Sierra Club v. Illinois Pollution Control Board ( 2010 )


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  •                            No.    3-09-0120
    _________________________________________________________________
    Filed August 24, 2010 Corrected
    IN THE
    APPELLATE COURT OF ILLINOIS
    THIRD DISTRICT
    A.D., 2010
    SIERRA CLUB and PEORIA FAMILIES )         Petition for Review of
    AGAINST TOXIC WASTE,                )     Opinion and Order of the
    )     Illinois Pollution Control
    Petitioners-Appellants,        )     Board
    )
    v.                             )
    )
    ILLINOIS POLLUTION CONTROL         )
    BOARD, PEORIA DISPOSAL COMPANY, )         No. AS 08-10
    ILLINOIS ENVIRONMENTAL              )
    PROTECTION AGENCY,                  )
    )
    Respondents-Appellees,         )
    )
    and                           )
    )
    UNITED STATES ENVIRONMENTAL       )
    PROTECTION AGENCY,                 )
    )
    Respondents.                  )
    _________________________________________________________________
    JUSTICE LYTTON delivered the opinion of the court:
    _________________________________________________________________
    Peoria Disposal Company (PDC)         filed a petition with the
    Illinois   Pollution   Control   Board    (Board)   to   delist   residue
    resulting from the treatment of electric arc furnace dust         (EAFD)
    as a hazardous waste for disposal purposes.         The Board issued an
    order granting PDC's petition.         Sierra Club and Peoria Families
    Against Toxic Waste (collectively referred to as the opposition
    groups) seek reversal of the Board’s order, arguing that the Board
    erred in (1) failing to consider the factors set forth in section
    27(a) of the Illinois Environmental Protection Act (Act) (415 ILCS
    5/27(a) (West 2008)); (2) not requiring PDC to address future
    permit modifications; (3) finding that local citing approval was
    2
    not required; and (4) not requiring reopener language. PDC and the
    Board argue that the opposition groups do not have standing to
    appeal the Board’s order.     We find that the opposition groups have
    standing but affirm the Board’s order on the merits of the case.
    BACKGROUND
    In 1989, the Illinois Environmental Protection Agency (IEPA)
    issued a permit to PDC to operate a waste stabilization facility
    (WSF) near Peoria, Illinois, for the storage and treatment of
    hazardous and nonhazardous waste.        On April 25, 2008, PDC filed a
    delisting adjusted standard petition under section 28.1 of the Act
    (415 ILCS 5/28.1 (West 2008)).          In the petition, PDC asked the
    Board to delist K061 hazardous waste, EAFD, an emission from the
    production of steel in electric arc furnaces, after the EAFD is
    treated and stabilized. The residue resulting from PDC’s treatment
    is referred to as "electric arc furnace dust stabilized residue"
    (EAFDSR).
    On June 12, 2008, IEPA filed a response generally supporting
    the petition.   The   Board   conducted     a   public   hearing   on    PDC’s
    petition on August 18, 2008.      PDC presented two witnesses at the
    hearing.    PDC’s     first   witness    was    Laura    Curtis,   a    senior
    environmental engineer for RMT, Inc., an environmental energy and
    engineering firm that provides consulting services to businesses
    like PDC.    PDC retained her to evaluate the new process it
    3
    developed for stabilizing EAFD waste. She summarized the delisting
    process. She also testified about the chemical process involved in
    stabilizing EAFD waste and the tests she performed to determine if
    PDC’s process successfully removed the hazardous properties from
    the waste.    She concluded that PDC’s treatment of the EAFD waste
    renders it nonhazardous and subject to delisting.
    PDC’s next witness was Ajit Chowdhury, a chemical engineer.
    He testified that PDC hired him to develop a new technology to
    stabilize EAFD, which he did.      He described the chemical process
    involved in stabilizing EAFD.      He testified that the process he
    created permanently stabilizes the EAFD.
    Twenty-seven other individuals presented public comments at
    the hearing.       Some of those individuals were members of the
    opposition groups, who expressed concerns about the delisting
    petition.     After the hearing ended, the Board accepted written
    public comments. Many written public comments came from members of
    the opposition groups.      In addition to the public comments, IEPA
    issued a recommendation, asking the Board to grant PDC’s delisting
    petition.
    On January 8, 2009, the Board issued a 103-page opinion and
    order   granting    PDC’s   delisting   petition   subject   to   several
    conditions.    In re RCRA Delisting Adjusted Standard Petition of
    Peoria Disposal Company, Ill. Pollution Control Bd. Op. AS 08-10
    4
    (January 8, 2009) (hereinafter Board Order).                     In its summary, the
    Board stated:
    "Based on a thorough review of this record, the
    Board    finds   that    PDC   has       met    the    legal      tests    for
    delisting    under      Section   28.1         of     the    Environmental
    Protection Act *** and Section 720.122 of the Board’s
    hazardous waste regulations ***.                 PDC has demonstrated
    that (1) the treatment residue does not meet any of the
    criteria    under    which     K061      EAF    dust        was   listed   as
    hazardous waste; (2) there is no reasonable basis to
    believe that factors other than those for which the K061
    waste was listed warrant retaining the treatment residue
    as a hazardous waste; and (3) the treatment residue
    exhibits no characteristics of hazardous waste.                            The
    scientific evidence presented to the Board shows that the
    treatment     residue     meeting         the       Board’s       designated
    delisting levels does not pose a substantial present or
    potential threat to human health or the environment when
    considering all of the relevant factors."                     Board Order,
    Ill. Pollution Control Bd. Op. AS 08-10, at 2.
    The Board imposed several conditions                     upon PDC, including (1)
    requiring analytical proof that every batch of EAFDSR leaving PDC’s
    facility does not contain chemical concentrations in excess of
    5
    those found to be safe, (2) adding dioxins and furans to the
    constituents for which PDC will have to test, 3) tightening the
    description    of    disposal   facilities   that     may   receive    delisted
    treatment residue, and (4) narrowing the instances when PDC can
    alter its stabilization process without having to first petition
    the Board to justify an amendment to the delisting.             Board Order,
    Ill. Pollution Control Bd. Op. AS 08-10, at 2.
    In its order, the Board considered many concerns raised in
    public comments.          One of those concerns was whether reopener
    language     used    in   delistings   granted   by     the   United     States
    Environmental Protection Agency (USEPA) should be included in PDC’s
    delisting.      The Board found that USEPA reopener language was
    "unnecessary here to ensure protection of human health and the
    environment."       Board Order, Ill. Pollution Control Bd. Op. AS 08-
    10, at 77.      The Board explained that "Illinois’ comprehensive
    environmental regulations, supplemented by corrective action and
    injunctive authorities under the Act, provide the ability to
    promptly detect and remedy problems of the sort the reopener is
    designed to address."       Board Order, Ill. Pollution Control Bd. Op.
    AS 08-10, at 78.      The Board further found that Illinois’ system of
    environmental governance does not lend itself to reopener language.
    Board Order, Ill. Pollution Control Bd. Op. AS 08-10, at 78.
    Next, the Board addressed concerns raised by the opposition
    6
    groups that PDC did not provide sufficient evidence to satisfy the
    factors set forth in section 27(a) of the Act (415 ILCS 5/27(a)
    (West 2008)).    The Board stated that it "carefully considered the
    information in this record in view of the Section 27(a) factors, as
    required by Section 28.1(a) and finds that the delisting may be
    granted    consistent     with   those       factors."     Board   Order,    Ill.
    Pollution Control Bd. Op. AS 08-10, at 81.               The Board then went on
    to specifically discuss the location of the facility, its effect on
    drinking    water   and    potential         air   emissions,   the   technical
    feasability of treating the EAFD with PDC’s new technology and the
    economic reasonableness of PDC’s treatment proposal.               Board Order,
    Ill. Pollution Control Bd. Op. AS 08-10, at 81-85.
