ILLINOIS POLLUTION CONTROL BOARD
    January 26, 1987
    IN THE MATTER OF:
    PUBLIC AIRPORT NOISE
    )
    REGULATIONS,
    35
    ILL. ADM. CODE
    )
    RES 87—i
    PART 904
    (DOCKET P77—4)
    RESOLUTION OF THE BOARD
    (by J.
    Marlin):
    In its Proposed Opinion and Order
    of April
    10,
    1986,
    the
    Board proposed
    to adopt regulations limiting noise emissions from
    public airports.
    These proposed regulations were published
    in 10
    Ill.
    Beg.
    6907,
    April
    25, 1986.
    Two public hearings were held on
    October
    10
    arid
    20,
    1986,
    at which testimony and exhibits were
    presented, and 40 written comments were received during the
    comment period;
    this comment period extended
    through December
    15,
    1986 pursuant to written requests from various hearing
    participants.
    During
    this first notice period, the City of Chicago,
    in
    Public Comment 167, brought to the Board’s attention
    a decision
    which was rendered
    in October,
    1986 by the Illinois Appellate
    Court
    for the Second District.
    Bryski
    v. City of Chicago, No.
    2—
    85—0140, October
    15,
    1986.
    Application has been made to the
    Illinois Supreme Court for leave to appeal Bryski
    v.
    City of
    Chicago, No. 64397.
    This application
    is currently pending before
    the Supreme Court;
    Board
    staff has been advised by the Court
    Clerk that decision
    is not expected prior
    to the first week of
    February, 1987.
    In
    its Proposed Opinion of April
    10,
    1986, the Board
    had
    found that “neither the supremacy nor the interstate commerce
    clause of the United States Constitution preempts the Board from
    regulating airport noise
    in the manner suggested by the Attorney
    General”
    Id.
    at
    25.
    This determination was reached after
    an
    analysis of relevant federal case law,
    the primary cases upon
    which the Board had relied being City of Burbank
    v.
    Lockheed,
    411
    U.S.
    624
    (1973);
    San Diego Unified Port District v. Gianturco,
    651 F.2d 1306
    (9th Cir.
    1981);
    and Air Transport Assn.
    v.
    Crotti,
    389
    F.
    Supp.
    58
    (N.D. Cal 1975).
    The Board placed considerable
    reliance on the “proprietor’s exception”
    to the otherwise
    total
    federal preemption of airport noise,
    which exception was
    referenced
    in footnote
    14
    of the Burbank Opinion, 411 U.S.635
    n.l4 and discussed
    in Crotti
    and Gianturco.
    The Board’s proposed
    rules were crafted
    to require governmental entities who are
    airport proprietors
    to exert all measures within their power,
    and
    not otherwise pre—empted
    by federal
    law,
    to abate
    the noise
    generated by their
    airport facilities.
    75-168

    —2—
    As of the writing
    of the Board’s April, 1986 Proposed
    Opinion, no Illinois court decision had squarely addressed the
    proprietor’s exception.
    The Illinois Appellate Court for the
    First District had three times addressed the pre—emption issue as
    it related
    to attempts by local governments
    to impose controls
    affecting airports of which they were not the proprietors.
    LaSalle Natl. Bank v. County of Cook,
    34
    Ill. App.
    3d 264,
    340
    N.E.2d 79
    (1st Dist.
    1975)
    (upholding ordinance limiting building
    heights within two miles of designated
    airports); County of Cook
    v.
    Priester,
    22 Ill.
    App. 3d 964,
    318 N.E.2d 327
    (1st Dist. 1974)
    (invalidating zoning ordiance imposing aircraft weight
    limitations),
    aff’d. without reaching supremacy clause issue,
    62
    Ill.2d 357, 342 N.E.2d 41
    (1976);
    and Village of Bensenville v.
    City of Chicago
    16
    Ill.
    App. 3d 733,
    306 N.E.2d 562
    (1st Dist.
    1973).
    In
    Bensenville, several communities surrounding O’Hare
    Airport alleged that aircraft operations
    from the airport emitted
    noise
    and
    air pollution over
    the communities so
    as to constitute
    a public nuisance.
    Bensenville therefore sought an injunction
    prohibiting Chicago from 1)
    expanding
    the airport
    in such
    a
    manner
    as
    to expose the communities
    to higher noise levels,
    2)
    allowing
    the airport’s facilities
    to be utilized by any aircraft
    which emit noise beyond
    a certain level and 3) permitting any
    aircraft which produce noise
    in excess
    of
    a certain level
    to
    utilize airport facilities unless such aircraft was
    in use prior
    to the date of the requested relief.
    Remarking that the “real thrust” of the complaint was to
    prohibit aircraft while
    in flight over the communities from
    producing noise
    in excess of prescribed limits,
    the court found
    the matter before
    it was controlled
    by the Burbank decision
    (which was then some six months old).
    After extensively quoting
    that decision, the court held that under the Federal Aviation
    Act,
    as amended by the Noise Control Act of
    1972,
    the federal
    government had,
    “so occupied the regulation of aircraft noise and
    air pollution as
    to preempt any state
    or local action
    in that
    field.”
    306 N.E.2d
    at 566.
    The court did not quote
    or otherwise
    consider footnote 14.
    One year
    later,
    in Priester, the court held that ~the level
    of federal regulation of air commerce by the Federal Aviation
    Agency
    (sic)
    is so pervasive as
    to deprive other governmental
    bodies of the power
    to act
    to
    regulate airport noise~
    318
    N.E.2d at
    331.
    However, the court specifically distinguished
    Airport Owners
    and Pilots Assn.
    v.
    Port Authority of New York,
    305
    F. Supp.
    93
    (E.D.N.Y.
    1969), which was cited by the County
    for the proposition
    that “a local authority may make regulations
    which have the effect of curtailing activities not
    forbidden by
    federal regulation”;
    the court stated that the case was not
    applicable “because
    there the power sustained was not the result
    of operation of police powers, but of
    a proprietary power
    of the
    75.169

