ILLINOIS POLLUTION CONTROL BOARD
December 17, 1998
IN THE MATTER OF:
PROPORTIONATE SHARE LIABILITY:
35 ILL. ADM. CODE 741
)
)
)
)
R97-16
(Rulemaking - Land)
Adopted Rule. Final Order.
OPINION AND ORDER OF THE BOARD (by C.A. Manning
, K.M. Hennessey, and M.
McFawn)
:
In 1995, the Illinois General Assembly adopted legislation repealing joint and several liability
in actions involving environmental remediation and replaced it with proportionate share liability. See
Pub. Act 89-443, eff. July 1, 1996. This new proportionate share scheme is contained in Section
58.9 of the Environmental Protection Act (Act) (415 ILCS 5/58.9 (1996)). In the same piece of
legislation, the Board was charged with adopting rules and procedures to determine proportionate
share. These rules and procedures must be adopted before January 1, 1999. See Pub. Act 90-484,
eff. August 17, 1997 (Amended 415 ILCS 5/58.9(d) (1996)). The Board today adopts those
procedures for determining proportionate share.
In this final opinion and order, the Board adopts the rules proposed at second notice with
minor modification. The Board also discusses the procedural history of this rulemaking, including the
Board’s major findings at first and second notice, and a summary of rules adopted today. Readers
seeking a detailed discussion of the issues that the Board decided at first or second notice should
consult the Board’s opinions and orders at first and second notice. See
Proportionate Share Liability
(35 Ill. Adm. Code 741)
(September 3, 1998), R97-16;
Proportionate Share Liability
(December 3,
1998), R97-16.
PROCEDURAL HISTORY
On December 5, 1996, the Board on its own motion opened a docket to solicit public
comments and/or proposals to assist in the promulgation of rules and procedures implementing the
proportionate share provisions of Section 58.9 of the Act. See
Proportionate Share Liability
(December 5, 1996), R97-16. On February 2, 1998, the Illinois Environmental Protection Agency
(Agency) filed a rulemaking proposal with the Board to implement the provisions of Section 58.9.
The Agency’s proposal was the result of a coordinated effort between the Agency, the Illinois
Attorney General’s Office (AGO), and the Site Remediation Advisory Committee (SRAC).
1
On
February 5, 1998, the Board accepted this matter for hearing. See
Proportionate Share Liability
(February 5, 1998), R97-16. Prior to adopting rules for first notice, the Board held four public
1
The SRAC was established by Section 58.11 of the Act, adopted as part of the Site Remediation
Program legislation, to advise the Agency in developing regulatory proposals to implement Title XVII.
See 415 ILCS 5/58.11 (1996). The SRAC consists of one member from each of the following
organizations: the Illinois State Chamber of Commerce, the Illinois Manufacturers Association, the
Chemical Industry Council of Illinois (CICI), the Consulting Engineers Council of Illinois, the Illinois
Bankers Association, the Community Bankers Association of Illinois, and the National Solid Waste
Management Association. See 415 ILCS 5/58.11(a) (1996).
2
hearings.
2
Those hearings were held on May 4, 1998, in Springfield; May 12, 1998, in Chicago; and
May 27 and June 10, 1998, in Springfield.
At the May 4, 1998 hearing, Gary P. King, manager of the Division of Remediation
Management within the Agency’s Bureau of Land, and John S. Sherrill, an Agency employee in the
Remedial Project Management Section of the Division of Remediation Management within the
Agency’s Bureau of Land, testified and responded to prefiled questions. At the May 12, 1998
hearing, the Agency’s witnesses again testified, along with Matthew J. Dunn, Chief of the State-wide
Environmental Enforcement/Asbestos Litigation Division of the AGO. At the May 27, 1998 hearing,
the Agency’s witnesses again testified, along with several other witnesses: Sidney M. Marder,
Executive Director of the Illinois Environmental Regulatory Group (IERG); David L. Rieser, a partner
at Ross & Hardies, representing the Illinois Steel Group (ISG) and the CICI; David E. Howe, Senior
Attorney at Caterpillar, Inc.; and Laurel O’Sullivan, Staff Attorney for Business and Professional
People for the Public Interest (BPI). At the fourth hearing on June 10, 1998, Carey Rosemarin, an
attorney with Jenner & Block, testified on behalf of Commonwealth Edison (Com Ed), and the
Agency provided additional testimony in response to the other testimony presented at the hearings.
At the close of the fourth hearing, the hearing officer established a deadline for interested
persons to file public comments before the Board proceeded to first notice in this rulemaking.
Fifteen public comments were received before the Board adopted rules for first notice.
3
On September 3, 1998, the Board proposed rules for first notice. See
Proportionate Share
Liability
(September 3, 1998), R97-16. The proposal adopted was a modified version of the
Agency’s proposal. Specifically, at first notice, the Board adopted rules: (1) providing for limited
discovery before an action had been filed; (2) requiring that the Agency be notified of all actions
seeking allocations of proportionate share; (3) providing for the mandatory disclosure and discovery
of all documents pertaining to the release at a site; (4) listing allocation factors the Board could
consider in making an allocation determination; (5) providing for reallocation in certain circumstances
following a final determination; (6) governing how proportionate share could be raised as an
affirmative defense, rather than adopting rules governing which party had the burden to prove
proportionate share; and (7) governing voluntary allocation proceedings where all participants agree
to allocate 100% of the performance or costs of a response.
The Board also determined at first notice that the limitations contained in Section 58.1(a)(2)
of the Act did not apply to Section 58.9, and thus the proportionate share rules. The Board reached
this decision by looking primarily at the words in Section 58.9 “[n]otwithstanding any other provisions
of this Act to the contrary.” The Board additionally concluded at first notice that Section 58.9 applied
to private enforcement actions seeking cost recovery. In making this determination, the Board relied
again on the language of Section 58.9. Finally, the Board also concluded at first notice that rather
than assigning a particular party the burden to prove another’s proportionate share, the Board would
make that determination based on all evidence presented by the parties. See
Proportionate Share
Liability
(September 3, 1998), R97-16.
The first-notice rules were published in the
Illinois Register
on September 18, 1998. See 22
Ill. Reg. 16425-16440. They were also posted on the Board’s Web site and sent to the persons on
the notice list. Upon publication in the
Illinois Register
, a 45-day public comment period began.