    Next, the Board considered the opposition groups’ concern that
    PDC will need permit modifications if the adjusted standard was
    granted. PDC responded that it conferred with IEPA and "'confirmed
    that no permits or permit modifications will be required if the
    delisting is granted'" because PDC’s current permit is "'sufficient
    to cover PDC’s operations in treating the EAFDSR after delisting.'"
    Board Order, Ill. Pollution Control Bd. Op. AS 08-10, at 85.                Based
    on PDC’s response that no permit modifications were necessary, the
    Board found the opposition groups' concern unfounded. Board Order,
    Ill. Pollution Control Bd. Op. AS 08-10, at 86.
    Finally, the Board addressed the opposition groups’ argument
    7
    that   PDC    needed    local   siting       approval   because     the    proposed
    delisting "'would create a new pollution control facility.'"                   The
    Board found that local siting approval was "not a prerequisite to
    the Board granting this delisting petition."                 Board Order, Ill.
    Pollution Control Bd. Op. AS 08-10, at 86.              The Board found that in
    order to rule on the delisting petition, it was not necessary for
    it to "offer legal opinions on the disputed interpretations of 'new
    pollution     control    facility,'     'transfer       station'    and    'special
    waste.'"     Board Order, Ill. Pollution Control Bd. Op. AS 08-10, at
    86.
    On February 13, 2009, the opposition groups filed a petition
    for review of the Board’s January 8, 2009, order.
    I.     Standing
    PDC and the Board argue that the opposition groups lack
    standing to challenge the Board’s order in this case because they
    do not fall within any of the groups identified in section 41(a) of
    the Act (415 ILCS 5/41(a) (West 2008)).                  The opposition groups
    respond that they have standing pursuant to section 29(a) of the
    Act (415     ILCS   5/29(a)     (West   2008))     because   they    are    persons
    "adversely affected or threatened" by the delisting.
    Whether the opposition groups have standing is a question of
    law that we review de novo.        Malec v. City of Belleville, 
    384 Ill. 8
    App. 3d 465, 468, 
    891 N.E.2d 1039
    , 1042 (2008).
    Section 28.1 of the Act, which governs adjusted standards,
    provides that "[a] final Board            determination made under this
    section may be appealed pursuant to Section 41 of this Act."                    415
    ILCS 5/28.1(g) (West 2008).        Section 41(a) of the Act provides:
    "Any party to a Board hearing, any person who filed
    a complaint on which a hearing was denied, any person who
    has been denied a variance or permit under this Act, any
    party     adversely    affected        by    a    final    order      or
    determination     of    the    Board,       and   any     person    who
    participated     in    the    public    comment     process        under
    subsection (8) of Section 39.5 of this Act [the Clean Air
    Act Permit Program] may obtain judicial review, by filing
    a petition for review within 35 days from the date that
    a copy of the order or other final action sought to be
    reviewed was served upon the party affected by the order
    or other final Board action complained of. *** Review of
    any rule or regulation promulgated by the Board shall not
    be limited by this section but may also be had as
    provided in Section 29 of this Act."              415 ILCS 5/41(a)
    (West 2008).
    Section 29(a) states: "Any person adversely affected or threatened
    by any rule or regulation of the Board may obtain a determination
    9
    of the validity or application of such rule or regulation by
    petition for review under Section 41 of this Act."                 415 ILCS
    5/29(a) (West 2008).
    The parties agree that the opposition groups were not parties
    in the Board proceeding and do not fit within any other category of
    persons identified in section 41(a). They disagree, however, about
    whether the Board’s order granting PDC’s delisting constitutes a
    "rule or regulation."     If it does, then the opposition groups have
    standing pursuant to section 29(a).
    It is well established that the Board serves both quasi-
    judicial and quasi-legislative functions. Environmental Protection
    Agency v. Pollution Control Board (United States Steel Corp.), 
    86 Ill. 2d 390
    ,   399,   
    427 N.E.2d 162
    ,   166   (1981);   Environmental
    Protection Agency v. Pollution Control Board and The Louis Berkman
    Co. d/b/a Swenson Spreader Co. ("Swenson Spreader Co."), 308 Ill.
    App. 3d 741, 747, 
    721 N.E.2d 723
    , 727 (1999).            Quasi-legislative
    functions include promulgating rules and regulations and placing
    conditions on variances.      Swenson Spreader 
    Co., 308 Ill. App. 3d at 747
    , 721 N.E.2d at 727.       Many aspects of ruling on a petition for
    an adjusted standard involve quasi-legislative determinations.
    Swenson Spreader 
    Co., 308 Ill. App. 3d at 748
    , 721 N.E.2d at 728.
    "Quasi-legislative determinations are exercises of the Board’s
    rulemaking powers."     Swenson Spreader 
    Co., 308 Ill. App. 3d at 747
    ,
    
    10 721 N.E.2d at 728
    .
    PDC and the Board contend that the Board’s decision was not a
    legislative or quasi-legislative determination but, rather, an
    adjudicatory determination, pursuant to section 28.1(a) of the Act.
    Section 28.1(a) provides: "After adopting a regulation of general
    applicability, the Board may grant, in a subsequent adjudicatory
    determination, an adjusted standard for persons who can justify
    such an adjustment consistent with subsection (a) of Section 27 of
    the Act."    415 ILCS 5/28.1(a) (West 2008).   The opposition groups
    respond that the Board’s order granting PDC’s delisting petition
    was a regulation based on section 27 of the Act, the Board’s own
    rules and the placement of the adjusted standard provisions in the
    Act.
    Section 27(a) provides: "The Board may adopt substantive
    regulations as described in this Act.   Any such regulations *** may
    include regulations specific to individual persons or sites."    415
    ILCS 5/27(a) (West 2008).    Additionally, the Board’s rules state
    that "[a]n adjusted standard has the effect of an environmental
    regulation that would apply to petitioner, if granted, in lieu of
    the general regulation that would otherwise be applicable to a
    petitioner and the regulated community."       35 Ill. Adm. Code §
    104.400 (2008). Finally, sections 27 and 28.1, which set forth the
    process for obtaining an adjusted standard, are contained in Title
    11
    VII of the Act, which is entitled, "Regulations."              415 ILCS 5/26 et
    seq. (West 2008).      While section 28.1 requires the Board to conduct
    an adjudicatory hearing to determine whether to grant an adjusted
    standard petition, the resulting order may act as a regulation
    specific to the petitioner.
    Here, the Board’s granting of PDC’s petition created a rule or
    regulation specific to PDC, particularly since the Board imposed
    several conditions on PDC.          Cf. Monsanto Co. v. Pollution Control
    Board, 
    67 Ill. 2d 276
    , 290, 
    367 N.E.2d 684
    , 690 (1977) (power
    granted   to    the   Board    to   impose   conditions   on    variances   "is
    tantamount to the quasi-legislative power to make prospective
    regulations and orders"). Thus, section 29(a) applies and provides
    the opposition groups with standing to challenge the Board’s order.
    II.     Section 27(a) of the Act
    The opposition groups argue the Board failed to fully and
    properly consider the factors set forth in section 27(a) of the Act
    when it granted PDC’s petition.
    We review this issue under a manifest weight of the evidence
    standard.      See Swenson Spreader 
    Co., 308 Ill. App. 3d at 748
    , 721
    N.E.2d at 728.
    Section 27(a) of the Act provides in pertinent part:
    "In promulgating regulations under this Act, the Board
    shall take into account the existing physical conditions,
    12
    the   character      of    the   area   involved,   including    the
    character       of        surrounding     land      uses,      zoning
    classifications, the nature of the existing air quality,
    or receiving body of water, as the case may be, and the
    technical feasibility and economic reasonableness of
    measuring or reducing the particular type of pollution."