    -.3—
    Port Authority”.
    318 N.E.2d
    at
    331.
    The court implied, although
    it did not explicitly give, recognition of
    a proprietor’s
    exception.
    As aforementioned,
    in LaSalle National Bank the Supreme
    Court did
    not reach the appellate court’s handling of the
    preemption/proprietor’s exception issue,
    as this was not
    necessary
    to disposition of the case.
    In its decision, the
    appellate court noted
    that in Priester
    it had held that
    “the
    federal government had essentially pre—empted the field of air
    commerce which was affected by the county’s weight restriction”
    there at issue, but went on
    to state that Priester did not apply
    to the building height ordinance at issue
    in LaSalle.
    340 N.E.2d
    at
    87.
    Thus,
    following
    sound principles of case construction and
    stare decisis,*
    in the absence of controlling
    Illinois case
    decisions
    to the contrary,
    the Board was free to construe the
    Burbank proprietor’s exception in light of the rationale
    expressed
    in various non—binding
    federal precedents argued
    to
    the
    *As defined and described
    in Black’s Law Dictionary 1577—1578
    (rev.
    4th ed. 1968),
    stare decisis
    is
    a legal
    principle requiring
    courts, and administrative agencies, such as the Board:
    To
    abide
    by,
    or
    adhere
    to,
    decided
    cases... .Doctrine
    that, when court has once laid down
    a principle of law
    as
    applicable
    to
    a
    certain
    state
    of
    facts,
    it
    will
    adhere
    to
    that principle,
    and
    apply
    it
    to
    all
    future
    cases,
    where
    facts
    are substantially the
    same... .Under
    doctrine
    a
    deliberate
    or
    solemn decision of court made
    after argument on question of law fairly arising
    in the
    case,
    and
    necessary
    to
    its
    determination,
    is
    an
    authority,
    or
    binding precedent
    in
    the
    same
    court,
    or
    in
    other
    courts
    of
    equal
    or
    lower
    rank
    in
    subsequent
    cases where
    the very point is again
    in controversy....
    The
    doctrine
    is
    limited
    to
    actual
    determinations
    in
    respect
    to litigated and necessarily decided questions,
    and
    is
    not
    applicable
    to
    dicta
    or
    obiter
    dicta.
    citations
    omitted.
    Obiter dicta
    is defined
    as:
    remarksJ
    made,
    or
    opinions
    expressed, by
    a judge
    in
    his
    decision,
    upon
    a
    cause,
    ‘by
    the
    way’,
    that
    is,
    incidentally or
    collaterally, and not directly upon the
    question
    before
    him
    or
    upon
    a
    point
    not
    necessarily
    involved
    in
    the determination
    of
    the
    cause,
    or. intro-
    duced
    by
    way
    of
    illustration,
    or
    analogy
    or
    argument.
    Id.
    at
    1222.
    75-170