2
A prehearing conference was also held on October 28, 1997, in Springfield, Illinois.
3
For a complete list of all the public comments filed with the Board and all exhibits entered
into the record in this proceeding, please refer to Attachments A and B, respectively.
3
During the first-notice period, the Board held two more publ
ic hearings on October 19 and
20, 1998, in Springfield. The purpose of those hearings was to allow the Board to receive testimony
from interested persons on the merits of the Board’s first-notice proposal. At the October hearings,
the following persons testified: Gary King of the Agency; Matthew Dunn and Elizabeth Wallace of
the AGO; David Rieser on behalf of the SRAC; and Whitney Rosen on behalf of the IERG. To
ensure that all public comments would be received and considered by the Board prior to second
notice, the Board established November 9, 1998, as the deadline for receiving public comments.
During this public comment period, the Board received six public comments.
Based on the testimony at the October hearings and the public comments received following
the adoption of the first-notice opinion and order, the Board made substantial revisions to the rules
adopted at first notice. To receive public input on these changes before they were officially adopted
for second notice, the Board adopted an opinion and order with proposed changes for second notice
and solicited public comment on the changes by extending the first-notice comment period to
November 23, 1998. The proposed second notice rules were sent to the persons on the notice list
and were also posted on the Board’s Web site. See
Proportionate Share Liability: 35 Ill. Adm. Code
741 (November 12, 1998), R97-16. During the extended first-notice period, the Board received
seven additional public comments.
On December 3, 1998, the Board adopt
ed proposed rules, with amendments based on the
comments received after first notice, for second notice. See
Proportionate Share Liability: 35 Ill.
Adm. Code 741 (December 3, 1998), R97-16. The two major changes the Board made concerned
the applicability of the proportionate share rules and the burden to prove a respondent’s
proportionate share. Regarding applicability, the Board reconsidered its position, taken at first
notice, on the applicability of the proportionate share rules. Upon reconsideration, the Board found,
at second notice, that Section 58.1(a)(2) was ambiguous as to whether the limits in Section
58.1(a)(2) applied to Section 58.9, and thus the proportionate share rules. Therefore, the Board
looked to the legislative history of the Act and other aids to determine the legislative intent of Section
58.1(a)(2). The Board found that the language of the Act as a whole, the purposes of the Act, and
the legislative history of the Act, supported a finding that the limits of Section 58.1(a)(2) applied to
Section 58.9 and thus the proportionate share rules. Based on this conclusion, the Board amended
the applicability section of the proportionate share rules at second notice to reflect the limitations on
the sites and persons subject to Title XVII in Section 58.1(a)(2). See
Proportionate Share Liability
(December 3, 1998), slip op. at 9-13.
Further, based on the comments received after first notice, the Board was persuaded that
Section 58.9 was a limitation on the remedy for an action seeking costs for a response or the
performance of a response. Therefore, the Board deleted the sections contained in the rules at first
notice concerning how proportionate share could be raised as an affirmative defense and replaced
those sections with provisions on the burden of proof and final orders. Specifically, the Board
determined that the burden to prove a respondent’s proportionate share should be placed on the
complainant,
i.e.
, the complainant must prove that the respondent proximately caused or contributed
to a release or substantial threat of a release and the degree to which the performance or costs of a
response resulted from the respondent’s proximate causation of or contribution to the release or
substantial threat of a release. The Board based this conclusion on the language of Section 58.9.
The Board also found that the arguments that the burden should be on the respondent were without
merit and that the burden to prove a respondent’s proportionate share should be on the complainant,
just as the remainder of the Act places the burden of proving any other violation of the Act on the
complainant. See
Proportionate Share Liability
(December 3, 1998), slip op. at 30-34.
4
Following the adoption of the rules for second notice, the Joint Committee on Administrative
Rules (JCAR)
4
requested a few minor changes to the rules proposed at second notice. These
changes are not substantive and do not merit discussion. With these minor modifications, JCAR
considered the proposed rules at its December 15, 1998 meeting and voted an objection to Section
741.105(f)(2) through (5) of the proposed rules. These subsections exclude from the proportionate
share rules sites involving federal cleanups or federal regulatory programs that Illinois implements.
These limitations are based on the limitations contained in Section 58.1(a)(2) of the Act, which is the
applicability section for Title XVII. Specifically, JCAR stated that it objected to Section 741.105(f)(2)
through (5) because “by creating exemptions from this Part, the rule contravenes Section 58.9(a)(1)
of the Environmental Protection Act that broadly applies the concept of proportionate share liability to
all remediation actions brought after the effective date of that Section.”
The Board respectfully disagrees with JCAR’s conclusion. As the Board explained at second
notice, Section 58.9(a)(1) is ambiguous as to whether the limitations contained in that section apply
to Section 58.9 and thus the proportionate share rules. However, after considering the legislative
history of Section 58.9 and the purposes of the Act, the Board concluded that the limitations in
Section 58.1(a)(2), which exclude sites involving federal cleanups or federal regulatory programs
that Illinois implements under Title XVII, applies to Section 58.9. Thus, the Board found at second
notice that Section 58.9 or proportionate share liability applies only to the remaining universe of sites.
See Proportionate Share Liability
(December 3, 1998), slip op. at 9-13.
The Board continues to b
elieve that this interpretation is correct and is consistent both with
the General Assembly’s intent and the language of the Act as a whole. The legislative debates on
Title XVII certainly show that the General Assembly intended the various federal sites listed in
Section 58.1(a)(2) to be excluded from the proportionate share scheme. For example, in response
to a question about proportionate share liability, Representative Persico, Chairman of the House
Energy and Environment Committee and the House sponsor of the underlying bill for Title XVII,
stated:
We exempt out of this particular Bill any federal or superfund site . . . . 89th Ill. Gen.
Assem., House Proceedings, May 19, 1995, at 47.
Similarly, Senator Mahar, Chairman of the Senate Environmental Committee and the Senate
sponsor of House Bill 544 stated:
[T]he legislation applies to all remedial activities, excluding specifically noted
activities governed by federal law . . . . 89th Ill. Gen. Assem., Senate Proceedings,
May 19, 1995, at 64.