    415 ILCS 5/27(a) (West 2008).
    The Illinois Supreme Court has held that this section requires the
    Board to "consider" or "weigh carefully" the factors set forth in
    section 27(a) when adopting a regulation; it does not require the
    Board to make a determination, based on evidence in the record,
    that the delisting complies with the factors before promulgating
    it.    See Granite City Division of National Steel Co. v. Illinois
    Pollution Control Board, 
    155 Ill. 2d 149
    , 181, 
    613 N.E.2d 719
    , 733-
    34 (1993).     The court explained: "Rather than imposing a specific
    evidentiary burden on the Board ***, section 27(a) provides general
    standards to guide the Board in the exercise of its broad authority
    to    ensure   that   the       regulations    adopted    by   the   Board    are
    reasonable."    Granite 
    City, 155 Ill. 2d at 182
    , 613 N.E.2d at 734;
    see also Shell Oil Co. v. Illinois Pollution Control Board, 37 Ill.
    App. 3d 264, 275, 
    346 N.E.2d 212
    , 222 (1976) ("the legislature
    intended the Board’s obligation under Section 27 to be a flexible
    one and a matter of Board discretion, and did not intend by that
    13
    section to impose a specific evidentiary burden on the Board").
    Although    not     required      to    do    so,   the    Board      specifically
    addressed the section 27(a) factors, including the character of the
    area    involved     and     the       technical       feasibility        and      economic
    reasonableness of measuring or reducing the EAFSD.                              The Board
    responded     to   many    of    the    concerns       raised    in   public       comments
    regarding the location of the facility, its effect on drinking
    water   and   potential         air    emissions      that   may      result    from    the
    delisting. Ultimately, the Board found that the delisting could be
    granted "consistent with those factors."                         We find the Board’s
    ruling on the section 27(a) factors was not against the manifest
    weight of the evidence.
    III.        Permit Modifications
    The objectors next contend that the Board erred in granting
    the delisting petition because it was incomplete.                      They argue that
    the petition should have addressed what permit modifications the
    facility will need in the future.                   PDC and the Board respond that
    its rules     governing      delisting         do    not   require     PDC    to   address
    potential permit modifications and that alternative measures exist
    to protect against changes that might occur in the future.
    Because this ruling involves the Board’s technical expertise
    and the interpretation of its rules, we will overturn the Board’s
    decision only if it is arbitrary and capricious.                             See Swenson
    14
    Spreader 
    Co., 308 Ill. App. 3d at 747
    -78, 721 N.E.2d at 728.
    The Board has adopted rules setting forth the requirements
    that must be contained in a petition to delist.            See 35 Ill. Adm.
    Code. § 104.406.       Those rules do not require that a petitioner
    provide evidence or information regarding what permit modifications
    will be necessary for the delisting.
    It is the province of the IEPA, not the Board, to grant
    permits.      See 415 ILCS 5/4 (West 2008).       Here, PDC conferred with
    IEPA,   and    IEPA   determined   that     no   future   permits   would   be
    necessary.      If IEPA later determines that permits are necessary,
    IEPA must notify PDC of such and may institute proceedings to
    require PDC to obtain the necessary permits.              See 415 ILCS 5/31
    (West 2008).       Thus, safeguards are in place if future permit
    modifications become necessary.           For these reasons, the Board did
    not err in finding that PDC’s delisting petition was complete and
    should be granted.
    IV.   Local Siting Approval
    The opposition groups argue that PDC was required to obtain
    local siting approval, pursuant to section 39.2 of the Act (415
    ILCS 5/39.2 (West 2008)), because the delisting creates a "new
    pollution control facility."       They contend that PDC has created a
    new pollution control facility by accepting EAFDSR for the first
    time.   They further contend that PDC is transforming its facility
    15
    from a waste disposal facility to a waste transfer facility because
    "in the very near future, none of the EAF dust treated in the waste
    stabilization facility (EAFDSR) will be deposited in the PDC No. 1
    Landfill."
    We review this issue under a manifest weight of the evidence
    standard.    See Swenson Spreader 
    Co., 308 Ill. App. 3d at 748
    , 721
    N.E.2d at 728.
    Section 39.2 of the Act requires local siting approval for new
    pollution control facilities.    See 415 ILCS 5/39.2 (West 2008).
    The definition of a "new pollution control facility" includes (1)
    "the area of expansion beyond the boundary of a currently permitted
    pollution control facility," and (2) "a permitted pollution control
    facility requesting approval to store, dispose of, transfer or
    incinerate, for the first time, any special or hazardous waste."
    415 ILCS 5/3.330(b) (West 2008).      When a facility only transfers
    waste, it is a "transfer station," which         "accepts waste for
    temporary storage or consolidation and further transfer to a waste
    disposal, treatment or storage facility."     415 ILCS 5/3.500 (West
    2008).
    Here, the actions proposed by PDC do not fit the definition of
    a new pollution control facility. PDC filed its delisting petition
    so that it could process EAFD and turn it into EAFDSR, a non-
    hazardous product.    PDC is not seeking an expansion beyond the
    16
    boundaries of its current WSF or adjoining landfill. Additionally,
    PDC is not asking to deal with special or hazardous waste for the
    first time.     The facility is already permitted to and does treat
    hazardous waste.     Furthermore, after treatment, EAFDSR is not a
    hazardous waste. PDC’s petition for an adjusted standard does not
    contemplate the creation of a "new pollution control facility" as
    that term is defined in section 3.330 of the Act.          The Board
    properly found that local siting approval was not necessary.
    We also reject the opposition groups’ contention that PDC is
    operating a transfer station.     The WSF is a facility designed to
    treat waste.    A transfer station does not treat waste but merely
    stores it temporarily or consolidates it for further transfer. 415
    ILCS 5/3.500 (West 2008).    Since PDC is treating waste, it is not
    operating a transfer station.
    Nevertheless, the opposition groups suggest that PDC will be
    transporting all of its waste to off-site facilities in the future
    and thus become a transfer station.    However, this is not the issue
    in this case.     The Board determined that the issue before it was
    not the legal interpretation of terms such as "new pollution
    control facility" or "transfer station" and how they might be
    applied.   Board Order, Ill. Pollution Control Bd. Op. AS 08-10, at
    86.   Rather, the issue was whether the delisting petition could be
    allowed.   We agree.    The Board correctly found that the petition
    17
    should be granted.
    V.    Reopener Language
    Finally, the opposition groups argue that the Board should
    have required reopener language as a condition to granting PDC’s
    petition.
    Because this ruling involves the Board’s technical expertise
    and interpretation of the Board’s rules, we will overturn the
    Board’s decision only if it is arbitrary and capricious.                     See
    Swenson Spreader 
    Co., 308 Ill. App. 3d at 747
    -78, 721 N.E.2d at
    728.
    When the USEPA grants delistings, their orders often contain
    "reopener language."        See 40 C.F.R. Part 261, App. IX (2008).
    Reopener language requires a facility to report to the Regional
    Administrator any data relevant to the delisted waste indicating
    that any constituent is at a level higher than the delisting level.
    See 40 C.F.R. Part 261, App. IX (2008).         Based on such information,
    the Regional Administrator may take whatever action is necessary to
    protect   human   health    or   environment,       including   suspending    or
    revoking the exclusion.         See 40 C.F.R. Part 261, App. IX (2008).
    In Illinois, IEPA and state and local officials have broad
    authority    to   take   action     to    protect    human   health   and    the
    environment when a potentially hazardous or dangerous condition
    exists.     Pursuant to section 4(s) of the Act, IEPA "shall have
    18
    authority to take whatever preventive or corrective action is
    necessary or appropriate *** whenever any hazardous substance or
    pesticide is released or there is a substantial threat of such a
    release into the environment."        415 ILCS 5/4(s) (West 2008).