    —4--
    Board by the various participants in this proceeding.
    However,
    in the Bryski decision, the Second District Appellate Court
    specifically addressed the “proprietor’s exception”
    issue.
    Bryski
    involved a class action suit brought
    in 1983 by
    various residents of Du Page County against the City of Chicago,
    and six airlines which lease terminals at O’Hare
    for money
    damages resulting from noise, vibration and air pollution.
    The
    circuit court dismissed plaintiffs’
    inverse condemnation count
    without prejudice, but dismissed with prejudice seven other
    counts which asserted various other
    legal theories for recovery.
    On appeal, the plaintiff—citizens argued five issues:
    (1)
    Federal law does not preempt nuisance or
    trespass claims against
    airport proprietors,
    (2)
    the Local Governmental and Governmental
    Employees Tort Immunity Act
    (Ill. Rev.
    Stat.
    1983,
    ch.
    15,
    par.
    1—101,
    et. seq.)
    does not bar recovery from the City,
    (3)
    the
    airlines are joint venturers or co—proprietors with the City
    in
    the operation of O’Hare,
    (4) plaintiffs’
    complaint adequately
    stated
    a cause of action for trespass and nuisance, and
    (5)
    the
    circuit court
    erred
    in dismissing plaintiffs’
    counts requesting
    a
    mandatory injunction ordering the City
    to issue obligations to
    cover
    the damages sought.
    The Appellate Court for the Second
    District addressed the first issue only,
    finding that federal law
    does preempt nuisance and trespass claims against airport
    proprietors, leaving the action
    for
    inverse condemnation as the
    plaintiffs’
    only proper
    remedy.
    Slip op.
    at 15—16.
    In reaching this result,
    the Second District analyzed the
    various major airport noise cases
    the Board discussed or
    mentioned in its proposed airport noise opinion,
    including the
    U.S. Supreme Court’s decisions in Burbank and Griggs
    v.
    Allegheny,
    369 U.S. 84
    (1962), the Seventh Circuit’s decision
    in
    Luedtke v.
    Milwaukee,
    521 F.2d 387
    (7th Cir.
    1975),
    the
    California District Court’s decision
    in Crotti, and the Illinois
    Appellate Court’s decisions
    in Priester and Bensenville.
    The key
    sentences
    in the Bryski Opinion are
    as follows:
    “Despite
    plaintiffs’
    arguments
    to
    the
    contrary,
    footnote
    14
    to
    the
    Burbank
    decision
    is
    not
    a
    positive
    recognition
    of
    a
    “proprietorship
    exception,”
    but merely
    an
    expression of
    the
    U.S.
    Supreme
    court’s
    refusal
    to
    consider
    the
    issue
    at
    that time.
    We
    disagree
    with
    those
    cases
    from
    other
    jurisdictions
    which
    hold
    that
    airport proprietors
    may
    be
    held
    liable
    for
    nuisance
    and
    trespass
    and
    adopt
    the
    reasoning
    of
    the United
    States
    Court
    of
    Appeals
    for
    the
    Seventh
    Circuit,
    as
    expressed
    in
    Luedtke
    v.
    County of Milwaukee
    (7th Cir. 1975),
    521
    F.2d
    387,
    which
    stated
    that
    the
    proprietor
    of
    a
    75-171