The language of the Act as a whole also makes it clear that the General Assembly intended
Illinois to administer the federal solid waste, hazardous waste, and underground storage tank
4
JCAR is a legislative oversight committee that may “examine any proposed rule, amendment
to a rule, and repeal of a rule to determine whether the proposed rule, amendment to a rule, or
repeal of a rule is within the statutory authority upon which it is based; whether the rules,
amendment to a rule, or repeal of a rule is in proper form; and whether the notice was given
before its adoption, amendment, or repeal and was sufficient to give adequate notice of the
purpose and effect of the rule, amendment, or repeal. In addition, [JCAR] may consider
whether the agency has considered alternatives to the rule that are consistent with the stated
objectives of both the applicable statutes and regulations and whether the rules is designed to
minimize economic impact on small businesses.” 5 ILCS 100/5-110(a) (1996).
5
programs. See 415 ILCS 5/4, 20, 22.12, 57 (1996). The General Assembly did so because it
wanted to avoid duplicative, overlapping, or conflicting State and federal programs. But, if
proportionate share liability is applied to sites regulated under these programs, the United States
Environmental Protection Agency (USEPA) has stated that it may withdraw Illinois’ authority to
administer these programs. See Public Comments 11 and 23. Illinois also could lose federal
funding to implement these programs. The Board’s interpretation of proportionate share liability
therefore preserves Illinois’ authority to administer the federal programs. Finally, the Board’s
interpretation is good public policy. Under the Board’s approach, proportionate share liability will be
applied without jeopardizing Illinois’ regulatory programs.
Because the Board sees no reason to modify the provisions on applicability in the rules, the
Board today adopts the proposed rules without substantive change from second notice.
5
STATUTE IMPLEMENTED BY RULES
Section 58.9 of the Act provides that no action may be brought:
to require any person to conduct remedial action or to seek recovery of costs for
remedial activity . . . beyond the remediation of releases of regulated substances that
may be attributed to being proximately caused by such person’s act or omission or
beyond such person’s proportionate degree of responsibility for costs of the remedial
action of releases of regulated substances that were proximately caused or
contributed to by 2 or more persons. See 415 ILCS 5/58.9(a)(1) (1996).
Section 58.9 further exempts from performing remedial action any person who neither
caused nor contributed to, in any material respect, the release of regulated substances. See 415
ILCS 5/58.9(a)(2)(A) (1996). Section 58.9 also provides that if the State of Illinois seeks to require a
person to conduct remedial activities, the Agency must provide notice to such person. The notice
must include “the necessity to conduct remedial action pursuant to this Title and an opportunity for
the person to perform the remedial action.” 415 ILCS 5/58.9(b) (1998). If the Agency has issued the
statutorily-required notice, Section 58.9 provides that the Agency and person to whom such notice
was directed may attempt to determine the costs of conducting the remedial action that are
attributable to the releases to which such person or any other person caused or contributed. See
415 ILCS 5/58.9(c) (1996).
Nothing in Section 58.9, however, limits the authority of the Agency to provide notice under
Section 4(q) of the Act or to undertake investigative, preventive, or corrective action under any other
applicable provisions of the Act. Section 58.9 also does not apply to any cost recovery action
brought by the State under Section 22.2 of the Act (415 ILCS 5/22.2 (1996)) to recover costs incurred
by the State prior to July 1, 1996. See 415 ILCS 5/58.9(f) (1996).
In addition to establishing proportionate share in environmental actions, Section 58.9 also
directs the Board to adopt rules and procedures for determining proportionate share before January
5
Section 5-100(g) of the Illinois Administrative Procedure Act allows an agency to refuse to
modify or withdraw a proposed rule to remedy an objection by JCAR. The agency must
notify JCAR in writing of its refusal and submit a notice of refusal to the Secretary of State.
The notice must be published in the next available issue of the
Illinois Register
. If JCAR
decides to recommend legislative action in response to an agency refusal, then JCAR “shall
have drafted and introduced into either house of the General Assembly appropriate legislation
to implement the recommendations of the Joint Committee.” 5 ILCS 100/5-110(g) (1996).
6
1, 1999. See Pub. Act 90-484, eff. August 17, 1997 (amended 415 ILCS 5/58.9 (1996)). The
regulations adopted by the Board to implement Section 58.9 are to provide, at a minimum:
criteria for the determination of apportioned responsibility based upon the degree to
which a person directly caused or contributed to a release of regulated substances
on, in, or under the site identified and addressed in the remedial action; procedures to
establish how and when such persons may file a petition for determination of such
apportionment; and any other standards or procedures which the Board may adopt
pursuant to this Section. 415 ILCS 5/58.10(d) (1996).
The rules and procedures adopted by the Board today fulfill the statutory mandates of
Section 58.9.
SUMMARY OF THE PROPORTIONATE SHARE RULES
6
The rules adopted today contain procedures and conditions under which the Board will
allocate proportionate shares of the performance or cost of a response resulting from the release or
substantial threat of a release of regulated substances or pesticides on, in, under, or from a site.
See 415 ILCS 5/58.9(d) (1996).
The rules apply to two types of proceedings. First, the rules apply to enforcement actions in
which the State or a private party files a complaint with the Board that seeks to require another
person to perform, or seeks to recover the costs of, a response. Second, the rules apply to
proceedings in which two or more persons voluntarily seek to allocate 100% of the performance or
cost of a response between themselves. In either type of proceeding, however, Part 741 does not
apply to (a) actions to recover costs incurred by the State prior to July 1, 1996; (b) sites on the
National Priorities List; (c) sites where a federal court order or a USEPA order requires an
investigation or response; (d) the owner or operator of a site for which a permit has been issued or is
required under federal or State solid or hazardous waste laws, or that is subject to closure or
corrective action requirements under federal or State solid or hazardous waste laws; or (e) the owner
or operator of an underground storage tank system subject to federal or State underground storage
tank laws.
The corresponding applicability provisions, as well as definitions an
d other general
information and procedures, are set forth in Subpart A. Subpart A also provides for discovery before
an action is filed for the sole purpose of obtaining information necessary to identify persons who may
have proximately caused or contributed to a release or threatened release. A party seeking to
engage in such discovery must file a petition with the Board. The petitioner must support the petition
with an affidavit stating the petitioner’s basis for belief that there has been a release or substantial
threat of a release, that the respondent may have discoverable information, and that the petitioner
could not obtain the information by any other reasonable means. A respondent may oppose a
petition for prefiling discovery. Prefiling discovery may not be obtained against entities subject to the
Freedom of Information Act (5 ILCS 140/1
et seq.