    Pursuant to section 42(e) of the Act, State’s Attorneys or the
    Attorney General, may, at the request of IEPA, or on their own
    motion, institute a civil action to enjoin or restrain violations
    of the Act, any rule or regulation adopted under the Act, any
    permit or term or condition of a permit or any Board order.     415
    ILCS 5/42(e) (West 2008).    Furthermore, section 43(a) of the Act
    authorizes State’s Attorneys or the Attorney General, on the
    request of IEPA or their own motion, to institute a civil action
    for an immediate injunction to halt any discharge or any other
    activity causing or contributing to any danger to the environment
    or to the public health.    415 ILCS 5/43(a) (West 2008).   Because
    Illinois authorizes corrective action and injunctive relief under
    the Act, reopener language like that contained in USEPA delistings
    is unnecessary for delistings in this state.
    We find that reopener language is not only unnecessary but
    futile based on Illinois’ system of environmental governance.
    Unlike the federal system, where USEPA is responsible for both
    creating and enforcing environmental regulations, in Illinois, the
    responsibility for environmental regulation and enforcement is
    19
    divided between IEPA and the Board.      See 415 ILCS 5/4 & 5/5 (West
    2008).   IEPA is responsible for permitting, site inspections and
    enforcement actions.      See 415 ILCS 5/4 (West 2008). The Board’s
    duties include determining, defining and implementing environmental
    control standards and conducting proceedings on complaints charging
    violations of the Act, regulations or Board orders, on petitions
    for   variances    or   adjusted   standards   and   on   administrative
    citations.      See 415 ILCS 5/5(c) & (d) (West 2008).          Once an
    adjusted standard is granted by the Board, the Board no longer has
    authority to take any action with respect to the facility.       At that
    point, IEPA is in charge of site inspections and any institute
    enforcement actions that may be necessary.      See 415 ILCS 5/4 (West
    2008). Because the Board has no authority to initiate enforcement,
    any reopener language would serve no purpose.        Thus, the Board did
    not err in refusing to include it in its order.
    VI. Conclusion
    We affirm the order of the Illinois Pollution Control Board.
    Affirm.
    JUSTICE CARTER, specially concurring.
    It is my conclusion that the opposition groups do not have
    standing to bring the instant appeal.      I would dismiss this
    appeal, which has the effect of affirming the order of the
    20
    Illinois Pollution Control Board.      See People v. Griffith, 
    212 Ill. 2d 57
    , 58, 
    816 N.E.2d 353
    , 354 (2004) (the effect of the
    dismissal of an appeal is an affirmance of the decision under
    review).    Thus, I concur in the resulting judgment of the lead
    decision to affirm.
    Under title 35, section 720.122(n), of the Illinois
    Administrative Code (the Code), “Delistings that have not been
    adopted by USEPA may be proposed to the Board pursuant to a
    petition for adjusted standard pursuant to Section 28.1 of the
    [Illinois Environmental Protection] Act [(415 ILCS 5/28.1)] and
    Subpart D of 35 Ill. Adm. Code 104.”     35 Ill. Adm. Code
    §720.122(n).    Subpart D of Title 35, part 104, of the Code sets
    forth the procedure to be followed when filing a petition for an
    adjusted standard with the Pollution Control Board (the Board),
    including provisions related to notice and public hearings.
    Section 28.1 of the Illinois Environmental Protection Act (the
    Act) grants authority to the Board to grant a petitioner an
    adjusted standard.     415 ILCS 5/28.1(a) (West 2008).   Section 28.1
    provides:
    “(a)   After adopting a regulation of general
    applicability, the Board may grant, in a subsequent
    adjudicatory determination, an adjusted standard for
    persons who can justify such an adjustment consistent
    21
    with subsection (a) of Section 27 of this Act. *** The
    rule-making provisions of the Illinois Administrative
    Procedure Act and Title VII of this Act shall not apply
    to such subsequent determinations.
    ***
    (g) A final Board determination made under this
    Section may be appealed pursuant to Section 41 of this
    Act.”    415 ILCS 5/28.1(a) (West 2008).
    Title VII of the Act grants the Board the authority to adopt
    rules and regulations necessary to accomplish the purposes of the
    Act.    In addition, Title VII of the Act sets forth statutory
    guidelines for adopting rules and regulations, including
    provisions for public hearings.       The final section of Title VII
    is section 29, entitled “Review.”         415 ILCS 5/29 (West 2008).
    Section 29(a) states, “Any person adversely affected or
    threatened by any rule or regulation of the Board may obtain a
    determination of the validity or application of such rule or
    regulation by petition for review under Section 41 of this Act.”
    415 ILCS 5/29(a) (West 2008).
    Peoria Disposal Company (PDC) contends that the opposition
    groups lack standing to appeal the Board’s decision to grant PDC
    the adjusted standard.       PDC argues that section 41 of the Act
    governs appeals of Board decisions regarding adjusted standards,
    22
    and that the opposition groups do not fit into any of the
    categories set forth in section 41 of those who may appeal such
    decisions of the Board.    The opposition groups disagree.   They
    maintain that the authority to appeal Board decisions granting an
    adjusted standard is found in section 29 of the Act because, they
    argue, the decision to grant an adjusted standard is classified
    as a rule or regulation.    Further, they argue that they are
    included within the broader language of section 29 of those who
    may petition for review of Board rules or regulations.
    Section 41 of the Act provides for judicial review of acts
    of the Board and that judicial review shall be afforded directly
    in the Appellate Court for the District in which the cause of
    action arose.   415 ILCS 5/41 (West 2008).   Section 41(a)
    specifically delineates who may obtain judicial review of acts of
    the Board: (1) “[a]ny party to a Board hearing”; (2) “any person
    who filed a complaint on which a hearing was denied”; (3) “any
    person who has been denied a variance or permit under this Act”;
    (4) “any party adversely affected by a final order or
    determination of the Board”; and (5) “any person who participated
    in the public comment process under subsection (8) of Section
    39.5 of this Act.”    415 ILCS 5/41(a) (West 2008).    In addition
    section 41(a) states, “Review of any rule or regulation
    promulgated by the Board shall not be limited by this section but
    23
    may also be had as provided in Section 29 of this Act.”    415 ILCS
    5/41(a) (West 2008).
    Section 29 allows for review of rules and regulations
    promulgated by the Board by petition for review under section 41.
    The categorization of who may petition for review is broader
    under section 29 than under section 41.    Section 29(a) states
    that “[a]ny person adversely affected or threatened by any rule
    or regulation of the Board may obtain a determination of the
    validity or application of such rule or regulation by petition
    for review under Section 41 of this Act.”    415 ILCS 5/29(a) (West
    2008).   Thus, a determination of whether the opposition groups
    have standing in this appeal hinges upon a determination of
    whether a Board decision to grant an adjusted standard under
    section 28.1 of the Act is an adjudicatory decision or a rule-
    making decision.   In other words, must the opposition groups fit
    within the categories of section 41 or section 29 to have
    standing to bring this appeal?
    The Board’s decision to grant PDC an adjusted standard was
    authorized by section 28.1 of the Act.    415 ILCS 5/28.1 (West
    2008).   An examination of section 28.1 indicates that this
    decision is an adjudicatory decision and an appeal of such a
    decision is governed solely by section 41 of the Act.    Section
    28.1(a) specifically states that the decision to grant an
    24
    adjusted standard is an “adjudicatory determination.”    415 ILCS
    5/28.1(a) (West 2008).   Additionally, the last sentence of
    section 28.1(a) states that the rule-making provisions of “Title
    VII of this Act shall not apply” to these decisions.    415 ILCS
    5/28.1(a) (West 2008).     Significantly, section 29, providing for
    judicial review of rules and regulations, is the last section of
    Title VII of the Act.
