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      "THE ENVIRONMENTAL PROTECTION AGENCY, Petitioner, v. THE POLLUTION CONTROL BOARD et al., Respondents."
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        "text": "Mr. JUSTICE MEJDA\ndelivered the opinion of the court:\nThe Illinois Environmental Protection Agency (Agency) appeals from an order of the Illinois Pollution Control Board (Board) directing the Agency to issue an operating permit, which it had previously denied, to United States Steel Corporation (U.S. Steel). On appeal, the Agency contends that: (1) the Board improperly relied on its own knowledge concerning a question of fact never before raised by the Board and not a part of the record before the Agency; (2) the Board improperly shifted the burden of proof from U.S. Steel to the Agency; and (3) the Board\u2019s interpretation of Rules 203(a), (b) and (f) of the Air Pollution Control Regulations was erroneous in that it departs from the Board\u2019s previous interpretation and is not supported by the plain language or regulatory history of the rules. U.S. Steel raised two additional points in motions that we agreed to take with the case. It contends that: (1) the Agency has no standing to appeal the Board\u2019s decision; and (2) the appeal is moot because of the Board\u2019s adoption of new Air Pollution Control Regulations which specifically apply to the emissions here in question. We reverse.\nThe following facts were submitted to the Board in the review proceedings in the form of a stipulation of facts and the Agency\u2019s record, which included U.S. Steel\u2019s permit application, the Agency\u2019s correspondence denying the application, U.S. Steel\u2019s written responses and the Agency\u2019s calculations on the permit application.\nU.S. Steel\u2019s Chicago South Works, on Chicago\u2019s far southeast side, employs approximately 10,000 persons and contains facilities for the production of iron and the making, shaping and treating of steel. Among the facilities at the South Works are four blast furnaces, which were the subject of applications for operating permits which U.S. Steel filed with the Agency on October 3,1977. A blast furnace is basically a vertical shaft furnace. Reactant materials, such as iron ore, sinter and limestone, are heated and melted in the furnaces by preheated combustion air which is injected into the furnace through fruyeres at the bottom. The reactants eventually change into molten iron, which collects at the bottom of the furnace. When the level of molten iron is sufficiently high, the furnace\u2019s tap is opened and the molten iron is poured into waiting ladle cars for transfer to the steel-making area. This \u201ccasting\u201d or \u201ctapping\u201d operation takes place in the \u201ccast house,\u201d which contains a roof monitor, doors and other openings.\nThe blast furnace operation emits particulate matter from the stove stack and the cast house. Gas generated in the melting process is removed and cleaned and then reused as a combustion fuel in the stoves that heat the combustion air. Some particulates are emitted from the stove stack after the gas cleaning process. The casting process also produces particulate emissions, primarily iron oxide which results from the contact of the molten iron with cooler air during casting. These emissions reach the atmosphere through the various openings in the cast house. The cast house emissions are unavoidably produced and released during the casting process. They are not controlled by U.S. Steel, and particulate controls for molten iron casting operations in connection with basic iron blast furnace operations are not used by any other operator in Illinois.\nStandards and limitations for particulate emissions are governed by Rule 203 of Chapter II of the Air Pollution Control Regulations adopted by the Board. The Agency took the position that the four blast furnaces must comply with Rule 203(a) and that the cast house emissions are to be included in measuring the particulate matter that reaches the atmosphere during the casting process. The amount of cast house emissions is determined by multiplying the number of tons of metal tapped by a cast house emissions factor. Prior to 1977, the Agency granted operating permits for basic iron blast furnaces without requiring controls for the cast house emissions because the emission factor necessary to calculate cast house emissions was not yet known. In 1977, after conducting tests in conjunction with Bethlehem Steel Corp., Dominion Foundries of Canada and Ford Motor Co., the United States Environmental Protection Agency (USEPA) found that cast houses have emission factors ranging from .26 to .6 pounds per ton of metal tapped. The USEPA selected .3 pounds per ton as a conservative estimate which is now used by the USEPA in quantifying basic iron blast furnace casting emissions. The Illinois Agency took notice of the USEPA factor and, beginning in 1977, took cast house emissions into consideration in determining compliance with Rule 203.