develop
    a
    complete
    record
    for
    the
    Board,
    while
    in
    a
    contested
    case
    proceeding,
    discovery
    is
    between
    the parties
    and
    can
    be
    related
    to other
    purposes.
    The standard and
    focus
    of discovery
    in a regulatory proceeding
    should
    be
    general
    relevancy
    to
    “technical
    feasibility and economic reasonableness.”
    In
    a contested case, relevancy or
    the likelihood
    that
    the
    requested
    information
    will
    lead
    to
    relevant
    information
    is
    the
    standard.
    Information
    obtained
    through
    discovery
    in
    a
    contested
    case
    is
    not
    evidence
    unless
    otherwise
    admissible
    and
    actually
    admitted.
    Failure
    to comply with discovery requests
    in
    a contested case can lead
    to sanctions, while
    in
    a
    regulatory
    context
    lack
    of
    supporting
    information can result
    in dismissal
    or denial
    for
    inadequacy.
    In
    the
    contested
    case
    context,
    the
    forum
    “referees”
    the discovery
    process
    that
    is ongoing
    between the parties,
    while
    in
    a
    Board
    regulatory
    proceeding,
    the
    Board itself must ensure
    a complete record by
    requesting information.
    The
    Board
    clearly
    has
    the
    authority
    to
    issue
    interrogatories
    in
    a
    regulatory
    context,
    and
    has
    used
    this mechanism
    in
    the
    past
    (R81—19,
    Citizens
    Utilities
    Site—
    Specific, Board Order
    of April 10,
    1986; R82—
    25
    Dean
    Foods
    Site—Specific,
    Board Order
    of
    July
    11,
    1985,
    Hearing
    Officer
    Order
    of
    September
    16, 1985;
    R82—14 RACT III
    Heatset
    Web Offset Printing,
    Board Opinion and Order
    of
    May
    30,
    1985,
    Hearing
    Officer
    Order
    of
    September
    10,
    1985).
    Interrogatories
    are
    just
    one
    tool
    the
    Board
    may
    use
    to
    gather
    information.
    Perhaps
    the
    term
    “interrogatory”
    is
    an unfortunate word choice
    in
    that
    it
    can
    connote
    an
    adversarial
    process.
    While Board rulemakings are
    formal
    72-248

    —3—
    proceedings
    (hearings are transcribed,
    cross—
    examination occurs,
    decisions are made on the
    record
    and
    comment
    periods
    are
    allowed),
    it
    is not appropriate
    to allow matters
    to become
    too procedurally adversarial.
    The Board
    shares with the Agency
    a desire for
    a complete
    record and
    an expeditious decision
    in this matter
    to assure
    approval of
    the State Implementation Plan.
    However,
    the Board is
    unconvinced
    that compelling
    the production of documents and the
    answering of interrogatories
    as requested is the best means
    to
    achieve those results
    at this time.
    So far,
    there
    is nothing
    in
    the record other
    than the proposal and various pleadings.
    It is
    premature
    to require Abbott
    to respond to detailed discovery at a
    cost which
    it alleges to
    be $1.6 million when the only stated
    basis
    is that such information
    is
    required pursuant to
    a rather
    generally worded USEPA proposal to disapprove.
    The Board agrees
    with
    the Agency that the Board must “possess sufficient
    information
    such that a clear
    and complete record can be made on
    this matter.”
    (March 24, 1986 motion for production,
    p.
    2).
    The
    Board also agrees that the requested information would
    be
    sufficient, but
    it
    is also concerned that such detail may not
    be
    necessary.
    As the record develops in this matter,
    it will be
    much easier
    for the Board,
    in response to any renewed request
    from the Agency or any other participant,
    or
    on its own motion
    to
    determine what additional information
    is necessary,
    if any,
    and
    the Board
    could order
    such additional information later
    in this
    proceeding should
    the need arise.
    Nowhere does the Agency question Abbott’s estimate of the
    cost
    to complete the requested discovery.
    In its August 12,
    1986,
    response the Agency does contend that
    “no cost
    is caused
    this company
    in answering these interrogatories,
    for
    this is
    information which must otherwise be” provided under the Act and
    will
    be required
    in future permit applications.
    (Response,
    p.
    1).
    However,
    there
    is nothing
    in the Act or Board rules which
    requires that information to be presented
    in this proceeding
    (absent
    a Board order);
    if that information
    is
    in fact required
    for future permit applications,
    it can be generated over the next
    few years
    rather than the next
    28 days; and the question of
    whether such detailed information
    is necessary may be appealed
    to
    the Board when required.
    For all
    of these reasons,
    the Board
    finds
    this argument less than compelling.
    The Board also understands the Agency’s fear that
    it may not
    be able to present adequate support for its proposal
    if Abbott,
    which
    is the only affected facility
    in the state,
    is allowed
    to
    present only that information it desires and only when it desires
    to present
    it.
    The Agency alleges that this is what happened in
    the predecessor proceeding
    (RACT
    II)
    in 1980—1982.
    The Board
    believes, on balance, that this potential problem can be
    mitigated by requiring Abbott
    to submit any testimony
    it desires
    72.249

    —4—
    to make part
    of the record at least
    21 days prior
    to hearing at
    which Abbott desires
    to present such evidence and barring Abbott
    from subsequently introducing any other evidence into the record
    which
    is opposed.
    This should allow the Agency ample opportunity
    to examine the evidence presented and to rebut
    it or
    to
    demonstrate
    its incompleteness.
    If,
    at a later date,
    this
    procedure proves unacceptable, the Agency may
    renew its discovery
    request and the Board may take additional appropriate actions.
    The motions
    to compel and produce are hereby denied and the
    motion for
    a protective order
    is hereby granted.
    However, Abbott
    is required to pre—submit any evidence
    it desires
    to enter
    into
    this record at least 21 days prior
    to the hearing at which it
    is
    presented and
    is barred from later entering any other information
    into the record which is objected
    to.
    IT IS SO ORDERED.
    I, Dorothy
    14.
    Gunn, Clerk of
    the Illinois Pollution Control
    Board, hereby certify that
    tJ~,e above Order was adopted on
    the
    ~
    day
    of
    (2~~.jX
    ,
    1986 by a vote
    of
    ~
    .
    Dorothy M. ~nn,
    Clerk
    Illinois Pollution Control Board
    72-250

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