    Furthermore, section 28.1(g) provides, “A final Board
    determination under this Section may be appealed pursuant to
    Section 41 of this Act.”   415 ILCS 5/28.1(g) (West 2008).    Thus,
    the statute under which the Board made the decision at issue here
    directs that appeals are governed by section 41, not section 29,
    of the Act.
    The opposition groups argue that this court should read
    sections 41 and 29 together, to allow the groups standing.
    Section 41 does reference section 29 and specifically states that
    the limitations in section 41 as to who may petition for review
    of an adjudicatory decision shall not apply to petitions for
    review of rules and regulations as set forth in section 29.
    However, that leads back to the same question of whether a
    decision under section 28.1 of the Act is an adjudicatory
    decision or a rule-making decision.   As set forth above, section
    28.1 indicates that decisions made under that section are
    25
    adjudicatory decisions and that the rule-making provisions of
    Title VII do not apply to these decisions.    Thus, section 29 has
    no applicability to the petition for review brought by the
    opposition groups.
    The lead opinion cites Environmental Protection Agency v.
    Pollution Control Board, 
    308 Ill. App. 3d 741
    , 
    721 N.E.2d 723
    (1999) (Swenson Spreader Co.), to support its conclusion that the
    Board’s decision in this matter was a quasi-legislative
    determination and that section 29 provided the opposition groups
    with standing to challenge that determination.    In Swenson
    Spreader Co., the court was called upon to decide what standard
    of review to apply to the Board’s decision.     Swenson Spreader
    
    Co., 308 Ill. App. 3d at 747
    , 721 N.E.2d at 727.    The court
    recognized that the Board serves both quasi-legislative and
    quasi-adjudicatory functions and that different standards of
    review apply to different functions.     Swenson Spreader 
    Co., 308 Ill. App. 3d at 747
    , 721 N.E.2d at 727.    Also, the court
    specifically recognized that proceedings for an adjusted standard
    are adversarial in nature and, thus, are adjudicatory
    proceedings.     Swenson Spreader 
    Co., 308 Ill. App. 3d at 748
    , 721
    N.E.2d at 728.    The court went on to reason that certain aspects
    of a decision to grant or deny an adjusted standard are quasi-
    legislative determinations, and the court should apply the
    26
    arbitrary and capricious standard of review to those quasi-
    legislative determinations.    Swenson Spreader Co., 
    308 Ill. App. 3d
    at 
    748-49, 721 N.E.2d at 728-29
    .    I disagree with the lead
    opinion’s conclusion that this case supports its conclusion that
    a proceeding to determine whether to grant a petition for an
    adjusted standard is a rule-making procedure.
    Finally, as the opposition groups appear to concede, the
    opposition groups do not fit within the categories of those who
    may petition an adjudicatory order of the Board under section 41.
    The opposition groups were not parties to the proceedings below
    and, thus, do not fit within the first or fourth category in
    section 41.   See Lake County Contractors Ass’n v. Pollution
    Control Board, 
    54 Ill. 2d 16
    , 19-21, 
    294 N.E.2d 259
    , 261-62
    (1973) (concluding that to come within the fourth category of
    section 41, one who seeks review must have been a party to the
    Board proceeding and rejecting contention that “party” means
    “person”).    The opposition groups did not file a complaint on
    which a hearing was denied; they were not denied a variance or
    permit, nor was this case brought under section 39.5 of the Act
    (Clean Air Act permit program).    Thus, the opposition groups do
    not fall within the categories of those authorized to petition
    for a review of a Board’s decision to grant an adjusted standard.
    In addition, the Code provides for intervention in
    27
    adjudicatory proceedings.   35 Ill. Adm. Code §101.402.   Here, the
    opposition groups did not seek leave to intervene and gain party
    status in the adjudicatory proceeding before the Board.   Although
    the opposition groups did participate in the Board proceedings by
    providing public comments, as allowed by the Code (35 Ill. Adm.
    Code §§101.110, 101.628), that participation did not grant them
    party status and the ability to appeal the Board’s adjudicatory
    decision under section 41 of the Act (415 ILCS 5/41(a) (West
    2008)).
    For all of the above reasons, I would dismiss this appeal
    due to a lack of standing, and therefore, I concur in the
    judgment of the lead decision to affirm the order of the Illinois
    Pollution Control Board.
    JUSTICE WRIGHT concurring in part and dissenting in part:
    I concur with that portion of Justice Lytton’s opinion that
    concludes the opposition groups have standing to bring this
    appeal.
    I respectfully suggest that the special concurring decision
    incorrectly concludes that the Act prohibits judicial review of
    an adjusted standard decision based on whether the appellant has
    filed a petition to intervene with the Board.   First, there is no
    statutory right to intervene under the Act.   The only possibility
    for intervention is based on Board’s procedural rule found at
    28
    section 101.402(d) of Title 35 of the Code.   35 Ill. Adm. Code
    §101.402(d).
    Recently, the Board has been extremely reluctant to allow
    intervention in an adjusted standard proceeding because there are
    other opportunities for either a person or a group to participate
    in an adjusted standard proceeding without formal intervention.
    In fact, after reviewing all cases requesting the Board to grant
    an adjusted standard since 1988, it appears to me that the Board
    has denied every request for intervention in an adjusted standard
    proceeding.    See In re Petition of Peoria Disposal Company for an
    Adjusted Standard from 35 Ill. Adm. Code 721. Subpart D, Ill.
    Pollution Control Bd. Op. AS 91--03 (Mar. 11, 1993) (hereinafter
    Peoria Disposal); In re Petition of Midwest Generation, L.L.C.,
    Waukegan Generating Station for an Adjusted Standard from 35 Ill.
    Adm. Code 225.230, Ill. Pollution Control Bd. Op. AS 07--03, at 6
    (April 17, 2008) (order denying petition to intervene); In re
    Petition of Midwest Generation, L.L.C., Will County Generating
    Station for an Adjusted Standard from 35 Ill. Adm. Code 225.230,
    Ill. Pollution Control Bd. Op. AS 07--04 at 6 (April 17, 2008)
    (order denying petition to intevene) (hereinafter Midwest
    Generation).
    In its decision in AS 07--04, the Board noted that
    participants in an adjusted standard proceeding are allowed to
    29
    make oral statements under oath, subject to cross-examination,
    pursuant to section 101.628.    Midwest Generation, Ill. Pollution
    Control Bd. Op. AS 07--04 at 6.        In the same order, the Board
    also noted that the Board may also grant leave to file an amicus
    curiae brief pursuant to section 101.110(c).       Midwest Generation,
    Ill. Pollution Control Bd. Op. AS 07--04 at 6.       Consequently, the
    Board stated:
    “ [T]he Board finds that participation by ELPC
    [Environmental Law & Policy Center] through oral comments
    at the hearing and the filing of an amicus curiae brief
    will address any potential prejudice suffered by ELPC and
    the membership of ELPC.     Therefore, the Board denies the
    motion to intervene.”     Midwest Generation, Ill. Pollution
    Control Bd. Op. AS 07--04 at 6.
    I note that the Board has not directed this court to any
    previous Board decision which    allows a person or group to
    intervene in an adjusted standard proceeding.       Moreover, PDC has
    successfully resisted an intervenor’s request in the past.       See
    Peoria Disposal, Ill. Pollution Control Bd. Op. AS 91--03.       In
    that case, the docket shows that the hearing officer denied
    Envirite’s motion to intervene but allowed Envirite's comments to
    be admitted into the record as an amicus curiae brief.
    Based on this history, in my opinion, the fact that the
    30
    opposition groups did not initiate an inevitably futile request
    for intervention should have no significance on the issue of
    standing. Consequently, I respectfully suggest that the language
    adopted in section 41 of the Act, which does not limit judicial
    review of a rule or regulation to those categories of persons set
    out in section 41, demonstrates the legislative intent to allow
    persons adversely affected by an adjusted standard to seek
    judicial review pursuant to section 29 of the Act regardless of
    party status.