\nThe allowable emission load based on the amount of material charged per hour, or the process weight rate, was computed under Rule 203, while the actual emissions per hour were calculated on the basis of the USEPA .3 cast house emission factor. Each of the furnaces was found to emit particulate matter from their cast houses in excess of the amount allowed under Rule 203(a), and the Agency accordingly refused to grant the permits.\nU.S. Steel was notified of the Agency\u2019s decision in a letter dated June 22,1977. On October 3,1977, the Agency received a letter from U.S. Steel in response to the denial of the operating permit. U.S. Steel took exception to the Agency\u2019s interpretation of the rules, maintaining that the cast house emissions were fugitive emissions that were subject to, and in this instance in compliance with, Rule 203(f). The Agency treated the letter as a reapplication and, on October 31,1977, restated its denial of the permits for lack of compliance with Rule 203(a). On December 9, 1977, U.S. Steel filed its petition for review with the Board. The Agency\u2019s motion to dismiss the review on the grounds that it was untimely filed was denied by the Board and, following the Agency\u2019s filing of the permit application record with the Board, the matter proceeded to a hearing. No testimony was taken. The Agency and U.S. Steel submitted a stipulation of facts and filed separate briefs. On September 7, 1978, the Board issued an opinion and order directing the Agency to grant the permit sought by U.S. Steel. The Board denied the Agency\u2019s motion for rehearing or reconsideration on November 16, 1978, and the Agency subsequently filed a petition for review in this court pursuant to the provisions of the Environmental Protection Act (Ill. Rev. Stat. 1977, ch. 111\u00bd, pars. 1001 through 1051) and Supreme Court Rule 335 (Ill. Rev. Stat. 1977, ch. 110A, par. 335).\nOpinion\nI.\nWe will first address the issues raised by U.S. Steel\u2019s motions as to whether or not this appeal should be considered.\nA.\nU.S. Steel maintains that the Agency has no standing to bring this appeal because review was sought under Supreme Court Rule 335 and section 29 of the Environmental Protection Act (Ill. Rev. Stat. 1977, ch. 111\u00bd, par. 1029). U.S. Steel contends that only section 41 of the Act (Ill. Rev. Stat. 1977, ch. 111\u00bd, par. 1041) could give the Agency standing, but that the Agency should not have standing to appeal because it is \u201csimply a handmaiden of the Board\u201d in matters pertaining to the issuance of permits. We disagree.\nU.S. Steel relies on Department of Registration & Education v. Aman (1973), 53 Ill. 2d 522, 292 N.E.2d 897, in which the court observed that no universal principle could be established to authorize a governmental agency to seek administrative review of the decision of another agency. The court stated:\n\u201c[I]n each instance the question must be determined by the pertinent statutory provisions, the relationship which the agencies bear to each other, and the nature of the controversy out of which the administrative decision arises.\u201d (53 Ill. 2d 522, 525, 292 N.E.2d 897, 898.)\nApplication of the test set out in Aman compels the conclusion that the Agency has standing to seek review of the Board\u2019s decision in the instant case.\nFirst, the statutory provisions relevant to review of actions of the Board clearly allow the Agency to appeal. Section 41 of the Act allows \u201c[a]ny party to a Board hearing\u201d to seek review in the appellate court (Ill. Rev. Stat. 1977, ch. 111\u00bd, par. 1041), while section 40 requires that the Agency appear as respondent in an action before the Board to contest the Agency\u2019s refusal of an operating permit (Ill. Rev. Stat. 1977, ch. 111\u00bd, par. 1040). The Agency thus having been made a party to the action before the Board, it may seek review of the Board\u2019s decision.