(1996)) and cannot require the production of
privileged information.
Subpart B sets forth the burden and standard of proof and elements of final order
s allocating
proportionate shares where a complaint has been filed by any person under the Act or the
6
This is a general summary and broadly describes the rules. Not all aspects of the proposed
rules are addressed. For an in-depth analysis of the provisions in the rules and the issues
raised regarding each section of the rules, please refer to the Board’s first- and second-notice
opinions and orders.
7
Groundwater Protection Act (415 ILCS 55/1
et seq.
(1996)) to require another person to perform a
response or to recover the costs of a response. To establish a respondent’s proportionate share, the
complainant must prove that the respondent proximately caused or contributed to a release. The
complainant must also provide evidence of the degree to which the response was the result of the
respondent’s proximate causation of or contribution to a release of a regulated substance or
pesticide. At the conclusion of the action, the Board will enter a final order determining whether the
respondent proximately caused or contributed to a release. If so, the Board will also determine the
respondent’s share of the response and order the respondent to perform or pay for its proportionate
share of the response.
In the second type of proceeding, the rules contained in Subpart C govern. Two or more
persons who agree to accept 100% of liability to perform or pay for a response may initiate a
voluntary allocation proceeding before the Board by filing a joint petition. These voluntary allocation
procedures are available only if there is an Agency-approved Remedial Action Plan for the site or if
there is a written agreement with the Agency regarding the performance of a response at the site
following the issuance of a notice under Section 4(q) or Section 58.9(b) of the Act. At any time,
participants may suspend a Subpart C proceeding for up to 120 days to engage in mediation. If the
participants reach an agreement on allocation of proportionate shares, the participants can either file
a motion to dismiss the allocation proceeding before the Board or file a stipulated settlement
agreement with the Board. Absent an agreement, the Board will allocate liability among the
participants based on the evidence presented at a hearing and enter an order directing the
participants to perform the response or pay costs.
Parties may
obtain relief from final orders allocating proportionate shares, including
reallocation, based on newly discovered evidence that existed at the time of hearing and could not
have been discovered by due diligence. (Relief may also be obtained for fraud or a void order.)
“Due diligence” in this context means diligence in performing studies common and appropriate to
development of a remediation plan. A motion for relief must be filed within one year of entry of the
order, unless the response begins within that year, in which case the time for filing a motion for relief
is extended to three years. Either of these time periods may be extended by the Board for cause.
CONCLUSION
Based upon the record in this proceeding, the Board finds that adoption of the proposed
rules is warranted. The Board also finds that these rules will not have an adverse economic
impact on the people of the State of Illinois. See 415 ILCS 5/27(b) (1996).
ORDER
The Board hereby adopts the following rules as 35 Ill. Adm. Code 741. The Clerk of
the Board is directed to cause the following rules to be filed with the Secretary of State for
publication in the
Illinois Register
:
TITLE 35: ENVIRONMENTAL PROTECTION
SUBTITLE G: WASTE DISPOSAL
CHAPTER I: POLLUTION CONTROL BOARD
PART 741
PROPORTIONATE SHARE LIABILITY
SUBPART A: GENERAL
8
Section
741.100
Purpose
741.105
Applicability
741.110
Definitions
741.115
Discovery Before an Action is Filed
741.120
Section 58.9(b) Notice
741.125
Notice to Agency
741.130
Discovery After an Action is File
d
741.135
Allocation Factors
741.140
Relief from Final Orders
741.145
Severability
SUBPART B: ALLOCATION OF PROPORTIONATE SHARES WHEN A COMPLAINT HAS BEEN
FILED
741.200
General
741.205
Burden and Standard of Proof
741.210
Final Orders
SUBPART C: VOLUNTARY ALLOCATION PROCEEDINGS
741.300
General
741.305
Initiation of Voluntary Allocation Proceeding
741.310
Allocation Proposals and Hearing Requests
741.315
Settlements
741.320
Mediation
741.325
Settlement Through Mediation
741.330
Board Review and Final
Orders
AUTHORITY: Implementing Section 58.9 and authorized by Section 58.9(d) of the Environmental
Protection Act [415 ILCS 5/58.9]
SOURCE: Adopted in R97-16 at 22 Ill. Reg. _____, effective ________, 19___.
SUBPART A: GENERAL
Section 741.100
Purpose
The purpose of this Part is to establish procedures under which the Board will allocate proportionate
shares of the performance or costs of a response resulting from the release or substantial threat of a
release of regulated substances or pesticides on, in, under or from a site.
Section 741.105
Applicability
a)
This Part applies to proceedings before the Board in which:
1)
Any person seeks, under the Environmental Protection Act [415 ILCS 5] or
the Groundwater Protection Act [415 ILCS 55], to require another person to
perform, or to recover the costs of, a response that results from a release or
substantial threat of a release of regulated substances or pesticides on, in,
under or from a site; or
9
2)
Two or more persons seek to allocate among themselves
100 percent of the
performance or costs of a response that results from a release or substantial
threat of a release of regulated substances or pesticides on, in, under or from
a site.
b)
The Board’s procedural rules at 35 Ill. Adm. Code 101 and 103 apply to all
proceedings under this Part. However, in the event of a conflict between the rules of
35 Ill. Adm. Code 101 and 103 and this Part, this Part applies.
c)
Subpart A of this Part also applies to all proceedings under this Part. However, in
the event of a conflict between the rules of Subpart A and subsequent Subparts of
this Part, the subsequent Subpart applies.
d)
Subpart B of this Part applies when a complaint is filed with the Board that seeks,
under the Environmental Protection Act or the Groundwater Protection Act:
1)
To require any person to perform a response that results from a release or
substantial threat of a release of regulated substances or pesticides; or
2)
To recover the costs of a response that results from a release or substant
ial
threat of a release of regulated substances or pesticides.
e)
Subpart C of this Part applies when a petition is filed with the Board under Section
741.305 of this Part to allocate among the participants 100 percent of the
performance or costs of a response that results from a release or substantial threat
of a release of regulated substances or pesticides. No person may file a petition
under Subpart C of this Part when a complaint has been filed in any forum that
addresses the same release or substantial threat of a release.
f)
This Part does not apply to:
1)
Any cost recovery action brought by the State under Section 22.2
of the Act
to
recover costs incurred by the State prior to July 1, 1996
(Section 58.9(f) of the
Act);
2)
Sites on the National Priorities List (Appendix B of 40 CFR 300);
3)
Sites where a federal court order or a United States Environmental Protection
Agency order requires an investigation or response;
4)
The owner or operator of a treatment, storage or disposal site:
A)
For whi
ch a current permit has been issued or is required under
federal or State solid or hazardous waste laws; or
B)
That is subject to closure or corrective action requirements under
federal or State solid or hazardous waste laws;
5)
The owner or operator of an underground storage tank system subject to
federal or State underground storage tank laws.