    If standing to seek judicial review of the Board’s final
    determination granting an adjusted standard is soley dependent on
    party status, then the Board can successfully truncate judicial
    review of all final orders allowing an adjusted standard by
    simply developing an unwritten policy to deny all nonpetitioners’
    requests to intervene.   Certainly, this was not the intention of
    the legislature nor the intention of the Board when denying the
    previous requests to intervene in other adjusted standard
    proceedings.
    I respectfully suggest that the language of section 28.1(a)
    declaring the “rule-making provisions of the of the Illinois
    Administrative Procedure Act and Title VII of the Act”
    inapplicable to an adjusted standard proceeding simply means that
    an individual adjusted standard petitioner is relieved of the
    31
    necessity for publication and cost study requirements mandated
    when the Board is enacting general regulations rather than
    individual adjusted standards.    415 ILCS 5/28.1(a) (West 2008), 5
    ILCS 100/5--5 et seq. (West 2008).    For the reasons set out
    above, I concur in Justice Lytton’s decision that the opposition
    groups have standing to seek judicial review in this appeal.
    However, I dissent from that portion of the decision that affirms
    the Board’s decision to allow an adjusted standard in this case.
    Burden of Proof
    Here, PDC requested the Board to “delist stabilized residue
    generated from treatment of K061 electric arc furnace [EAF] dust
    at PDC’s waste stabilization facility [WSF] in Peoria County.”
    Presumably based on the toxicity of K061, after first considering
    the section 27(a) factors when adopting the general regulation,
    the Board itself did not define “the level of justification” for
    future adjusted standards.   In this context,   a person may
    request the Board to create a new individualized regulation
    designated as an “individual adjusted standard” under Article
    VII, section 28.1 of the Act.    415 ILCS 5/28.1 (West 2008).
    Section 28.1 requires that the Board “shall adopt procedures
    applicable to such adjusted standards determinations.”    415 ILCS
    5/28.1 (West 2008).   The applicable procedures adopted by the
    Board for an adjusted standard petitioner, such as PDC, provide:
    32
    “The burden of proof in an adjusted standard
    proceeding is on the petitioner.     A petitioner must
    justify an adjusted standard consistent with Section 27(a)
    of the [Environmental Protection] Act.”     (Emphasis added.)
    35 Ill. Adm. Code §104.426.
    This appears to be a threshold requirement before the Board goes
    on to consider the other four factors for justification set out
    in Section 104.426(a).   Contrary to this regulation, the Board’s
    order in this case states:
    “[T]here is no threshold of evidence that the adjusted
    standard petitioner must meet with respect to those
    [Section 27(a)] factors.”      In re RCRA Delisting Adjusted
    Standard Petition of Peoria Disposal Company, Ill.
    Pollution Control Bd. Op. AS 08--10, at 81 (January 8,
    2009) (hereinafter Board Order).
    Further, the Board’s order granting the adjusted standard
    contains the heading “Burden of Proof,”     Board Order, Ill.
    Pollution Control Bd. Op. AS 08--10, at 31.     Within this section
    of the Board Order, the Board does not acknowledge or apply
    section 104.426 of Title 35 of the Illinois Administrative Code
    (Code).
    In this appeal, we are called upon to determine whether the
    Board correctly decided, as a matter of law, that PDC had “no
    33
    threshold of evidence” to meet with respect to the section 27(a)
    factors.   When addressing this issue, this court must apply a de
    novo standard of review when construing the language of a
    regulation such as section 104.426 of Title 35 of the Code.
    Peoria Disposal Co. v. Illinois Pollution Control Board, 385 Ill.
    App. 3d 781 (2008), appeal denied, 
    231 Ill. 2d 654
    (2009).
    The Board’s regulation places the burden of proof squarely
    on the shoulders of the petitioner.   Hence, the individual
    adjusted standard petitioner must introduce a sufficient
    threshold of evidence to satisfy the section 27(a) factors.   Yet,
    the Board’s order states that, as to the section 27(a) factors,
    PDC had “no threshold of evidence” to meet in this case.
    I conclude that the Board improperly relieved PDC of its
    burden of proof in this case by concluding that PDC had “no
    threshold of evidence” to meet with regard to the section 27(a)
    factors contrary to the mandates of section 104.426.
    Quasi-legislative vs. Quasi-Judicial
    Standards of Review
    Before considering the other issues raised in the opposition
    groups’ appeal, it is important to determine what standard of
    review to apply to the separate components of the Board's
    decision in this case.   In the Swenson Spreader Co. case, the
    court stated:
    34
    “Quasi-legislative determinations are exercises of the
    Board's rulemaking powers.   The supreme court has
    instructed that “[w]hen an agency has acted in its
    rulemaking capacity, a court will not substitute its
    judgment for that of the agency.”        Granite City [Division
    of National Steel Co. v. Illinois Pollution Control
    Board], [
    155 Ill. 2d 149
    , 162 (1993)].       For this reason,
    the Board's quasi-legislative decisions will not be
    overturned unless they are arbitrary and capricious.
    Granite 
    City, 155 Ill. 2d at 162
    , ***.
    The Board acts in a quasi-judicial capacity when it
    determines rights or liabilities in an individual case
    based on the particular facts of the case. [Citation.] ***
    A reviewing court will uphold a quasi-judicial
    determination unless it is contrary to the manifest weight
    of the evidence. [Citation.]        When a case involves both
    quasi-legislative and quasi-judicial functions, the
    reviewing court should apply both standards of review.
    [Citations.]
    * * *
    There are three methods by which an entity can seek
    relief from a rule of general applicability: variances,
    adjusted standards, and site-specific regulations.
    35
    Adjusted standards are similar to variances in certain
    respects.    In proceedings for both variances and adjusted
    standards, the Board's decisions must be supported by a
    written opinion with specific findings of fact.     See 415
    ILCS 5/28.1(d), 35(a) (West 1996).     Proceedings for both a
    petition for a variance and a petition for an adjusted
    standard are adversarial in nature ***.     Furthermore, the
    Act deems petitions for an adjusted standard
    “adjudicatory” proceedings.     415 ILCS 5/28.1 (West 1996).
    This being said, many aspects of a ruling on a petition
    for an adjusted standard involve the Board's technical
    expertise and interpretation of rules, which are
    quasi-legislative determinations. [Citations.]”
    Environmental Protection Agency v. Pollution Control
    Board, 
    308 Ill. App. 3d 741
    , 747-49 (1999) (Swenson
    Spreader Co.).
    The quasi-legislative nature of an individual adjusted
    standard is confirmed by the Board’s regulation which states that
    the effect of an adjusted standard creates an environmental
    regulation.    35 Ill. Adm. Code §104.400.   It is fair to say that
    an adjusted standard is a hybrid proceeding that invokes the
    Board’s quasi-judicial as well as its quasi-legislative
    authority.    Typically, the Board relies on its technical
    36
    expertise when evaluating the sufficiency of the petitioner’s
    evidence, specifically the section 27(a) factors in this case.
    Swenson Spreader Co., 
    308 Ill. App. 3d
    at 750-51.   We review all
    decisions of the Board that involve the Board’s technical
    expertise using an aribtrary and capricious standard of review.
    See Swenson Spreader 
    Co., 308 Ill. App. 3d at 748
    -49.
    After the Board determines that the adjusted standard
    petitioner has satisfied   its burden of proof as set out in
    section 104.426, then the Board exerts its quasi-legislative
    authority when granting the new environmental regulation,
    designated as an individual adjusted standard.   Developing
    conditions applicable to the individual adjusted standard also
    involve the Board’s expertise and should be measured by the same
    arbitrary and capricious standard of review.   The additional
    issues raised by appellants are discussed below with the
    appropriate standard of review in mind.