\nFurthermore, the Act as a whole establishes distinct roles and powers of the Agency and the Board. While the Board\u2019s principal function is in the promulgation of regulations defining the requirements of the permit system (Ill. Rev. Stat. 1977, ch. 111\u00bd, par. 1005(b)), it is for the Agency to determine whether or not specific applicants are entitled to a permit (Ill. Rev. Stat. 1977, ch. 111\u00bd, pars. 1004 and 1039). However, the Agency is in no way answerable to the Board for its actions, nor can it be considered subservient to the Board. The independent role of the Agency in the permit granting process was acknowledged by our supreme court in Landfill, Inc. v. Pollution Control Board (1978), 74 Ill. 2d 541, 387 N.E.2d 258. The court there held that two Board rules, which allowed the issuance of a permit to be contested before the Board, were unauthorized extensions of the Board\u2019s statutory powers because they resulted in making the Board the permit-granting authority. Similarly, the fact that the Agency must abide by the rules as promulgated and interpreted by the Board does not make the Agency the Board\u2019s \u201chandmaiden\u201d in permit application matters. Such a conclusion disregards the separate roles of the Agency and the Board and is inconsistent with the Act as well as with our supreme court\u2019s observations in Landfill.\nMoreover, contrary to U.S. Steel\u2019s contention, more than a mere challenge to the Board\u2019s own interpretation of its regulations may arise on an appeal. As is the case here, such questions as the propriety of the Board\u2019s actions and the scope of its review powers may be presented. It is inconceivable that an applicant who has received a permit by virtue of the Board\u2019s review and reversal of the Agency\u2019s prior denial would raise such challenges to the Board\u2019s decisions, yet the Board is no less likely to err in reversing the Agency as in affirming it.\nTo say that the Agency may not appeal the Board\u2019s decision would be to allow the question of appealability to be determined, in effect, by the Board\u2019s decision itself, despite the express language of section 41, which allows appeal by \u201cany party,\u201d and despite the stated policy of the legislature found in the Act as a whole. (Ill. Rev. Stat. 1977, ch. 111\u00bd, pars. 1001 through 1051.) Accordingly, we conclude that the Agency has standing to appeal.\nB.\nU.S. Steel next contends that the appeal has been rendered moot because the Board has amended Air Pollution Control Regulation Rule 203(d), and Rule 203(d)(5)(D) now specifically applies to particulate emissions from blast furnace cast houses. Although amended Rule 203(d) is now in effect, the date for full compliance with the emissions standards and limitations, according to Rule 203(d) (5) (L) (ii) is December 31,1982, and U.S. Steel apparently has not yet established an approved Compliance Program as required by Rule 203(d) (5)(L)(iii). Thus, U.S. Steel is still subject to the rules involved in this appeal.\nThat U.S. Steel recognizes the continued applicability of the rules in question here is reflected in its application for new operating permits for the blast furnaces that are the subject of this case. U.S. Steel had been granted operating permits for the furnaces pursuant to the Board\u2019s order of November 16, 1978. The Agency issued the permits for one year, but denied U.S. Steel\u2019s application for new permits upon the expiration of the permits on November 16, 1979. U.S. Steel again sought a review of the permit denial before the Board, seeking a reversal of the Agency on res judicata grounds because of the Board\u2019s order of November 16,1978. U.S. Steel made no mention of amended Rule 203(d)(5)(D) in either its new application or the subsequent petition for review.\nWe also note that on February 21,1980, the USEPA accepted certain parts of the new rules but specifically reserved its judgment on rules pertaining to the steel industry. If the new rules are rejected by the USEPA, the old rules will be reinstated.\nMoreover, even assuming that the question is moot, we believe that the issues regarding the relative roles of the Agency and Board in contested permit proceedings are of sufficient public interest to warrant consideration. Three criteria must be considered in order to invoke the public interest exception to the mootness rule: (1) the public nature of the question; (2) the desirability of an authoritative determination for the purpose of guiding public officers; and (3) the likelihood that the question will recur. (Hill v. Murphy (1973), 14 Ill. App. 3d 668, 670-71, 303 N.E.2d 208, 210.) The legislative declaration found in section 2 of the Act (Ill. Rev. Stat. 1977, ch. 111\u00bd, par. 1002) reflects the importance of environmental matters to both private citizens and the government and the intention of the legislature to establish a unified statewide program to remedy environmental damage which seriously endangers the public health. The need for the agencies charged with the responsibility of promulgating and enforcing environmental standards to understand their respective roles is great in light of the importance the legislature has attached to environmental matters. Because of the number of permits requested each year, and because of the number of Agency decisions that are contested before the Board, it is likely that the questions here will continue to arise. Thus, even if the particular permit at issue here were moot, we would consider the Agency\u2019s appeal on its merits under the public interest exception outlined in Hill v. Murphy.