10
g)
This Part applies to any person or site described in subsections (f)(2) through (f)(5) of
this Section to the extent allowed by federal law, federal authorization or other federal
approval.
Section 741.110
Definitions
Except as stated in this Section, or unless a different meaning of a word or term is clear from the
context, the definition of words or terms in this Part is the same as that applied to the same words or
terms in the Environmental Protection Act [415 ILCS 5].
“Act” means the Environmental Protection Act [415 ILCS 5].
“Agency” means the Illinois Environmental Protection Agency.
“Board” means the Pollution Control Board.
“
Person
”
means individual, trust, firm, joint stock company, joint venture, consortium,
commercial entity, corporation (including a government corporation), partnership,
association, state, municipality, commission, political subdivision of a state or any
interstate body including the United States government and each department, agency,
and instrumentality of the United States.
(Section 58.2 of the Act)
“
Pesticide
”
means any substance or mixture of substances intended for preventing,
destroying, repelling, or mitigating any pest or any substance or mixture of substances
intended for use as a plant regulator, defoliant or desiccant.
(Section 3.71 of the Act)
“Proportionate Share” means a person’s share of the performance or costs of a
response based on the degree to which the performance or costs result from the
person’s proximate causation of or contribution to the release or substantial threat of
a release.
“
Regulated Substance
”
means any hazardous substance as defined under Section
101(14) of the Comprehensive Environmental Response, Compensation, and Liability
Act of 1980 (P.L. 96-510) and petroleum products including crude oil or any fraction
thereof, natural gas, natural gas liquids, liquefied natural gas, or synthetic gas usable
for fuel (or mixtures of natural gas and such synthetic gas).
(Section 58.2 of the Act)
“
Release
”
means any spilling, leaking, pumping, pouring, emitting, emptying,
discharging, injecting, escaping, leaching, dumping, or disposing into the
environment, but excludes any release which results in exposure to persons solely
within a workplace, with respect to a claim which such persons may assert against the
employer of such persons; emissions from the engine exhaust of a motor vehicle,
rolling stock, aircraft, vessel, or pipeline pumping station engine; release of source,
byproduct, or special nuclear material from a nuclear incident, as those terms are
defined in the Atomic Energy Act of 1954, if such release is subject to requirements
with respect to financial protection established by the Nuclear Regulatory Commission
under Section 170 of such Act; and the normal application of fertilizer.
(Section 3.33
of the Act)
“
Remedial Action
”
means those actions consistent with permanent remedy taken
instead of or in addition to removal actions in the event of a release or threatened
release of a
regulated substance or pesticides
into the environment, to prevent or
11
minimize the release of
regulated substances or pesticides
so that they do not migrate
to cause substantial danger to present or future public health or welfare or the
environment. The term includes, but is not limited to, such actions at the location of
the release as storage, confinement, perimeter protection using dikes, trenches or
ditches, clay cover, neutralization, cleanup of released
regulated substances or
pesticides
or contaminated materials, recycling or reuse, diversion destruction,
segregation of reactive substances, dredging or excavations, repair or replacement of
leaking containers, collection of leachate and runoff, onsite treatment or incineration,
provision of alternative water supplies, and any monitoring reasonably required to
assure that such actions protect the public health and welfare and the environment.
The term includes the costs of permanent relocation of residents and businesses and
community facilities where the Governor and Director determine that, alone or in
combination with other measures, such relocation is more cost-effective than and
environmentally preferable to the transportation, storage, treatment, destruction, or
secure disposition offsite of
regulated substances or pesticides,
or may otherwise be
necessary to protect the public health or welfare. The term includes offsite transport
of
regulated substances or pesticides
, or the storage, treatment, destruction, or
secure disposition offsite of such
regulated substances or pesticides
or contaminated
materials. Remedial action
also includes
activities associated with compliance with
the provisions of Sections
58.6 and 58.7
of the Act, including, but not limited to, the
conduct of site investigations, preparations of work plans and reports, removal or
treatment of contaminants, construction and maintenance of engineered barriers,
and/or implementation of institutional controls. (Sections 3.34 and 58.2 of the Act)
“
Remove
”
or
“
Removal
”
means the cleanup or removal of released
regulated
substances or pesticides
from the environment, actions as may be necessary to take
in the event of the threat of release of
regulated substances or pesticides
into the
environment, actions as may be necessary to monitor, assess, and evaluate the
release or threat of release of
regulated substances or pesticides,
the disposal of
removed material, or the taking of other actions as may be necessary to prevent,
minimize, or mitigate damage to the public health or welfare of the environment, that
may otherwise result from a release or threat of release. The term includes, in
addition, without being limited to, security fencing or other measures to limit access,
provision of alternative water supplies, temporary evacuation and housing of
threatened individuals, and any emergency assistance that may be provided under
the Illinois Emergency Management Act or any other law.
(Section 3.35 of the Act)
“
Respond
”
or
“
Response
”
means remove, removal, remedy, and remedial action.
(Section 3.40 of the Act)
“
Site
”
means any single location, place, tract of land or parcel of property or portion
thereof, including contiguous property separated by a public right-of-way.
(Section
58.2 of the Act) This term also includes, but is not limited to, all buildings and
improvements present at that location, place or tract of land.
Section 741.115
Discovery Before an Action is Filed
a)
Any person who wishes to engage in discovery before filing an action seeking
proportionate shares may file a petition with the Board for discovery for the sole
purpose of identifying persons who may have proximately caused or contributed to a
release or substantial threat of release of regulated substances or pesticides.