    Section 28.1
    The appellants challenge the Board’s order because the order
    is conclusory and does not contain specific findings of fact
    based on the evidence presented to the Board by PDC.    In
    response, PDC relies on Granite City after arguably conceding
    that the Board acted in a quasi-legislative capacity when
    granting the adjusted standard in this case.   It is important to
    37
    note that PDC asks this court to deny standing to the opposition
    groups because the Board was acting in a quasi-judicial capacity
    when adopting this adjusted standard, yet contends the Board
    acted in a quasi-legislative capacity for purposes of arguing
    that the Board did not need to state specific findings to support
    its conclusions under sections 28.1 and 27(a) of the Act.   In
    Granite City, our supreme court stated:
    “When acting in its quasi-legislative capacity, the
    Board has no burden to support its conclusions with a
    given quantum of evidence.”    Granite 
    City, 155 Ill. 2d at 180
    .
    I respectfully suggest that PDC’s reliance on Granite City, 
    155 Ill. 2d 149
    , has misdirected this court.   PDC has over-
    generalized the holding in Granite City for several reasons.
    First, Granite City did not involve an adjusted standard
    request as does the case at bar.
    In Granite City, our supreme court only considered the Board’s
    statutory obligation when first creating substantive
    environmental regulations, rather than the Board’s subsequent
    regulatory obligations when considering an individual adjusted
    standard from a regulation of general applicability.   In that
    limited context of enacting general regulations, our supreme
    court held that the Board is not required by statute to recite a
    38
    specific quantum of proof to support its conclusions.                                  This
    holding has no application to the Board’s procedures when
    deciding an individual adjusted standard petition.
    In fact, section 28.1(d) of the Act specifically requires
    the Board to support any decision to grant an adjusted standard
    with a written order and opinion which “shall” state the facts
    and reasons leading to the final Board determination.                                  See 415
    ILCS 5/28.1(d) (West 2008).                     Section 28.1 of the Act provides:
    “After adopting a regulation of general applicability, the Board may grant,
    in a subsequent adjudicatory determination, an adjusted standard for persons who
    can justify such an adjustment consistent with subsection (a) of Section 27 of this
    Act.” (Emphasis added.) 415 ILCS 5/28.1 (West 2008).
    Section 28.1 of the Act first requires the petitioner, not the Board, to justify the adjusted
    standard. Next, section 28.1 requires the Board to issue an order which includes factual findings
    and reasons presumably explaining how the petitioner justified the adjusted standard before the
    Board.
    The Board’s order in the case at bar does not contain specific findings or reasoning
    concerning the section 27(a) factors in the context of PDC’s evidence submitted to the Board.
    Therefore, I agree with the appellant’s view that the Board’s order in this case cannot be upheld
    in the absence of the factual findings and reasons required by section 28.1 of the Act.
    Section 27(a) Factors
    Arguably, the Board’s failure to include specific findings of fact with regard to the
    39
    section 27(a) factors may be directly related to an absence of such evidence introduced into the
    record by PDC. Section 27(a) of the Act provides:
    “In promulgating regulations under this Act, the Board shall take into account the
    existing physical conditions, the character of the area involved, including the
    character of surrounding land uses, zoning classifications, the nature of the
    existing air quality, or receiving body of water, as the case may be, and the
    technical feasibility and economic reasonableness of measuring or reducing the
    particular type of pollution. The generality of this grant of authority shall only be
    limited by the specifications of particular classes of regulations elsewhere in this
    Act.” 415 ILCS 5/27(a) (West 2008).
    In this case, there are two geographic areas involved or potentially affected by operations
    allowed by the adjusted standard. The first area potentially affected is the expanding residential
    neighborhood in Peoria near PDC’s WSF. After the K061 is generated by PDC’s customers, the
    waste is delivered to Peoria, where PDC treats the K061 with a ‘new’ chemical process and
    stores the K061 above ground and outdoors before the waste is verified as EAFDSR. For the
    K061 unsuccessfully treated, PDC will transfer K061 to a hazardous landfill for disposal. After
    verification, or in other words, successful treatment, PDC transfers EAFDSR from Peoria to
    Tazewell County. Thus, the second “involved” area is located in Tazewell County, where the
    successfully treated K061, now labeled EAFDSR, will be disposed according to the conditions
    attached to the adjusted standard.
    During the public hearing, PDC did not introduce any stipulations or any agreed exhibits
    and failed to provide expert or lay testimony concerning the section 27(a) factors with regard to
    40
    either geographic location. In fact, PDC presented only two witnesses and four exhibits to the
    Board during the public hearing. One witness, Laura Curtis, a senior environmental engineer at
    RMT, Inc., and PDC's independent consultant, testified about the new chemical process
    developed for PDC to stabilize electric arc furnace dust (EAFD) waste. A second witness, Dr.
    Ajit Chowdhury, a former employee of RMT, testified that PDC hired him to develop the new
    chemical process for stabilizing K061 waste. PDC will then license the process from
    Chowdhury because Chowdhury is considering patenting his technique. At the time of the
    delisting hearing, Chowdhury, RMT, and PDC representatives stated they were not at liberty to
    discuss the exact chemicals used in this new treatment process because it was a trade secret.
    Once the delisting is granted, Chowdhury will be paid licensing fees by PDC. The four exhibits
    PDC introduced for the Board’s consideration included: Exhibits 1 and 2 which were Curtis’
    resume and the outline of her testimony; Exhibit 3 consisted of Dr. Chowdhury’s resume; and
    Exhibit 4 was the list of 10 steel mills currently generating K061 waste and delivering the K061
    to PDC for treatment and on-site disposal.
    Although the Board stated that it "carefully considered the information in this record in
    view of the Section 27(a) factors, as required by Section 28.1(a) and finds that the delisting may
    be granted consistent with those factors,” the Board does not state any “facts and reasons” which
    caused the Board to conclude PDC's evidence satisfied PDC’s burden of proof to justify the
    individual adjusted standard as required by section 28.1 of the Act. The absence of any specific
    “facts and reasons” concerning the section 27(a) factors renders the Board’s decision arbitrary
    and capricious.
    Board’s Decision is Arbitrary and Capricious
    41
    In Greer v. Illinois Housing Development Authority, 
    122 Ill. 2d 462
    (1988), our supreme
    court provided the following guidelines for this court to apply when determining whether an
    administrative agency's action is arbitrary and capricious. Our supreme court held:
    “Agency action is arbitrary and capricious if the agency: (1) relies on factors
    which the legislature did not intend for the agency to consider; (2) entirely fails to
    consider an important aspect of the problem; or (3) offers an explanation for its
    decision which runs counter to the evidence before the agency, or which is so
    implausible that it could not be ascribed to a difference in view or the product of
    agency expertise.” 
    Greer, 122 Ill. 2d at 505-06
    , citing Motor Vehicle
    Manufacturers Association of the United States, Inc. v. State Farm Mutual
    Automobile Insurance Co., 
    463 U.S. 29
    , 43, 
    77 L. Ed. 2d 443
    , 458, 
    103 S. Ct. 2856
    , 2866-67 (1983).
    In this case, I focus on the second and third factors set out by our supreme court. First,
    the Board failed to consider an important aspect of the problem, namely, whether PDC met the
    burden of proof assigned to an individual adjusted standard petitioner by section 104.426 of the
    Board’s own regulations. Second, the Board’s statement, that it carefully considered the section
    27(a) factors in light of the record, offers an explanation that cannot be reconciled with the
    record by this court because the Board’s order simply does not contain written findings or
    identify any substantive evidence supporting the Board’s conclusions for this court to reconcile.