\nWe will therefore consider the specific issues raised by the Agency.\nII.\nAt the heart of this appeal is the question of the scope of the Board\u2019s authority in reviewing the Agency\u2019s denial of U.S. Steel\u2019s permit application. U.S. Steel characterizes the issue before us as a matter of the Board\u2019s interpretation of its own rules and maintains that the Board\u2019s review of the Agency\u2019s action is complete and de novo and is not subject to reversal unless the Board\u2019s actions were unreasonable, arbitrary or capricious. The Agency, on the other hand, contends that the Board relied on its own expertise, considered facts not in the record and decided a factual question never before raised by the Board. In so doing, the Agency urges, the Board rendered a decision that was against the manifest weight of the evidence, that improperly shifted the burden of proof to the Agency and that misapplied Rules 203(a), (b) and (f) of chapter II of the Board\u2019s Air Pollution Control Regulations. We agree.\nPreliminarily, we note that the Board is empowered by the Act to perform both quasilegislative and quasijudicial functions and the appropriate standard for review in this court depends on the nature of the Board\u2019s action. (See Wells Manufacturing Co. v. Pollution Control Board (1978), 73 Ill. 2d 226, 383 N.E.2d 148; Monsanto Co. v. Pollution Control Board (1977), 67 Ill. 2d 276, 288-91, 367 N.E.2d 684,689-90.) Although the Board here applied and interpreted Rules 203(a), (b) and (f), it was not acting in its quasilegislative, rulemaking capacity which invokes the unreasonable, arbitrary or capricious standard of review. (Monsanto.) Instead, the Board\u2019s actions were judicial, for they were to review the Agency\u2019s denial of the permit to U.S. Steel, pursuant to section 40 of the Act. (Ill. Rev. Stat. 1977, ch. 111\u00bd, par. 1040.) Consequently, the proper standard for our review of the Board\u2019s decision is whether the Board\u2019s action is contrary to the manifest weight of the evidence. Wells Manufacturing Co.\nIn reviewing the Agency\u2019s permit denial, the Board was bound by the record submitted to it (City of Monmouth v. Pollution Control Board (1974), 57 Ill. 2d 482, 313 N.E.2d 161), and any evidence which it considered must have been introduced as such. (Hazelton v. Zoning Board of Appeals (1977), 48 Ill. App. 3d 348, 363 N.E.2d 44.) The Board heard no evidence. The facts of the proceedings before the Agency were submitted to the Board in the form of a stipulation between the Agency and U.S. Steel and the respective parties argued their positions in briefs filed with the Board. The actual Agency record comprised U.S. Steel\u2019s application, the Agency\u2019s calculations and permit denial, and U.S. Steel\u2019s written responses to the Agency. The Board was thus confined to the agreed facts in the stipulation and to the Agency\u2019s record in reviewing the Agency\u2019s decision. This the Board did not do.\nIn its opinion and order of September 7, 1978, the Board first noted that there was no issue of fact before it. However, it went on to characterize the ultimate question as one of fact for which there was \u201can unfortunate lack of information.\u201d Although the Agency had found that U.S. Steel had not demonstrated compliance with the emission standards of Rule 203(a), U.S. Steel argued to the Board that the cast house emissions were fugitive emissions governed by Rule 203(f), with which the emissions complied. Whether or not the cast house emissions were fugitive emissions as defined by Rule 201 had not been considered by the Agency. That question, the Board stated, was to be determined by the physical characteristics of the emissions.