    —5—
    county—owned
    airport
    and
    federally
    certified
    airlines operating out of that airport could not be
    charged
    with negligence
    or
    creating
    a nuisance
    to
    the
    extent
    they
    conformed
    with
    Federal
    laws
    and
    regulations.
    This holding
    fully
    incorporates
    the
    Supreme
    Court’s
    ruling
    in
    Burbank
    that
    airspace
    management has been federally preempted.
    We find support
    for our conclusion in Priester
    and
    Bensenville
    citations
    omitted,
    in
    which
    the
    courts
    noted
    the
    pervasive
    nature
    of
    Federal
    regulation
    over
    air
    commerce.
    ...Plaintiffs’
    current
    actions
    are
    based
    solely
    on
    the
    inflight
    operation
    of
    aircraft
    arriving
    at
    and
    departing
    from
    O’Hare
    in
    full
    compliance
    with
    Federal
    regulations.
    Plaintiffs
    do
    not
    predicate
    their
    complaint on
    ground
    noise
    or
    pollution
    and
    do
    not
    allege
    in
    their
    complaint
    that
    the defendant
    city
    or
    airlines
    have
    violated
    Federal
    regulations
    in
    the operation of the airport.
    As
    plaintiffs’
    claims
    in nuisance and trespass are
    based
    completely
    upon
    the
    inflight
    operation
    of
    aircraft,
    they
    necessarily
    interfere
    with
    the
    Federal
    regulation
    of
    airspace management
    and
    are
    preempted
    by
    Federal
    law
    under
    Burbank.
    We
    hold
    the
    circuit
    court
    correctly
    dismissed
    plaintiffs’
    complaint against the city,
    as O’Hare’s proprietor,
    and
    the
    airlines,
    as
    co—proprietors,
    for
    nuisance
    and tresp~ss based
    upon
    the
    noise,
    vibrations
    and
    pollution
    generated
    by
    O’Hare
    air
    traffic.”
    Slip
    op.
    at 15—16
    The Board notes that
    in crafting
    its proposed
    airport noise
    regulations, the Board has recognized
    the ability of the Federal
    Aviation Administration
    (FAA)
    to veto various noise abatement
    strategies which do not deal solely with ground noise.
    Examples
    of such strategies, which are subject
    to FAA veto,
    are airport
    curfews and changes
    in approach or
    take—off flight paths.
    Implementation of these strategies
    in a particular situation
    could adversely affect air safety or the free flow of
    interstate
    commerce, interests which are within the FAA’s jurisdiction.
    It
    was not the Board’s intent
    to “preempt” the FAA’s jurisdiction
    in
    these areas,
    but rather
    to compel
    the airport proprietor
    to
    interact with the FAA
    to determine the limits of what can and
    cannot be safely and practically done
    to abate
    the effects of the
    noise
    from airborne jets at specific airports.
    The incentive
    for
    such interaction would
    be either
    to achieve compliance with the
    statewide noise standard,
    or
    to amass sufficient information
    to
    persuade the Board
    to set an
    “adjusted standard”
    for
    a particular
    airport conditioned
    on that airport’s continued implementation of
    all
    in—flight abatement measures permitted by the
    FAA,
    as well
    as
    75.172

    —6—
    controls of noise generated on the ground.
    To the extent that
    Bryski could be read as precluding imposition by the state of any
    duties,
    including consultation with the FAA,
    on the airport
    proprietor relating to in—flight noise beyond payment of an
    inverse condemnation award,
    the major component of the Board’s
    proposed rules might be prohibited.
    The Attorney General,
    in P.C.
    176, asserts that Bryski
    is
    “consistent with the Board’s stated legal basis for the proposed
    regulatory scheme”.
    However, the Board believes that the
    sweeping language of the Second District Bryski decision could be
    quite readily interpreted
    under
    the principle of stare decisis as
    precluding the Board from proceeding with those portions of the
    proposed Airport Noise Regulations which compel airport
    proprietors
    to consider
    implementing measures
    to abate inflight
    noise apart from those required by the federal government.
    Such
    an interpretation would require the Board to determine whether or
    how to proceed with the balance of the proposal.
    It
    is the opinion of the Board that the potential statewide
    regulatory ramifications occasioned by the language of the Bryski
    decision should be brought
    to the attention of the Illinois
    Supreme Court,
    so that it may make
    a fully informed decision as
    to whether the Bryski decision merits review.
    The Board
    accordingly petitions its attorney,
    the Attorney General,
    to take
    all appropriate
    steps
    to “intervene” as
    a “friend of the court”
    on the Board’s behalf in this matter,
    and
    to advocate the Board’s
    interest
    in a fully informed Supreme Court decision.
    The Board. notes that any resolution of this basic legal
    issue by the Supreme Court at this point
    in the R77—4 proceeding
    could
    result
    in
    substantial economies of time and resources
    for
    all concerned.
    The Board recognizes the inevitability of appeal
    of its actions
    in this docket, and
    further recognizes that the
    appellate process could be lengthy.
    If the Bryski decision
    is
    narrowed, even
    if appeals are not avoided,
    the scope
    of such
    appeals could be greatly reduced; the earlier
    a decision
    is
    reached, the earlier any lawful noise abatement regulations can
    be enforced by the state.
    Finally, until any and all appellate review of Bryski
    is
    completed,
    the Board will take no further action
    in this docket.
    Given the high degree of public
    interest in this proceeding,
    the Clerk
    is directed
    to cause service of copies of this
    resolution on all 200—odd persons on the R77—4
    notice
    list,
    for
    the purposes of advising them of the status of this matter.
    IT
    IS SO RESOLVED.
    J.
    Anderson concurred.
    J.
    T.
    Meyer voted present.
    75-173

    —7—
    I,
    Dorothy
    M.
    Gunn, Clerk of the Illinois Pollution Control
    Board,
    hereby certify
    at the above Resolution was adopted on
    the
    ?~~-
    day of
    ~,
    ,
    1987 by
    a vote
    of
    ...~—
    C)
    7
    Dorothy M.
    G(inn, Clerk
    Illinois Pollution Control Board
    75.174

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