    In my view, the absence of any findings or conclusions stating that the individual
    adjusted standard would not result in environmental or health effects more adverse than those
    considered by the Board when originally adopting the general regulation consistent with the
    42
    section 27(a) factors, renders the Board’s ruling purely arbitrary. For the reasons discussed
    above, I conclude the Board’s decision was arbitrary and capricious, and must be reversed.
    The Basis of the Petition
    In addition to applying the incorrect burden of proof concerning the section 27(a) factors,
    the Board does not make any findings concerning the basis of the petition pursuant to either
    subsection (a) or (b) of section 720.122. The carelessness of the Board’s approach is evident in the
    Board’s ultimate, incomplete finding set out below:
    “Based on all the foregoing, the Board finds that PDC has [blank in original] its
    burden of proof under the RCRA regulations for receipt of a delisting. See 35 Ill. Adm.
    Code 720.122(a), (b), (d), (h), (i), (p).” Board Order, Ill. Pollution Control Bd. Op. AS 08--
    10, at 57.
    Obviously, this finding set out by the Board, on page 57 of its order, does not state whether PDC
    “satisfied” or “did not satisfy” its burden of proof in any context.
    In the individual adjusted standard petition, PDC requested the Board to “delist stabilized
    residue generated from treatment of K061 electric arc furnace [EAF] dust at PDC’s waste
    stabilization facility [WSF] in Peoria County.” On page 7 of the Board’s order, the Board
    acknowledges “PDC addresses both subsections (a) and (b) of Section 720.122.” Board Order,
    Ill. Pollution Control Bd. Op. AS 08--10, at 7. However, the Board does not specify on what basis
    the individual adjusted standard was granted. The only finding adopted by the Board regarding
    the regulatory basis for the petition states, “[T]he Board finds that PDC has [blank in original] its
    burden of proof under the RCRA regulations for receipt of a delisting. See 35 Ill. Adm. Code
    720.122(a), (b), (d), (h), (i), (p).” Board Order, Ill. Pollution Control Bd. Op. AS 08--10, at 57.
    43
    I point out that each paragraph of section 720.122 of Title 35 of the Code sets out distinct
    but separate considerations for an adjusted standard request. 35 Ill. Adm. Code §720.122.
    Paragraph (a) requires waste to be delisted by waste stream from a single generator. Paragraph
    (b) requires an analysis of the combined waste mixture as a whole with respect to those
    additional constituents that PDC adds to stabilize the F061 delivered the WSF. The
    requirements of paragraph (a) and (b) are not interchangeable.
    The Board does not address whether PDC satisfied their burden of proof with regard to
    subparagraph (a) alone, subparagraph (b) alone, or met some of the requirements set out in
    subparagraph (a) and others set out in subparagraph (b) of section 720.122 of Title 35 of the
    Code. 35 Ill. Adm. Code §§720.122(a), (b). The glaring absence of any findings by the Board
    with regard to section 720.122(a) or (b) makes it impossible for this court to evaluate the
    sufficiency of the factual basis for the Board’s order granting the PDC's petition to delist
    successfully treated K061 waste.
    At the very least, this court should now remand the matter to the Board for specific
    findings with regard to the separate requirements of section 720.122(a) or (b) before deciding
    whether those findings are supported by the record or may conflict with previous precedent from
    this court.
    New Pollution Control Facility
    PDC’s EAFDSR involves a new chemical process recently developed for PDC long after it
    received a permit for its WSF. The Board’s order acknowledges that PDC has never managed
    EAFDSR in a landfill prior to the handful of demonstration trials related to this petition. Board
    Order, Ill. Pollution Control Bd. Op. AS 08-10, at 20. Similarly, PDC has never transferred the
    44
    EAFDSR to another landfill for disposal. Finally, EAFDSR has never been disposed in a Class
    D landfill and commingled with other waste accepted by the Class D land-based unit.
    In the past 20 years, PDC has merely accepted K061 dust from 10 separate steel
    producers for disposal on site. However, before disposing of the waste in its hazardous landfill,
    PDC managed the waste for the sole purpose of placing it in PDC’s Class C landfill by treating it
    in PDC’s containment building and waste stabilization facility (WSF). After treating and
    temporarily storing K061 indoors in the WSF, a fully enclosed steel structure, PDC then
    disposed of the treated K061 below ground, in a dedicated hazardous waste landfill at the same
    location. Over the course of the last 20 years, K061 waste has never left PDC’s site and
    subsequently reentered the Peoria community during transfer to another location for disposal.
    Now, PDC wishes to delist the new substance labeled EAFDSR and, after delisting, will transfer
    and transport the waste off site for disposal elsewhere.
    PDC’s petition, and the Board’s order, assumes some portion of the K061 waste
    delivered to PDC will never meet the requirements for delisting the purported EAFDSR after
    initial treatment and retreatment by PDC. In this event, the Board requires PDC to dispose of
    K061 waste in a Class C landfill. However, PDC no longer has the capacity to dispose of K061
    waste in its Class C landfill and must now transfer unsuccessfully treated K061 waste to a
    different hazardous landfill for disposal. Thus, for the first time PDC will act as a transfer
    station by transferring nondelisted, hazardous K061waste off site. It is also important to note
    that PDC’s petition states that PDC should not be considered the “generator” of the EAFDSR
    waste, presumably for purposes of section 720.122(a), until after the treated waste meets the
    adjusted standard criteria. See Board Order, Ill. Pollution Control Bd. Op. AS 08--10, at 5.
    45
    I conclude that PDC's new, first-time operation as an above ground storage yard and
    transfer station for future off-site disposal falls squarely within the definition of a new pollution
    control facility that the County must approve for siting regardless of whether the K061 waste is
    hazardous or delisted as nonhazardous EAFDSR. 415 ILCS 5/3.330(b) (West 2006).
    Summary
    The undeniable reality is that PDC No. 1 Landfill presumably has now reached capacity
    at the time of this appeal. I understand the steel manufacturers in Illinois need a cost-effective
    method to dispose of their Illinois-generated waste. Yet, 60% of the waste delisted for PDC
    originates with out-of-state customers. Perhaps, these out-of-state generators may have
    hazardous landfills available in their home states. Nonetheless, due to the conditions attached to
    PDC’s adjusted standard, the K061 hazardous waste delivered to PDC from out-of-state sources
    will continue to be delivered to PDC and then remain in Illinois for perpetuity. The individual
    adjusted standard thereby ultimately reduces the availability of space in Illinois landfills for
    Illinois manufacturers.
    The individual adjusted standard not only allows PDC to continue to accept K061 waste
    generated by outside sources, but now also allows, for the first time, PDC to store K061 outdoors
    and then transfer treated K061 to other facilities for disposal. This new component of PDC’s
    business, namely, transferring large quantities of treated K061 waste from Peoria to another
    location for disposal, has not received siting approval by the Peoria County Board.
    In summary, I agree that the opposition groups have standing to bring this appeal because
    the adjusted standard is a quasi-legislatively created environmental regulation. I conclude the
    Board’s decision is arbitrary and capricious because the Board made no factual findings
    46
    regarding the requirements of either section 104.426 of Title 35 of the Code (35 Ill. Adm. Code
    §104.426) or section 720.122(a) or (b) of Title 35 of the Code (35 Ill. Adm. Code §§720.122(a),
    (b)) for this court to review. Additionally, the Board improperly relieved PDC of their
    regulatory burden of proof relating to the section 27(a) factors of the Act. 415 ILCS 5/27(a)
    (West 2008). Consequently, I would reverse the Board's order granting PDC's petition for an
    individual adjusted standard as both arbitrary and capricious.
    Alternatively, I respectfully suggest the Board's order cannot be confirmed on this record and
    would remand the matter to the Board with directions to enter specific findings of fact regarding PDC's
    burden to prove the section 27(a) factors as well as the requirements of sections 720.122(a) and (b).
    47