\nHaving found that the applicability of Rule 203(f) rested on a factual determination of the nature of the emissions for which there was inadequate information in the record, the Board at the very least should have remanded the matter to the Agency for further findings of fact. Instead, the Board turned to its own knowledge and noted that the casting operation could involve everything from easily collectible emissions to fugitive particulate matter. It then concluded that the casting operation in question produced fugitive emissions and were thus governed exclusively by Rule 203(f). The Board then ordered the Agency to issue the operating permit to U.S. Steel. Athough the Board\u2019s order of September 7, 1978, contained no finding of U.S. Steel\u2019s compliance with Rule 203(f), it entered an order on November 16, 1978, which, in denying the Agency\u2019s motion for rehearing or reconsideration, expressly found compliance with Rule 203(f) and the nonapplicability of Rules 203(a) and (b).\nIn addition to resolving a factual issue that was for the Agency to decide, the Board erred in relying on its own expertise rather than the record in finding that the cast house emissions were fugitive emissions. (Smith v. Department of Registration & Education (1952), 412 Ill. 332, 106 N.E.2d 722; Craig v. Pollution Control Board (1978), 59 Ill. App. 3d 65, 376 N.E.2d 1021.) The rule requiring an administrative body to base its decision on evidence in the record has a twofold purpose of affording the parties the full opportunity to know what evidence is submitted and considered in the administrative proceedings while providing sufficient information to allow an adequate judicial review. (See Smith v. Department of Registration & Education; Farney v. Anderson (1978), 56 Ill. App. 3d 677, 372 N.E.2d 151.) The Famey court explained the rule in the context of a medical license revocation proceeding:\n\u201cTo determine manifest weight of evidence in an area not of one\u2019s own training and education becomes a difficult task at best, and it becomes impossible when only one pan of scales is filled. The Smith court put it tersely: \u2018This court possesses neither medical learning nor powers of telepathy. We are, therefore, unable to medically evaluate the testimony in this record or to know what scientific appraisal of it was made by the medical committee.\u2019 [Citation.]\u201d (56 Ill. App. 3d 677, 682, 372 N.E.2d 151, 154.)\nThe Board\u2019s notation that the facts were inadequate, followed by a general statement that it based its findings on the record does little to assist this court in evaluating the record. There is nothing which indicates the basis for the Board\u2019s conclusion that the emissions were fugitive rather than easily collectible, when the Board had stated that the casting operation may produce particulate matter that could run the gamut from one extreme to the other regarding collectibility.\nFurthermore, we find no figures in U.S. Steel\u2019s application, nor does U.S. Steel point to any, which indicate that the supposedly fugitive emissions were measured in accordance with Rule 203(f) and are in compliance with that rule. The burden of establishing compliance was with U.S. Steel both in the permit application and the subsequent review before the Board (Ill. Rev. Stat. 1977, ch. 111\u00bd, pars. 1039 and 1040). By ordering the Agency to issue the permit the Board effectively shifted the burden to the Agency to establish U.S. Steel\u2019s noncompliance. The result is thus inconsistent with the statute as well as the Board\u2019s own past acknowledgments that the question before it in the review of the Agency\u2019s denial of a permit is whether the Agency erred (School Building Com. v. Environmental Protection Agency (1971), 2 Ill. P.C.B. Op. 681), not whether the Board is persuaded by new material that was not before the Agency that the permit should be granted. Soil Enrichment Materials Corp. v. Environmental Protection Agency (1972), 5 Ill. P.C.B. Op. 715.\nThe Agency\u2019s final contention is that the Board erred in its application of Rules 203(a), (b) and (f) in that the Board\u2019s interpretation marks an abrupt departure from its previous application of the rule and that the language of Rule 203 in its entirety clearly shows that Rules 203(a) and (b) apply concurrently with Rule 203(f). It is true that an administrative agency\u2019s construction of its own rules is generally considered to be persuasive and is afforded deference by the courts, but the courts will not be bound by an interpretation that is clearly erroneous, arbitrary or unreasonable. (See Winnetkans Interested in Protecting the Environment v. Pollution Control Board (1977), 55 Ill. App. 3d 475, 370 N.E.2d 1176; Olin Corp. v. Pollution Control Board (1977), 54 Ill. App. 3d 480, 370 N.E.2d 3.) Although the Agency cites decisions of the Board in support of its contention while U.S. Steel cites Board decisions in an effort to establish the contrary, it is not necessary for us to delve into the past practices of the Board, for we conclude that the language of Rule 203 in its entirety cannot support either U.S. Steel\u2019s position or the Board\u2019s interpretation.