12
b)
The petition, which must be supported by affidavits, must be brought in the name of
the petitioner and must name as respondents the person or persons from whom
discovery is sought. A brief or memorandum and other supporting documents may
be filed with the petition. The petition must include:
1)
The name and address of the respondents;
2)
The reason the proposed discovery is necessary, including why the petitioner
could not obtain the information sought by any other reasonable means;
3)
A copy of th
e proposed discovery requests;
4)
A statement of the petitioner’s basis for belief that there is a release or
substantial threat of a release and that the respondent has or may have the
information sought;
5)
The petitioner’s proposed time for compliance with the order (not
less than 30 days from the date of issuance of the order);
6)
A request that the Board enter an order authorizing petitioner to obtain such
discovery; and
7)
A notice informing the respondent of the opportunity to respond to the
petition
within 30 days.
c)
The petitioner must serve a notice of filing and a copy of the petition and any
supporting documents upon the persons to whom the order is to be directed who
must be designated the respondents.
d)
Within 30 days from the date of service of the petition, the respondent may file a
response to the petition supported by affidavits as necessary. The respondent may
file a brief or memorandum and other supporting documents with the response. If no
response is filed, the respondent is deemed to have waived objection to the
discovery sought.
e)
The petitioner may reply to the response within 7 days after the date of service of the
response.
f)
Petitioner must serve and file the petition in accordance with 35 Ill. Adm. Code
101.Subpart C, except that petitioner must initially serve the petition personally, by
registered or certified mail, or by messenger service.
g)
The Board will review the petition, response, affidavits, and any other supporting
documents on file and grant the petition if the Board finds that the requested
discovery, or a portion of the requested discovery that the Board specifies, is
necessary to identify persons who may have proximately caused or contributed to a
release or a substantial threat of a release of regulated substances or pesticides and
that the information could not be obtained by any other reasonable means. The order
will specify a reasonable time for compliance and the method of compliance.
13
h)
Unless extended for cause shown, the Board’s order auto
matically expires 60 days
after issuance. If any respondent fails to comply with a discovery request authorized
under this Section, the petitioner may seek penalties under Section 42 of the Act.
i)
The petitioner must bear the respondent’s reasonable expenses of providing the
discovery (excluding attorney fees).
j)
Nothing in this Section limits the ability of any person to obtain information in any
other lawful manner.
k)
No petition under this Section may be brought:
1)
Against agencies subject to th
e Freedom of Information Act [5 ILCS 140]; or
2)
For information privileged under 35 Ill. Adm. Code 101 and 103.
Section 741.120
Section 58.9(b) Notice
In the event the State of Illinois seeks to require a person who may be liable pursuant to the Act to
conduct
a response
for a release or threatened release of a regulated substance, the Agency shall
provide notice to such person
. S
uch notice shall include the necessity to conduct
a response
pursuant to Title XVII of the Act and an opportunity for the person to perform the
response. (Section
58.9(b) of the Act)
Section 741.125
Notice to Agency
A person seeking allocation of proportionate shares must serve a copy of the complaint, or the
petition under Subpart C of this Part, on the Agency within 30 days after the filing of the complaint or
petition. Such person must serve the Agency pursuant to 35 Ill. Adm. Code 101.141. The Agency
may file an application with the Board to intervene in the proceeding under 35 Ill. Adm. Code
103.142.
Section 741.130
Discovery After an Action is Filed
a)
Within time limits set by the hearing officer, each party to a proceeding in which
allocation of proportionate shares is sought must compile any and all documents
within its possession or control pertaining to the release or threatened release and
the party’s proportionate share and shall make the records available for review and
copying by the parties. Documents protected from disclosure under 35 Ill. Adm.
Code 101 and 103 are not subject to this Section.
b)
Discovery is governed by 35 Ill. Adm. Code 101 and 103, and all discovery devices
identified in 35 Ill. Adm. Code 101 and 103 are available to all parties in a proceeding
to allocate proportionate shares. Sanctions for failure to comply with procedural
rules, subpoenas, or order of the Board or hearing officer will be as set forth therein
and as otherwise available under the Act.
Section 741.135
Allocation Factors
In determining proportionate shares under this Part, the Board will consider any or all factors related
to the degree to which the performance or costs of a response result from a person’s proximate
14
causation of or contribution to the release or substantial threat of a release. These factors include
the following:
a)
The volume of regulated substances or pesticides for which each person is
responsible;
b)
Consistent with the provisions of 35 Ill. Adm. Code 742 and the remediation of the
site in a manner consistent with its current and reasonably foreseeable future use,
the degree of risk or hazard posed by the regulated substances or pesticides
contributed by each person;
c)
The degree of each person’s involvement in any activity that proximately caused or
contributed to the release or substantial threat of a release of regulated substances
or pesticides; and
d)
Any other factors relevant to a person’s proportionate share.
Section 741.140
Relief from Final Orders
a)
On written motion by any party, the Board, for any of the reasons set forth in
35 Ill. Adm. Code 101.301(b), may provide relief from a final order in which
the Board allocated proportionate shares.
b)
Relief under subsection (a) of this Section may include reallocation of proportionate
shares.
c)
The Board may decline to reopen an allocation determination if the motion and any
supporting materials do not demonstrate that the reopening would result in significant
changes in proportionate shares.
d)
A motion under subsection (a) of this Section must be filed with the Board within one
year after entry of the order, except that when the response begins during this one-
year period, a motion under subsection (a) of this Section must be filed with the
Board within three years after entry of the order. Upon written motion, the Board may
extend either of these periods for cause shown.
e)
Any response to a motion under this Section must be filed within 30 days after the
filing of the motion.
Section 741.145
Severability
If any Section, subsection, sentence or clause of this Part is judged invalid, such adjudication does
not affect the validity of this Part as a whole or any Section, subsection, sentence or clause thereof
not judged invalid.
SUBPART B: ALLOCATION OF PROPORTIONATE SHARES WHEN
A COMPLAINT HAS BEEN FILED
Section 741.200
General
This Subpart sets forth the procedures that apply when a complaint is filed with the Board that seeks,
under the Act or the Groundwater Protection Act [415 ILCS 55], to require any person to perform a
15
response that results from a release or substantial threat of a release of regulated substances or
pesticides, or to recover the costs of a response. This Subpart also sets forth the burden and
standard of proof for such actions.