\nRule 101 defines an emission source as \u201cany equipment or facility of a type capable of emitting specified air contaminants to the atmosphere.\u201d Rules 203(a) and (b) apply respectively to any new and existing process emission source, which according to definition found in Rule 201, is \u201cany stationary emission source other than a fuel combustion emission source or an incinerator.\u201d The four blast furnaces thus are clearly subject to Rules 203(a) and (b) because they are stationary emission sources. Rule 203(c) pertains to compliance with Rules 203(a) and (b), while Rule 203(d) lists 10 specific exceptions to Rules 203(a), (b) and (c). Those exceptions are: (1) catalyst regenerators of fluidized catalytic converters; (2) sinter processes; (3) kilns and coolers of portland cement manufacturing processes; (4) feed and gluten dryers in com wet milling processes; (5) grinding, woodworking, sandblasting and shotblasting industries; (6) coke manufacturing processes; (7) certain small foundry cupolas; (8) stock piles of particulate matter; (9) grain-handling and grain drying operations; and (10) certain iron-melting air furnaces located in Hoopeston, Vermilion County, Illinois. Nowhere in Rule 203(d) is there a mention of blast furnaces or cast house operations, which would indicate that the subject operations are not governed by Rules 203(a) or (b).\nU.S. Steel relies solely on Rule 203(f), which sets separate standards for fugitive particulate matter which is defined in Rule 201 as follows:\n\u201cFugitive Particulate Matter: Any particulate matter emitted into the atmosphere other than through a stack, provided that nothing in this definition or in Rule 203(f) shall exempt any source from compliance with other provisions of Rule 203 otherwise applicable merely because of the absence of a stack.\u201d\nHowever, the basis for U.S. Steel\u2019s claim of exclusive application of Rule 203(f) is the absence of a stack from the cast houses and the above definition states, without question, that that factor alone does not exempt any source from compliance with other applicable rules. The cast houses being stationary emission sources that are not specifically exempted from Rules 203(a), (b) and (c) by Rule 203(d), they may not be exempted merely because their emissions are not vented through a stack. It is also worth noting that, of the exceptions found in Rule 203, only the grinding, woodworking, sandblasting and shotblasting industries and stockpiles are made subject to Rule 203(f). (Rule 203(d)(5) and (8).) Again, there is no mention of iron blast furnaces.\nWe conclude that Rule 201 provides that fugitive emissions shall also be subject to other applicable provisions of Rule 203. Because the cast house emissions here are subject also to Rules 203(a) and (b), and are not subject to any stated exception, they must comply with Rules 203(a) and (b). Therefore, even if we were to accept the Board\u2019s findings as to Rule 203(f), the record still shows that U.S. Steel did not establish its compliance with Rules 203(a) and (b). Accordingly, we hold that the Board\u2019s stated interpretation of Rules 203(a), (b) and (f) is clearly erroneous and that it was error to order the Agency to issue the permit.\nFor the foregoing reasons, the order of the Board finding U.S. Steel in compliance with Rule 203(f) and directing the Agency to issue the permits is reversed.\nReversed.\nSULLIVAN, P. J., and WILSON, J., concur.",
        "type": "majority",
        "author": "Mr. JUSTICE MEJDA"
      }
    ],
    "attorneys": [
      "William J. Scott, Attorney General, of Chicago (Dean Hansell and Judith S. Goodie, Assistant Attorneys General, of counsel), for petitioner.",
      "Clifton A. Lake and Johnnine Brown Hazard, both of Rooks, Pitts, Fullagar & Poust, of Chicago, for respondent United States Steel Corporation."
    ],
    "corrections": "",
    "head_matter": "THE ENVIRONMENTAL PROTECTION AGENCY, Petitioner, v. THE POLLUTION CONTROL BOARD et al., Respondents.\nFirst District (5th Division)\nNo. 78-2114\nOpinion filed August 1, 1980.\n\u2014 Rehearing denied October 1, 1980.\nWilliam J. Scott, Attorney General, of Chicago (Dean Hansell and Judith S. Goodie, Assistant Attorneys General, of counsel), for petitioner.\nClifton A. Lake and Johnnine Brown Hazard, both of Rooks, Pitts, Fullagar & Poust, of Chicago, for respondent United States Steel Corporation."
  },
  "file_name": "0071-01",
  "first_page_order": 93,
  "last_page_order": 103
}