Section 741.205
Burden and Standard of Proof
a)
To establish a respondent’s proportionate share, the complainant must prove the
following by a preponderance of the evidence:
1)
That the respondent proximately caused or contributed to a release or
substantial threat of a release of regulated substances or pesticides on, in,
under or from a site; and
2)
The degree to which the perfo
rmance or costs of a response result from the
respondent’s proximate causation of or contribution to the release or
substantial threat of a release as established under subsection (a)(1) of this
Section.
b)
Liability to perform or pay for a response that results from the release or substantial
threat of a release of regulated substances or pesticides on, in, under or from a site
is subject to all defenses allowed by law, including the defenses set forth in Section
22.2(j) of the Act, and the limitations set forth in Section 58.9(a)(2) of the Act. The
respondent raising a defense set forth in Section 22.2(j) or a limitation set forth in
Section 58.9(a)(2) of the Act must prove the defense or limitation by a
preponderance of the evidence.
c)
A complainant is not required to plead a specific alleged percentage of liability for the
performance or costs of a response in a complaint that seeks to require a respondent
to perform or pay for a response that results from a release or substantial threat of a
release of regulated substances or pesticides.
Section 741.210
Final Orders
a)
Based on the evidence presented at hearing or in a stipulation, the Board will enter a
final order that determines whether a respondent proximately caused or contributed
to a release or substantial threat of a release.
b)
If the Board determines, under subsection (a) of this Section, that a respondent
proximately caused or contributed to a release or substantial threat of a release, the
Board will, in its final order, order respondent to perform or pay for a response. The
Board will order the respondent to perform or pay for a response only to the degree
to which a preponderance of the evidence shows that the performance or costs of the
response result from the respondent’s proximate causation of or contribution to the
release or substantial threat of a release. In making this decision, the Board will
consider the allocation factors of Section 741.135 of this Part.
c)
If any party fails to comply with the Board’s order under this
Section, any party may
seek penalties under Section 42 of the Act. The Board may order a party that fails to
comply with the Board’s order under this Section to pay penalties under Section 42 of
the Act.
SUBPART C: VOLUNTARY ALLOCATION PROCEEDINGS
16
Section 741.300
General
This Subpart sets forth the procedures that may apply when two or more persons seek to allocate
among themselves 100 percent of the performance or costs of a response that results from a
release or substantial threat of a release of regulated substances or pesticides on, in, under or from
a site. This Subpart also includes procedures for mediation and settlements and the requirements
and standards that the Board will use to issue final orders.
Section 741.305
Initiation of Voluntary Allocation Proceeding
a)
Participants that agree to accept 100 percent of liability to perform or pay for a
response that results from a release or substantial threat of a release of regulated
substances or pesticides on, in, under or from a site, whether or not they stipulate to
specific shares of such liability, may initiate a voluntary allocation proceeding by filing
a petition with the Board if:
1)
There is an Agency-approved Remedial Action Plan for the site under 35 Ill.
Adm. Code 740; or
2)
There is a written agreement with the Agency regarding the performance of a
response at the site following the issuance of a notice under Section 4(q) or
Section 58.9(b) of the Act.
b)
The petition under subsection (a) of this Section must include the following
information:
1)
The location and identity of the site for which an allocation of proportionate
shares is requested;
2)
The identity of all participants;
3)
The stipulated shares of specific participants, if any;
4)
Certification that the participants agree to allocate among themselves 100
percent of the performance or costs of the response under the Remedial
Action Plan or written agreement with the Agency; and
5)
A statement that the participants choose to engage in either mediation under
Sections 741.320 and 741.325 of this Subpart or to proceed with the Board’s
allocation proceedings under Sections 741.310 and 741.315 of this Subpart.
c)
Upon determination that the petition contains the required information, the Board will
issue an order accepting the petition and assigning a hearing officer as necessary.
d)
The nature of any response agreed to as part of a Remedial Action Plan or written
agreement with the Agency cannot be contested during the allocation proceeding.
e)
No person may file a pe
tition under Subpart C of this Part when a complaint has
been filed in any forum that addresses the same release or substantial threat of a
release. If the Agency, the State, or any person files a complaint in any forum that
involves the same release or substantial threat of a release, the Board may, upon
17
motion by any participant or at its discretion, stay the proceedings under this Subpart
pending the outcome of the other proceeding. The State, the Agency or any party to
the other proceeding also may appear specially to move the Board to stay the
proceedings under this Subpart.
Section 741.310
Allocation Proposals and Hearing Requests
a)
Within 60 days following the close of discovery, the participants must submit a joint
proposal to the Board that must include either or both of the following, as applicable:
1)
For any or all of the participants, an agreed allocation of proportionate
shares;
2)
A request for hearing on all allocations of proportionate shares for which the
participants have not agreed.
b)
If agreed allocations are reached for all participants, the allocated shares must total
100 percent of the performance or costs of the response under the Remedial Action
Plan or written agreement with the Agency.
c)
If a hearing is requested as part of the joint proposal under subsection (a) of this
Section, the hearing officer will issue an order to schedule and conduct the hearing
and address any other matters as necessary. The order must require that, at least 30
days before the date of hearing, each participant submit a pre-hearing memorandum
setting forth the proportionate share that it accepts and the issues to be resolved at
the hearing.
Section 741.315
Settlements
Nothing in this Subpart prohibits the participants from at any time entering into a settlement for
Board review if the settlement allocates among the settling participants 100 percent of the
performance or costs of the response under the Remedial Action Plan or written agreement with the
Agency.
Section 741.320
Mediation
a)
If the participants wish to engage in mediation, the participants may file a joint notice
of that intent with the Board designating a mediator whom the participants have
mutually selected.
b)
While mediation is proceeding, the time period for the allocation proposal and
hearing request under Section 741.310 of this Subpart and all discovery proceedings
under this Part and 35 Ill. Adm. Code 101 and 103 are suspended.
c)
Mediation must be completed within 120 days after the participants have filed notice
of their intent to mediate with the Board. Upon written motion, the Board may extend
this period for cause shown.
Section 741.325
Settlement Through Mediation
a)
If the participants reach an agreement through mediation, it must be reduced to
writing and signed by the participants. Within 14 days after execution of the
18
agreement, the participants must file a joint motion to dismiss the Board action or a
motion to accept the stipulated settlement agreement.
b)
If the participants do not reach an agreement, the participants must report the lack of
an agreement to the Board and file either:
1)
A joint motion to dismiss the Board action; or
2)
A joint motion to initiate or resume the Board allocation proceeding under
Sections 741.310 and 741.315 of this Subpart.
c)
At any time, the participants may jointly file a motion to cease the mediation and
begin or resume the Board’s allocation proceedings under Sections 741.310 and
741.315 of this Subpart.
Section 741.330
Board Review and Final Orders
a)
Based on the evidence pres
ented at hearing or in a stipulation, the Board will enter a
final order allocating a proportionate share to each participant.
b)
The Board’s final order will allocate 100 percent of the performance or costs of the
response under the Remedial Action Plan or written agreement with the Agency. If
the total of the agreed allocations under Section 741.310(a)(1) of this Subpart and the
proportionate shares demonstrated during the hearing do not equal 100 percent of
the performance or costs of the response, the Board’s order will allocate the
remaining liability for performance or costs among all of the participants in the same
ratio as the shares that have been agreed upon or demonstrated during the hearing.
c)
The Board’s final order will include an order to perform or pay for the response based
on the proportionate shares determined during the proceeding.
d)
The Board may impose penalties under Section 42 of the Act if a participant fails to
comply with a Board order under this Section.
IT IS SO ORDERED.
Section 41 of the Environmental Protection Act (415 ILCS 5/41 (1996)) provides for
the appeal of final Board orders to the Illinois Appellate Court within 35 days of service of this
order. Illinois Supreme Court Rule 335 establishes such filing requirements. See 172 Ill. 2d
R. 335; see also 35 Ill. Adm. Code 101.246, Motions for Reconsideration.
I, Dorothy M. Gunn, Clerk of the Illinois Pollution Control Board, hereby certify that
the above opinion and order was adopted on the 17th
day of December 1998 by a vote of 6-0.
Dorothy M. Gunn, Clerk
Illinois Pollution Control Board
19
20
ATTACHMENT A - R97-16
ATTACHMENT A - R97-16
PUBLIC COMMENTS (PC)
PUBLIC COMMENTS (PC)
PC 1:
Comments of the IERG, submitted by Whitney Rosen (3/21/97).
PC 2:
Comments of the National Association of Independent Insurers, submitted by
Richard Hodyl, Jr., Insurance Services Counsel (3/28/97).
PC 3:
Supplemental comments of the IERG, submitted by Whitney Rosen (2/2/98).
PC 4:
Comments of Thomas A. Ryan on behalf of Browning-Ferris Industries of
Illinois, Inc. (BFI) (4/20/98).
PC 5: Comments of Laurel O’Sullivan on behalf of BPI (7/8/98).
PC 6: The Agency’s Posthearing Comments (7/14/98).
PC 7: The AGO’s Posthearing Comments (7/14/98).
PC 8: Comments of Karaganis & White, Ltd. (Karaganis & White) (7/14/98).
PC 9: Comments of the City of Chicago, Department of Environment (City)
(7/14/98).
PC 10: Comments of Carey Rosemarin on behalf of Com Ed (7/14/98).
PC 11: Comments of the USEPA (7/14/98).
PC 12: Public comments of Mohan, Alewelt, Prillaman & Adami (Mohan) (7/15/98).
PC 13: Posthearing comments of David Rieser on behalf of the SRAC, the ISG, and
the CICI (7/17/98).
PC 14: Posthearing comments of Randy A. Muller on behalf of the Illinois Banker’s
Association (7/21/98).
PC 15: Posthearing comments of Whitney Rosen on behalf of the IERG (7/23/98).
PC 16: Comments of the Community Bankers Association of Illinois (10/8/98).
PC 17: First-notice comments of the Agency (11/4/98).
PC 18: First-notice comments of the USEPA (11/4/98).
PC 19: First-notice comments of Karaganis & White (11/4/98).
PC 20: First-notice comments of the AGO (11/4/98).
PC 21: First-notice comments of the City (11/4/98).
PC 22: Proposed second-notice comments of the Agency (11/23/98).
21
PC 23: Proposed second-notice comments of the USEPA (11/23/98).
PC 24: Proposed second-notice comments of the AGO (11/23/98).
PC 25: Proposed second-notice comments of the SRAC, the ISG, and the CICI (11/23/98).
PC 26: Proposed second-notice comments of the IERG (11/23/98).
PC 27: Proposed second-notice comments of Michael Best & Friedrick (Illinois) (MBF)
(11/23/98).
PC 28: Proposed second-notice comments of Karaganis & White (11/24/98).
22
ATTACHMENT B - R97-16
ATTACHMENT B - R97-16
EXHIBITS (Exh.)
EXHIBITS (Exh.)
Exh. 1: Photograph of the Steagall Landfill taken on November 6, 1985, by the
Agency.
Exh. 2: Photograph of the Steagall Landfill taken on November 6, 1985, by the
Agency.
Exh. 3: Enlarged photograph of open refuse at the Logan Landfill taken in August
1996 by the Agency before remedial action was conducted at the site.
Exh. 4: Enlarged photograph of the Logan Landfill taken in September 1997 by the
Agency after remedial action was conducted at the site.
Exh. 5: Prefiled testimony of Gary King of the Agency.
Exh. 6: Prefiled testimony of John Sherrill of the Agency.
Exh. 7: Agency’s document entitled “Allocation Scenarios Illustrating Approaches to
Apportionment for Liable Parties.”
Exh. 8: Agency’s document entitled “4(q) Notice Summary 1984 through 1997.”
Exh. 9: Prefiled testimony of Matthew Dunn of the AGO.
Exh. 10: Prefiled testimony of Sidney Marder of the IERG.
Exh. 11: Prefiled testimony of David Rieser on behalf of the ISG and CICI.
Exh. 12: Prefiled testimony of David Howe of Caterpillar, Inc.
Exh. 13: Testimony of Laurel O’Sullivan on behalf of BPI.
Exh. 14: Agency’s document entitled “Agency’s Errata Sheet Number 1.”
Exh. 15: Agency’s document entitled “Hazardous Waste Fund (HWF) Fiscal Years
1998 and 1999 Projections for Remedial Work.”
Exh. 16: Alternative language for Section 741.210(d) submitted by Carey Rosemarin
on behalf of Com Ed.
Exh. 17: Prefiled testimony of Gary King of the Agency.
Exh. 18: Prefiled testimony of Matthew Dunn of the AGO.
Exh. 19: Prefiled testimony of David Rieser on behalf of the SRAC.